KALYAN SANGAM INFRATECH LIMITED
KALYAN SANGAM INFRATECH LIMITED is a Public limited company incorporated on 07/10/2008. It is categorised as Company limited by Shares and classified as Indian Non-Government Company. It is registered at Registrar of Companies, RoC-Mumbai office. Its authorized share capital is Rs. 193000000.0 /- and paid up capital is Rs. 192730000.0/-. It is engaged in ConstructionKALYAN SANGAM INFRATECH LIMITED's Corporate Identification Number (CIN) is U45202MH2008PLC187333 and its registration number is 187333. Its registered address is B-306,DYNASTY BUSINESS PARK,A.K.ROAD, OPP. SANGAM CINEMA,ANDHERI (E) MUMBAI MH 400059 IN- Maharashtra - INDIA
KALYAN SANGAM INFRATECH LIMITED has not been Listed with stock exchanges
Current status of KALYAN SANGAM INFRATECH LIMITED is - Active
COMPANY FACTS
- Company Name: KALYAN SANGAM INFRATECH LIMITED
- Company CIN: U45202MH2008PLC187333
- Incorporation Date: 07/10/2008
- Registrar Office: RoC-Mumbai
- Registration Number: 187333
- State: Maharashtra
- Address: B-306,DYNASTY BUSINESS PARK,A.K.ROAD, OPP. SANGAM CINEMA,ANDHERI (E) MUMBAI MH 400059 IN
- Telephone Number:
- Website :
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Update Website, Products & Services
- Company Category: Company limited by Shares
- Company Sub category: Indian Non-Government Company
- Company Class: Public Limited Company
- Authorised Capital (INR): 193000000.0 /-
- Paid Up Capital (INR): 192730000.0 /-
- Listing Status: Not Listed with stock exchanges
- Company Status: Active
- Company Business Activities:
Construction
General construction (including alteration, addition, repair and maintenance) of residential buildings, carried –out on own-account basis or on a fee or contract basis.
General construction (including alteration, addition, repair and maintenance) of non-residential buildings, carried –out on own-account basis or on a fee or contract basis.
Construction and maintenance of roads, rail-beds, bridges, tunnels, pipelines, rope-ways, ports, harbours and runways etc.
Construction/erection and maintenance of power, telecommunication and transmission lines
Construction and maintenance of waterways and water reservoirs
Construction and maintenance of hydro-electric projects
Construction and maintenance of power plants, other than hydro-electric power plants
Construction and maintenance of industrial plants other than power plants
Construction including special trade construction
DIRECTORS
Charges / Borrowing Details
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Assets Borrowing Amount Creation Date Modification Date Current Status 2821300000.0 06/04/2009 28/03/2013 CLOSED Book debts; Floating charge; Receivable of loan advanced by Borrower to Company 325000000.0 10/03/2017 - OPEN Goodwill; Book debts; Movable property (not being pledge) 200000000.0 21/03/2012 - CLOSED