MIRA INFORM REPORT

 

 

Report No. :

318841

Report Date :

29.04.2015

 

IDENTIFICATION DETAILS

 

Name :

KLJ ORGANIC LIMITED

 

 

Registered Office :

KLJ House, 63, Rama Marg, Najafgarh Road, New Delhi – 110015

Tel No.:

91-11-25459706

 

 

Country :

India

 

 

Financials (as on) :

31.03.2014

 

 

Date of Incorporation :

03.05.1995

 

 

Com. Reg. No.:

55-068170

 

 

Capital Investment / Paid-up Capital :

Rs.40.000 Million

 

 

CIN No.:

[Company Identification No.]

U74899DL1995PLC068170

 

 

TIN No.:

Not Available

 

 

IEC No.:

Not Available

 

 

TAN No.:

[Tax Deduction & Collection Account No.]

Not Available

 

 

PAN No.:

[Permanent Account No.]

AAACK3722A

 

 

Legal Form :

A Closely Held Public Limited Liability Company

 

 

Line of Business :

Manufacturing and exporting of secondary plasticizer, Chlorinated Paraffin and Tri Cresyl, Phosphate and Tri Phenyl Phosphate and its bye products.

 

 

No. of Employees :

200 (Approximately)

 

 

RATING & COMMENTS

 

MIRA’s Rating :

A (70)

 

RATING

STATUS

PROPOSED CREDIT LINE

56-70

A

Financial & operational base are regarded healthy. General unfavourable factors will not cause fatal effect. Satisfactory capability for payment of interest and principal sums

Fairly Large

 

Maximum Credit Limit :

USD 3310000

 

 

Status :

Good

 

 

Payment Behaviour :

Regular

 

 

Litigation :

Clear

 

 

Comments :

Subject is a well-established company having fine track record.

 

The rating reflects company’s healthy financial profile marked by adequate liquidity position and sound profitability margins of the company.  

 

Trade relations are reported as fair. Business is active. Payments are reported to be regular and as per commitment.

 

The company can be considered good for business dealings at usual trade terms and conditions.

 

NOTES:

Any query related to this report can be made on e-mail : infodept@mirainform.com while quoting report number, name and date.


 

ECGC Country Risk Classification List – December 31, 2014

 

Country Name

Previous Rating

(30.09.2014)

Current Rating

(31.12.2014)

India

A1

A1

 

Risk Category

ECGC Classification

Insignificant

 

A1

Low

 

A2

Moderate

 

B1

High

 

B2

Very High

 

C1

Restricted

 

C2

Off-credit

 

D

 

 

EXTERNAL AGENCY RATING

 

Rating Agency Name

CRISIL

Rating

Long Term Rating = A

Rating Explanation

Adequate degree of safety and low credit risk.

Date

03.02.2015

 

 

Rating Agency Name

CRISIL

Rating

Short Term Rating = A1

Rating Explanation

Very strong degree of safety and carry lowest credit risk.

Date

03.02.2015

 

 

RBI DEFAULTERS’ LIST STATUS

 

Subject’s name is not enlisted as a defaulter in the publicly available RBI Defaulters’ list.

 

 

EPF (Employee Provident Fund) DEFAULTERS’ LIST STATUS

 

Subject’s name is not enlisted as a defaulter in the publicly available EPF (Employee Provident Fund) Defaulters’ list as of 31-03-2014.

 

 

INFORMATION PARTED BY

 

Name :

Mr. Ashish Marwah

Designation :

Senior Manager Finance

Contact No.:

91-9350582049

Date :

25.04.2015

 

 

LOCATIONS

 

Registered Office / Head Office :

KLJ House, 63, Rama Marg, Najafgarh Road, New Delhi – 110015, India 

Tel. No.:

91-11-25459706

Mobile No :

91-9350582049 (Mr. Ashish Morya)

Fax No.:

91-11-25459709

E-Mail :

mukesh@kljindia.com

chauhan@kljindia.com

delhi@kljindia.com

mattoo@kljindia.com

secretariat@kljindia.com

Website :

www.kljindia.com

www.satyamplastics.com

 

 

Sales Offices (Real Estate Division) :

KLJ Complex, 70/B -39, Shivaji Marg, New Delhi – 110015, India

Tel. No.:

91-11-49207373

Fax No.:

91-11-49207370

 

 

Branch Office :

Located At

 

  • Mumbai
  • Kolkata
  • Chennai 

 

 

Overseas Office :

Located At Thailand 

 

 

DIRECTORS

 

As on 26.09.2014

 

Name :

Mr. Pushp Jain

Designation :

Managing Director

Address :

6B/9, Near Old Rajinder Nagar, New Delhi-110060, India

Date of Birth/Age :

27.03.1975

Qualification :

B. E.

Date of Appointment :

29.09.2011

PAN No.:

AALPJ2611D

DIN No.:

00033289

Other Directorship:

S.

No.

CIN/LLPIN

Name of the Company/ LLP

Current designation of the Director/ Designated Partner

Date of appointment at current designation

Original date of appointment

Date of cessation

Company/ LLP Status

Defaulting status

1

U45201DL2005PTC143313

SMV BUILDWELL PRIVATE LIMITED

Director

30/09/2006

13/01/2006

01/11/2008

Active

NO

2

U45201DL2006PTC144849

PP DEVCON PRIVATE LIMITED

Director

29/09/2007

13/01/2006

27/01/2009

Active

NO

3

U45201DL2006PTC144848

AP BUILDCON PRIVATE LIMITED

Director

13/01/2006

13/01/2006

05/03/2007

Active

NO

4

U45201DL2006PTC144847

PM BUILDCON PRIVATE LIMITED

Director

13/01/2006

13/01/2006

28/01/2009

Amalgamated

NO

5

U45201DL2006PTC144851

PA BUILDWELL PRIVATE LIMITED

Director

13/01/2006

13/01/2006

29/01/2009

Amalgamated

NO

6

U45400DL2007PTC167418

CADILLAC INFRASTRUCTURE PRIVATE LIMITED

Director

27/08/2007

27/08/2007

-

Strike off

NO

7

U25200DL2008PLC181088

KLJ Plasticizers Limited.

Director

28/09/2011

18/07/2008

-

Active

NO

8

U74899DL1995PLC068170

KLJ ORGANIC LIMITED

Managing director

29/09/2011

23/08/2011

-

Active

NO

9

U45200DL2008PTC173709

HH BUILDTECH PRIVATE LIMITED

Additional director

20/02/2015

20/02/2015

-

Active

NO

10

U74899DL1953PTC002338

PRITHVI SOUND PRODUCTS COMPANY PRIVATE LIMITED

Additional director

20/02/2015

20/02/2015

-

Active

NO

11

U45201DL2006PTC144845

HA BUILDWELL PRIVATE LIMITED

Additional director

10/03/2015

10/03/2015

-

Active

NO

 

 

Name :

Mr. Kamal Jain

Designation :

Director

Address :

6- B/9, NEA, Old Rajinder Nagar, New Delhi – 110060, India

Date of Birth/Age :

08.04.1973

Date of Appointment :

05.05.1998

PAN No.:

AALPJ1364M

DIN No.:

00033355

Other Directorship:

S.

No.

CIN/LLPIN

Name of the Company/ LLP

Current designation of the Director/ Designated Partner

Date of appointment at current designation

Original date of appointment

Date of cessation

Company/ LLP Status

Defaulting status

1

U74899DL1995PLC068170

KLJ ORGANIC LIMITED

Director

05/05/1998

05/05/1998

-

Active

NO

2

U45201DL2005PTC143314

MVS BUILDWELL PRIVATE LIMITED

Director

29/12/2005

29/12/2005

02/03/2007

Active

NO

3

U45201DL2006PTC144825

MP BUILDCON PRIVATE LIMITED

Director

25/09/2006

25/01/2006

21/01/2009

Amalgamated

NO

4

U70101DL1998PTC092359

HAMLOG BUILDERS PRIVATE LIMITED

Director

30/09/2006

28/01/2006

24/01/2009

Amalgamated

NO

5

U70101DL1998PTC092091

LUBHAVANI ESTATE PRIVATE LIMITED

Director

30/09/2006

28/01/2006

22/01/2009

Amalgamated

NO

6

U51909DL1998PTC092014

UJJAVAL CONSUMABLE GOODS PRIVATE LIMITED

Director

30/09/2006

28/01/2006

23/01/2009

Amalgamated

NO

7

U24119DL1989PLC036883

K L J POLYMERS AND CHEMICALS LIMITED

Managing director

29/09/2011

30/06/2007

-

Active

NO

8

U45400DL2007PTC167472

CADILLAC TECHNO-BUILD PRIVATE LIMITED

Director

27/08/2007

27/08/2007

26/01/2009

Amalgamated

NO

9

U45400DL2008PTC173595

AK BUILDTECH PRIVATE LIMITED

Director

05/02/2008

05/02/2008

13/06/2008

Active

NO

10

U45200DL2008PTC173580

PK INFRACON PRIVATE LIMITED

Director

05/02/2008

05/02/2008

13/06/2008

Active

NO

11

U24232DL2008PTC173572

KLJ PHARMA PRIVATE LIMITED

Director

05/02/2008

05/02/2008

-

Strike off

NO

12

U25200DL2008PLC181088

KLJ Plasticizers Limited.

Director

18/07/2008

18/07/2008

-

Active

NO

13

U45200DL2008PTC173709

HH BUILDTECH PRIVATE LIMITED

Additional director

20/02/2015

20/02/2015

-

Active

NO

 

 

Name :

Mr. Hemant Jain

Designation :

Director

Address :

6- B/9, NEA, Old Rajinder Nagar, New Delhi – 110060, India

Date of Birth/Age :

18.08.1971

Qualification :

Gradate, diploma in International Business

Date of Appointment :

29.09.2007

PAN No.:

AALPJ1370K

DIN No.:

00506995

Other Directorship:

S.

No.

CIN/LLPIN

Name of the Company/ LLP

Current designation of the Director/ Designated Partner

Date of appointment at current designation

Original date of appointment

Date of cessation

Company/ LLP Status

Defaulting status

1

U24119DL1989PLC036883

K L J POLYMERS AND CHEMICALS LIMITED

Director

25/09/1989

25/09/1989

29/03/2014

Active

NO

2

U74210TG1994PTC019032

SUMAX ENGINEERING PRIVATE LIMITED

Director

29/09/2014

28/12/1996

-

Active

NO

3

U51495DL1997PTC088314

PRAGYA ENTERPRISES PRIVATE LIMITED

Director

03/07/1997

03/07/1997

08/02/2008

Amalgamated

NO

4

U24299DL1998PTC093855

PRAGYA PRODUCTS PRIVATE LIMITED

Director

15/05/1998

15/05/1998

14/05/2008

Active

NO

5

U70101DL1998PTC093856

CHETNA ESTATE PRIVATE LIMITED.

Director

15/05/1998

15/05/1998

08/02/2008

Amalgamated

NO

6

U72900DL2001PTC109334

KLJ INFOTECH PRIVATE LIMITED

Director

23/01/2001

23/01/2001

-

Active

NO

7

U70101DL1997PTC088313

KLJ ESTATES PRIVATE LIMITED

Director

24/07/2003

24/07/2003

08/02/2008

Amalgamated

NO

8

U45201DL2003PTC118748

GENIOUS PROMOTERS AND DEVELOPERS PRIVATE LIMITED

Director

15/10/2003

15/10/2003

17/06/2008

Active

NO

9

U74899DL1995PTC072219

DELHI BUILDWELL PRIVATE LIMITED

Director

27/04/2004

27/04/2004

30/03/2011

Active

NO

10

U74899DL1953PTC002338

PRITHVI SOUND PRODUCTS COMPANY PRIVATE LIMITED

Director

15/04/2005

15/04/2005

30/08/2013

Active

NO

11

U70101DL2005PTC139094

CADILLAC BUILDWELL PRIVATE LIMITED

Director

27/07/2005

27/07/2005

-

Amalgamated

NO

12

L67120WB1986PLC041487

KLJ RESOURCES LIMITED

Managing director

01/04/2014

01/10/2005

-

Active

NO

13

U45201DL2005PTC143434

SHV BUILDWELL PRIVATE LIMITED

Director

25/09/2006

29/12/2005

08/02/2008

Amalgamated

NO

14

U45201DL2005PTC143435

HVS BUILDWELL PRIVATE LIMITED

Director

25/09/2006

29/12/2005

01/03/2007

Under Process of Striking off

NO

15

U45201DL2006PTC144850

JS BUILDWELL PRIVATE LIMITED

Director

13/01/2006

13/01/2006

01/03/2007

Active

NO

16

U45201DL2006PTC144846

JM BUILDWELL PRIVATE LIMITED

Director

13/01/2006

13/01/2006

05/03/2007

Active

NO

17

U45201DL2006PTC144845

HA BUILDWELL PRIVATE LIMITED

Director

13/01/2006

13/01/2006

05/03/2007

Active

NO

18

U45201DL2006PTC144844

HP BUILDWELL PRIVATE LIMITED

Director

13/01/2006

13/01/2006

05/03/2007

Amalgamated

NO

19

U45201DL2005PTC143313

SMV BUILDWELL PRIVATE LIMITED

Director

22/01/2006

22/01/2006

05/03/2007

Active

NO

20

U45201DL2006PTC145296

KLJ DEVELOPERS PRIVATE LIMITED

Director

16/03/2010

24/01/2006

31/08/2013

Active

NO

21

U45201DL2006PTC144827

HM BUILDCON PRIVATE LIMITED

Director

01/08/2006

01/08/2006

05/03/2007

Active

NO

22

U15422DL1997PTC091143

PIONEER ESERVE PRIVATE LIMITED

Director

30/09/2009

03/10/2006

-

Active

NO

23

U45201DL2006PTC144848

AP BUILDCON PRIVATE LIMITED

Director

29/09/2007

10/07/2007

13/06/2008

Active

NO

24

U74899DL1995PLC068170

KLJ ORGANIC LIMITED

Director

29/09/2007

20/08/2007

-

Active

NO

25

U45400DL2007PTC167471

CADILLAC REAL-TECH PRIVATE LIMITED

Director

27/08/2007

27/08/2007

08/02/2008

Strike off

NO

26

U45400DL2007PTC167420

CADILLAC IT PARK PRIVATE LIMITED

Director

27/08/2007

27/08/2007

08/02/2008

Strike off

NO

27

U45400DL2007PTC167419

CADILLAC IT DEVELOPERS PRIVATE LIMITED

Director

27/08/2007

27/08/2007

08/02/2008

Strike off

NO

28

U45200DL2008PTC173602

PH INFRASTRUCTURE PRIVATE LIMITED

Director

05/02/2008

05/02/2008

13/06/2008

Active

NO

29

U55101DL2008PTC173687

KLJ RESORTS PRIVATE LIMITED

Director

06/02/2008

06/02/2008

-

Strike off

NO

30

U45200DL2008PTC173580

PK INFRACON PRIVATE LIMITED

Director

30/09/2009

02/04/2009

05/05/2011

Active

NO

31

U72200DL2006PTC147341

Sunny IT Infrasoft Private Limited

Additional director

10/06/2009

10/06/2009

30/09/2009

Active

NO

32

U74999DL2009PTC191454

KOYO LIFT SYSTEMS INDIA PRIVATE LIMITED

Director

22/06/2009

22/06/2009

15/03/2010

Strike off

NO

33

U70200DL2008PTC175282

KLJ REALTECH PRIVATE LIMITED

Additional director

26/03/2015

26/03/2015

-

Active

NO

 

 

Name :

Mr. Virendra Kumar Singhi 

Designation :

Director

Address :

K -71, Kirti Nagar, New Delhi – 110 015, India

Date of Birth/Age :

02.10.1964

Date of Appointment :

30.09.1997

DIN No.:

00028824

Other Directorship:

S.

No.

CIN/LLPIN

Name of the Company/ LLP

Current designation of the Director/ Designated Partner

Date of appointment at current designation

Original date of appointment

Date of cessation

Company/ LLP Status

Defaulting status

1

U74899DL1995PLC068170

KLJ ORGANIC LIMITED

Director

30/09/1997

30/09/1997

-

Active

NO

2

U51495DL1998PTC092781

UJJAVAL TRADERS PRIVATE LIMITED.

Director

18/03/1998

18/03/1998

-

Active

NO

3

U74140DL1949PTC001672

VIRMANI INDUSTRIES PRIVATE LIMITED

Director

13/12/2002

13/12/2002

-

Active

NO

4

U45201DL2005PTC143314

MVS BUILDWELL PRIVATE LIMITED

Director

06/12/2005

06/12/2005

21/12/2010

Active

NO

5

U45201DL2005PTC143435

HVS BUILDWELL PRIVATE LIMITED

Director

08/12/2005

08/12/2005

-

Under Process of Striking off

NO

6

U45201DL2005PTC143434

SHV BUILDWELL PRIVATE LIMITED

Director

08/12/2005

08/12/2005

-

Amalgamated

NO

7

L67120WB1986PLC041487

KLJ RESOURCES LIMITED

Director

30/09/2009

19/01/2009

18/08/2011

Active

NO

8

U45200DL2008PTC173580

PK INFRACON PRIVATE LIMITED

Director

30/09/2009

02/04/2009

-

Active

NO

9

U74999DL2009PTC191454

KOYO LIFT SYSTEMS INDIA PRIVATE LIMITED

Director

22/06/2009

22/06/2009

-

Strike off

NO

10

U74210TG1994PTC019032

SUMAX ENGINEERING PRIVATE LIMITED

Director

02/09/2011

18/01/2011

08/02/2014

Active

NO

11

U51909WB2007PTC117842

PRAGATI IMPTRADE PRIVATE LIMITED

Director

25/02/2011

25/02/2011

-

Active

NO

12

U70101MH2011PTC219097

SPRINGDALE TOWNSHIPS AND RESORTS PRIVATE LIMITED

Director

20/12/2011

20/12/2011

30/12/2014

Active

NO

13

U70102MH2011PTC219700

BROKENHILLS TOWNSHIPS AND RESORTS PRIVATE LIMITED

Director

20/12/2011

20/12/2011

30/12/2014

Active

NO

14

U70102MH2012PTC230851

Altamonte Townships And Resorts Private Limited

Director

18/01/2013

18/01/2013

30/12/2014

Active

NO

15

U70200MH2012PTC231228

Valley View Townships Private Limited

Director

18/01/2013

18/01/2013

30/12/2014

Active

NO

 

 

Name :

Mr. Shanti Lal Dugar

Designation :

Director

Address :

3/104, 2nd Floor, Ramesh Nagar, New Delhi-110015, India

Date of Birth/Age :

16.07.1978

Qualification :

CA

Date of Appointment :

29.09.2011

DIN No.:

03441727

Other Directorship:

S.

No.

CIN/LLPIN

Name of the Company/ LLP

Current designation of the Director/ Designated Partner

Date of appointment at current designation

Original date of appointment

Date of cessation

Company/ LLP Status

Defaulting status

1

U74899DL1995PLC068170

KLJ ORGANIC LIMITED

Director

29/09/2011

01/02/2011

-

Active

NO

2

L67120WB1986PLC041487

KLJ RESOURCES LIMITED

Director

30/09/2011

22/07/2011

-

Active

NO

 

 

Name :

Mr. Mulkh Raj Bhalla

Designation :

Director

Address :

D-74, Kirti Nagar, New Delhi – 110015, India

Date of Birth/Age :

15.04.1930

Date of Appointment :

27.09.2012

DIN No.:

06369037

Other Directorship:

S.

No.

CIN/LLPIN

Name of the Company/ LLP

Current designation of the Director/ Designated Partner

Date of appointment at current designation

Original date of appointment

Date of cessation

Company/ LLP Status

Defaulting status

1

U74899DL1995PLC068170

KLJ ORGANIC LIMITED

Director

27/09/2012

06/08/2012

-

Active

NO

 

 

 

KEY EXECUTIVES

 

Name :

Mr. Ashish Marwah

Designation :

Senior Manager Finance

 

 

MAJOR SHAREHOLDERS

 

As on 26.09.2014

 

Names of Shareholders

 

 

No. of Shares

Kanhaiya Lal Jain

 

775000

Hemant Jain

 

496000

V L Sood

 

250

Sushila Patawari

 

625000

Mangi Lal Sethia

 

250

Kamal Jain

 

396000

Pushp Jain

 

633500

Kanhaiyalal Jain and Sons HUF

 

396000

KLJ Polymers and Chemicals Limited, India

 

282000

Kinetic Impex Limited, India

 

396000

Total

 

4000000

 

 

Equity Share Break up (Percentage of Total Equity)

 

As on 26.09.2014

 

Category

 

Percentage

Bodies corporate

16.95

Directors or relatives of Directors

83.04

Others

0.01

Total

100.00

 

 

 

 

BUSINESS DETAILS

 

Line of Business :

Manufacturing and Exporting of Secondary Plasticizer, Chlorinated Paraffin and Tri Cresyl, Phosphate and Tri Phenyl Phosphate and its bye products.

 

 

Products :

Product Description

 

Item Code No. (ITC Code)

Chloronated Paraffin Wax

27122010

 

 

Brand Names :

--

 

 

Agencies Held :

--

 

 

Exports :

 

Products :

  • Secondary Plasticizer
  • Chlorinated Paraffin
  • Tri Cresyl
  • Phosphate and Tri Phenyl Phosphate

Countries :

  • European Countries
  • Italy
  • Dubai
  • UAE
  • African Countries
  • US

 

 

Imports :

 

Products :

Raw Material

Countries :

  • UAE
  • Malaysia
  • Singapore

 

 

Terms :

 

Selling :

Cash and Credit

 

 

Purchasing :

Cash and Credit

 

PRODUCTION STATUS (As on 31.03.2014)

 

Particulars

Unit

Installed Capacity

Actual Production

CPW

MT/PA

80000

65562

TTP/TCP

MT/MA

2400

315

HCL Bye Product

MT

--

89221

 

 

GENERAL INFORMATION

 

Suppliers :

Reference 1 :

Sabic, UAE

Reference 2 :

Shell MDS, Malaysia

Name of the Person :

Not Divulged 

Contact No.:

Not Divulged 

Since How Long Known :

Not Divulged 

Experience :

Not Divulged 

Maximum Limit Dealt :

Not Divulged 

Remark :

Not Divulged 

 

 

Customers :

Reference :

Not Divulged 

Name of the Person :

Not Divulged 

Contact No.:

Not Divulged 

Since How Long Known :

Not Divulged 

Experience :

Not Divulged 

Maximum Limit Dealt :

Not Divulged 

Remark :

Not Divulged 

 

 

No. of Employees :

200 (Approximately)

 

 

Bankers :

Banker Name

State Bank of India

Branch Address

Commercial Branch, N-3, South Extension Part -I, New Delhi - 110049, Delhi, India

Person Name (With Designation)

Not Divulged 

Contact Number

Not Divulged 

Name of Account Holder

Not Divulged 

Account Number

Not Divulged 

Account Since (Date/Year of Account Opening)

Not Divulged 

Average Balance Maintained (If Possible)

Not Divulged 

Credit Facilities Enjoyed (If any)

Not Divulged 

Account Operation

Not Divulged 

Remarks (If any)

Not Divulged 

 

 

Facilities :

SECURED LOANS

31.03.2014

Rs. In Million

31.03.2013

Rs. In Million

LONG TERM BORROWINGS

 

 

Other loans and advance

1.344

3.473

SHORT TERM BORROWINGS

 

 

Rupees term loans from banks

229.510

160.880

Total

230.854

164.353

 

 

 

Auditors :

 

Name :

Nahata Jain Golchha and Company

Chartered Accountants

Address :

4378, Murlilal Street, 4B, Ansari Road, Darya Ganj, New Delhi – 110002, India

PAN No.:

AAEFN8137H

 

 

Memberships :

--

 

 

Collaborators :

--

 

 

Associate :

  • KLJ Developers private limited

CIN No.: U45201DL2006PTC145296

  • KLJ Polymers and Chemicals Limited

CIN No.: U24119DL1989PLC036883

  • Kundalia Industries
  • KLJ Plasticizers Limited

CIN No.: U25200DL2008PLC181088

  • KLJ Resources Limited

CIN No.: L67120WB1986PLC041487

  • Kinetic Impex Limited

CIN No.: L51909WB1985PLC039455

  • HH Buildtech Private Limited

CIN No.: U45200DL2008PTC173709

  • Hamlog Traders Private Limited

CIN No.: U51909DL1997PTC091106

  • Ashulok Traders Private Limited

CIN No.: U45303DL1997PTC091172

 

 

Subsidiaries :

  • KLJ Organics (Thailand) Limited
  • KLJ Organic (Qatar Wll) Limited

 

 

CAPITAL STRUCTURE

 

As on 26.09.2014

 

Authorised Capital :

No. of Shares

Type

Value

Amount

 

 

 

 

4500000

Equity Shares

Rs.10/- each

Rs. 45.000 Million

 

Issued, Subscribed & Paid-up Capital :

No. of Shares

Type

Value

Amount

 

 

 

 

4000000

Equity Shares

Rs.10/- each

Rs. 40.000 Million

 

 


FINANCIAL DATA

[all figures are in Rupees Million]

 

ABRIDGED BALANCE SHEET

 

SOURCES OF FUNDS

 

31.03.2014

31.03.2013

31.03.2012

I.              EQUITY AND LIABILITIES

 

 

 

(1)Shareholders' Funds

 

 

 

(a) Share Capital

40.000

40.000

40.000

(b) Reserves & Surplus

1,117.733

1,086.159

898.006

(c) Money received against share warrants

0.000

0.000

0.000

 

 

 

 

(2) Share Application money pending allotment

0.000

0.000

0.000

Total Shareholders’ Funds (1) + (2)

1,157.733

1,126.159

938.006

 

 

 

 

(3) Non-Current Liabilities

 

 

 

(a) long-term borrowings

1.344

3.473

9.820

(b) Deferred tax liabilities (Net)

9.637

7.458

3.998

(c) Other long term liabilities

0.000

0.000

0.000

(d) long-term provisions

5.112

4.991

2.791

Total Non-current Liabilities (3)

16.093

15.922

16.609

 

 

 

 

(4) Current Liabilities

 

 

 

(a) Short term borrowings

284.893

316.032

97.091

(b) Trade payables

586.130

550.361

437.256

(c) Other current liabilities

71.311

84.553

151.595

(d) Short-term provisions

59.556

249.076

165.636

Total Current Liabilities (4)

1,001.890

1,200.022

851.578

 

 

 

 

TOTAL

2,175.716

2,342.103

1,806.193

 

 

 

 

II.            ASSETS

 

 

 

(1) Non-current assets

 

 

 

(a) Fixed Assets

 

 

 

(i) Tangible assets

245.197

252.262

250.310

(ii) Intangible Assets

10.159

14.591

0.000

(iii) Capital work-in-progress

3.300

3.330

5.440

(iv) Intangible assets under development

0.000

0.000

0.000

(b) Non-current Investments

211.631

115.733

115.733

(c) Deferred tax assets (net)

0.000

0.000

0.000

(d)  Long-term Loan and Advances

161.721

193.717

44.275

(e) Other Non-current assets

0.000

0.000

0.000

Total Non-Current Assets

632.008

579.633

415.758

 

 

 

 

(2) Current assets

 

 

 

(a) Current investments

0.000

0.000

0.000

(b) Inventories

838.222

808.377

465.679

(c) Trade receivables

489.967

388.621

417.231

(d) Cash and cash equivalents

61.351

32.837

28.849

(e) Short-term loans and advances

154.168

532.635

468.075

(f) Other current assets

0.000

0.000

10.601

Total Current Assets

1,543.708

1,762.470

1,390.435

 

 

 

 

TOTAL

2,175.716

2,342.103

1,806.193

 

 

PROFIT & LOSS ACCOUNT

 

 

PARTICULARS

31.03.2014

31.03.2013

31.03.2012

 

SALES

 

 

 

 

 

Income

3,778.015

3,572.745

3,132.892

 

 

Other Income

41.576

42.273

20.125

 

 

TOTAL                                         (A)

3,819.591

3,615.018

3,153.017

 

 

 

 

 

Less

EXPENSES

 

 

 

 

 

Cost of Materials Consumed

3,381.455

2,966.958

2,471.718

 

 

Changes in Inventories of finished goods, work-in-progress and stock-in-trade

(26.328)

(26.540)

(4.486)

 

 

Employee Benefits Expenses

58.637

62.390

49.906

 

 

Other Expenses

284.671

269.814

202.794

 

 

TOTAL                                         (B)

3,698.435

3,272.622

2,719.932

 

 

 

 

 

 

PROFIT/(LOSS) BEFORE INTEREST, TAX, DEPRECIATION AND AMORTISATION (A-B)     (C)

121.156

342.396

433.085

 

 

 

 

 

Less

FINANCIAL EXPENSES                                    (D)

34.292

26.813

21.236

 

 

 

 

 

 

PROFIT/(LOSS) BEFORE TAX, DEPRECIATION AND AMORTISATION (C-D)                                (E)

86.864

315.583

411.849

 

 

 

 

 

Less

DEPRECIATION/ AMORTISATION                     (F)

36.804

37.133

28.939

 

 

 

 

 

 

PROFIT/(LOSS) BEFORE TAX (E-F)                  (G)     

50.060

278.450

382.910

 

 

 

 

 

Less

TAX                                                                  (H)

18.486

90.297

125.154

 

 

 

 

 

 

PROFIT/(LOSS) AFTER TAX (G-H)                    (I)

31.574

188.153

257.756

 

 

 

 

 

Add

PREVIOUS YEARS’ BALANCE BROUGHT FORWARD

1107.162

919.009

661.252

 

 

 

 

 

 

BALANCE CARRIED TO THE B/S

1138.736

1107.162

919.009

 

 

 

 

 

 

EARNINGS IN FOREIGN CURRENCY

 

 

 

 

 

Export Earnings

1165.400

918.732

636.300

 

TOTAL EARNINGS

1165.400

918.732

636.300

 

 

 

 

 

 

IMPORTS

 

 

 

 

 

Raw Materials

1505.900

1016.456

692.659

 

TOTAL IMPORTS

1505.900

1016.456

692.659

 

 

 

 

 

 

Earnings / (Loss) Per Share (Rs.)

7.89

47.04

64.44

 

Expected Sales (2014-2015): Rs.4080.000 Million

 

The above information has been parted by Mr. Ashish Marwah

 

 

KEY RATIOS

 

PARTICULARS

 

 

31.03.2014

31.03.2013

31.03.2012

Net Profit Margin

(PAT/Sales)

(%)

0.84

5.27

8.23

 

 

 

 

 

Operating Profit Margin

(PBDIT/Sales)

(%)

3.21

9.58

13.82

 

 

 

 

 

Return on Total Assets

(PBT/Total Assets}

(%)

2.55

12.53

22.72

 

 

 

 

 

Return on Investment (ROI)

(PBT/Networth)

 

0.04

0.25

0.41

 

 

 

 

 

Debt Equity Ratio

(Total Debt /Networth)

 

0.25

0.28

0.11

 

 

 

 

 

Current Ratio

(Current Asset/Current Liability)

 

1.54

1.47

1.63

 


 

FINANCIAL ANALYSIS

[all figures are in Rupees Million]

 

DEBT EQUITY RATIO

 

Particular

31.03.2012

31.03.2013

31.03.2014

 

Rs. In Million

Rs. In Million

Rs. In Million

Share Capital

40.000

40.000

40.000

Reserves & Surplus

898.006

1086.159

1117.733

Money received against share warrants

0.000

0.000

0.000

Share Application money pending allotment

0.000

0.000

0.000

Net worth

938.006

1126.159

1157.733

 

 

 

 

Long Term borrowings

9.820

3.473

1.344

Short Term borrowings

97.091

316.032

284.893

Total borrowings

106.911

319.505

286.237

Debt/Equity ratio

0.114

0.284

0.247

 

 

 

 

YEAR-ON-YEAR GROWTH

 

Year on Year Growth

31.03.2012

31.03.2013

31.03.2014

 

Rs. In Million

Rs. In Million

Rs. In Million

Sales

3,132.892

3,572.745

3,778.015

 

 

14.040

5.745

 

 

 

NET PROFIT MARGIN

 

Net Profit Margin

31.03.2012

31.03.2013

31.03.2014

 

Rs. In Million

Rs. In Million

Rs. In Million

Sales

3,132.892

3,572.745

3,778.015

Profit

257.756

188.153

31.574

 

8.23%

5.27%

0.84%

 

 

LOCAL AGENCY FURTHER INFORMATION

 

Sr. No.

Check List by Info Agents

Available in Report (Yes / No)

1]

Year of Establishment

Yes

2]

Locality of the firm

Yes

3]

Constitutions of the firm

Yes

4]

Premises details

No

5]

Type of Business

Yes

6]

Line of Business

Yes

7]

Promoter's background

Yes

8]

No. of employees

Yes

9]

Name of person contacted

Yes

10]

Designation of contact person

Yes

11]

Turnover of firm for last three years

Yes

12]

Profitability for last three years

Yes

13]

Reasons for variation <> 20%

-----------

14]

Estimation for coming financial year

Yes

15]

Capital in the business

Yes

16]

Details of sister concerns

Yes

17]

Major suppliers

Yes

18]

Major customers

No

19]

Payments terms

Yes

20]

Export / Import details (if applicable)

Yes

21]

Market information

----------

22]

Litigations that the firm / promoter involved in

----------

23]

Banking Details

Yes

24]

Banking facility details

Yes

25]

Conduct of the banking account

----------

26]

Buyer visit details

----------

27]

Financials, if provided

Yes

28]

Incorporation details, if applicable

Yes

29]

Last accounts filed at ROC

Yes

30]

Major Shareholders, if available

Yes

31]

Date of Birth of Proprietor/Partner/Director, if available

Yes

32]

PAN of Proprietor/Partner/Director, if available

No

33]

Voter ID No of Proprietor/Partner/Director, if available

No

34]

External Agency Rating, if available

Yes

 

 

UNSECURED LOANS:

 

Particulars

31.03.2014

Rs. In Million

31.03.2013

Rs. In Million

SHORT TERM BORROWINGS

 

 

Loan and Advances from related parties

55.383

155.152

Total

55.383

155.152

 

 

CORPORATE INFORMATION

 

Subject is a public limited company, having two manufacturing units domiciled in India, incorporated under the provisions of the Companies Act, 1956. The company is engaged in the manufacturing and selling of secondary plasticizer, Chlorinated Paraffin and Tri Cresyl Phosphate and Tri Phenyl Phosphate and its bye products. The company caters to both domestic as well as international markets.

 

 

PROJECT OVERVIEW

 

Subject has entered into a joint agreement with Qatar Industrial Manufacturing Company (QIMC) to set up an integrated Chemical Complex in Qatar with an estimated project cost of USD 100 million. Subject has 40% stake in the share capital of the joint venture company and the balance 60% stake hold by the Qatar Industrial Manufacturing Company. The new Company KLJ Organic Qatar W.L.L. has been incorporated on 21.12.2009 for this project under the Chairmanship of Sh. Abdulrahman Bin M.J.Al-Thani.

 

 

INDEX OF CHARGE:

 

Sr. No.

Charge ID

Date of Charge Creation/Modification

Charge amount secured

Charge Holder

Address

Service Request Number (SRN)

1

10404506

30/01/2013

2,396,300,000.00

State Bank of India

Commercial Branch, N-3 South Extension Part-I, New Delhi, Delhi - 110048, India 

B68629203

2

10014186

12/03/2013 *

1,370,000,000.00

State Bank of India

Commercial Branch, N-3, South Extension Part -I, New Delhi, Delhi - 110049, India

B73653073

 

*Date of modification Charges

 

 


FIXED ASSETS:

 

·         Land

·         Building

·         Plant and Machinery

·         Computer

·         Vehicles

·         Furniture and Fixture

 


CMT REPORT (Corruption, Money Laundering & Terrorism]

 

The Public Notice information has been collected from various sources including but not limited to: The Courts, India Prisons Service, Interpol, etc.

 

1]         INFORMATION ON DESIGNATED PARTY

No exist designating subject or any of its beneficial owners, controlling shareholders or senior officers as terrorist or terrorist organization or whom notice had been received that all financial transactions involving their assets have been blocked or convicted, found guilty or against whom a judgement or order had been entered in a proceedings for violating money-laundering, anti-corruption or bribery or international economic or anti-terrorism sanction laws or whose assets were seized, blocked, frozen or ordered forfeited for violation of money laundering or international anti-terrorism laws.

 

2]         Court Declaration :

No exist to suggest that subject is or was the subject of any formal or informal allegations, prosecutions or other official proceeding for making any prohibited payments or other improper payments to government officials for engaging in prohibited transactions or with designated parties.

 

3]         Asset Declaration :

No records exist to suggest that the property or assets of the subject are derived from criminal conduct or a prohibited transaction.

 

4]         Record on Financial Crime :

            Charges or conviction registered against subject:                                                           None

 

5]         Records on Violation of Anti-Corruption Laws :

            Charges or investigation registered against subject:                                                        None

 

6]         Records on Int’l Anti-Money Laundering Laws/Standards :

            Charges or investigation registered against subject:                                                        None

 

7]         Criminal Records

No available information exist that suggest that subject or any of its principals have been formally charged or convicted by a competent governmental authority for any financial crime or under any formal investigation by a competent government authority for any violation of anti-corruption laws or international anti-money laundering laws or standard.

 

8]         Affiliation with Government :

No record exists to suggest that any director or indirect owners, controlling shareholders, director, officer or employee of the company is a government official or a family member or close business associate of a Government official.

 

9]         Compensation Package :

Our market survey revealed that the amount of compensation sought by the subject is fair and reasonable and comparable to compensation paid to others for similar services.

 

10]        Press Report :

            No press reports / filings exists on the subject.

 

CORPORATE GOVERNANCE

 

MIRA INFORM as part of its Due Diligence do provide comments on Corporate Governance to identify management and governance. These factors often have been predictive and in some cases have created vulnerabilities to credit deterioration.

 

Our Governance Assessment focuses principally on the interactions between a company’s management, its Board of Directors, Shareholders and other financial stakeholders.

 

 

CONTRAVENTION

 

Subject is not known to have contravened any existing local laws, regulations or policies that prohibit, restrict or otherwise affect the terms and conditions that could be included in the agreement with the subject.

 

 

FOREIGN EXCHANGE RATES

 

Currency

Unit

Indian Rupees

US Dollar

1

Rs.63.61

UK Pound

1

Rs.96.56

Euro

1

Rs.69.18

 

 

INFORMATION DETAILS

 

Information Gathered by :

RKH

 

 

Analysis Done by :

KAR

 

 

Report Prepared by :

VNT


 

SCORE & RATING EXPLANATIONS

 

SCORE FACTORS

 

RANGE

POINTS

HISTORY

1~10

8

PAID-UP CAPITAL

1~10

7

OPERATING SCALE

1~10

8

FINANCIAL CONDITION

 

 

--BUSINESS SCALE

1~10

8

--PROFITABILITY

1~10

7

--LIQUIDITY

1~10

8

--LEVERAGE

1~10

8

--RESERVES

1~10

8

--CREDIT LINES

1~10

8

--MARGINS

-5~5

--

DEMERIT POINTS

 

 

--BANK CHARGES

YES/NO

YES

--LITIGATION

YES/NO

NO

--OTHER ADVERSE INFORMATION

YES/NO

NO

MERIT POINTS

 

 

--SOLE DISTRIBUTORSHIP

YES/NO

NO

--EXPORT ACTIVITIES

YES/NO

YES

--AFFILIATION

YES/NO

YES

--LISTED

YES/NO

NO

--OTHER MERIT FACTORS

YES/NO

YES

DEFAULTER

 

 

--RBI

YES/NO

NO

--EPF

YES/NO

NO

 

 

 

TOTAL

 

70

 

This score serves as a reference to assess SC’s credit risk and to set the amount of credit to be extended. It is calculated from a composite of weighted scores obtained from each of the major sections of this report. The assessed factors and their relative weights (as indicated through %) are as follows:

 

Financial condition (40%)            Ownership background (20%)                  Payment record (10%)

Credit history (10%)                   Market trend (10%)                                Operational size (10%)

 


 

RATING EXPLANATIONS

 

 

RATING

STATUS

 

 

PROPOSED CREDIT LINE

>86

Aaa

Possesses an extremely sound financial base with the strongest capability for timely payment of interest and principal sums

 

Unlimited

71-85

Aa

Possesses adequate working capital. No caution needed for credit transaction. It has above average (strong) capability for payment of interest and principal sums

 

Large

56-70

A

Financial & operational base are regarded healthy. General unfavourable factors will not cause fatal effect. Satisfactory capability for payment of interest and principal sums

 

Fairly Large

41-55

Ba

Overall operation is considered normal. Capable to meet normal commitments.

 

Satisfactory

26-40

B

Capability to overcome financial difficulties seems comparatively below average.

 

Small

11-25

Ca

Adverse factors are apparent. Repayment of interest and principal sums in default or expected to be in default upon maturity

 

Limited with full security

<10

C

Absolute credit risk exists. Caution needed to be exercised

 

 

Credit not recommended

NB

NEW BUSINESS

 

 

 

PRIVATE & CONFIDENTIAL : This information is provided to you at your request, you having employed MIPL for such purpose. You will use the information as aid only in determining the propriety of giving credit and generally as an aid to your business and for no other purpose. You will hold the information in strict confidence, and shall not reveal it or make it known to the subject persons, firms or corporations or to any other. MIPL does not warrant the correctness of the information as you hold it free of any liability whatsoever. You will be liable to and indemnify MIPL for any loss, damage or expense, occasioned by your breach or non observance of any one, or more of these conditions

This report is issued at your request without any risk and responsibility on the part of MIRA INFORM PRIVATE LIMITED (MIPL) or its officials.