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3decades

 

MIRA INFORM REPORT

 

 

Report No. :

499473

Report Date :

28.03.2018

 

 

 

IDENTIFICATION DETAILS

 

Name :

EROS INFRASTRUCTURES PRIVATE LIMITED (w.e.f. 05.02.2006)

 

 

Formally known as:

EROS IMPLEMENTS PRIVATE LIMITED

 

 

Registered Office :

2nd Floor, Gaitry Sadan, Ghat Road, Nagpur - 440018, Maharashtra

Tel. No.:

91-712-2737672/ 3205305

 

 

Country :

India

 

 

Financials (as on) :

31.03.2016

 

 

Date of Incorporation :

30.12.2003

 

 

Com. Reg. No.:

11-143743

 

 

Capital Investment / Paid-up Capital :

INR 40.000 Million

 

 

CIN No.:

[Company Identification No.]

U29295MH2003PTC143743

 

 

IEC No.:

[Import-Export Code No.]

Not Divulged

 

 

GSTN :

[Goods & Service Tax Registration No.]

27AABCE3260A1Z9

 

 

TIN No:

27160559647

 

 

TAN No.:

[Tax Deduction & Collection Account No.]

Not Available

 

 

PAN No.:

[Permanent Account No.]

AABCE3260A

 

 

Legal Form :

Private Limited Liability Company

 

 

Line of Business :

  • Manufacturer of fabricated structural of iron and steel, bridges and bridge parts, towers, masts, columns, girders, trusses, arches, sluice gates, piers and ettles. Erection of the structures from self-manufactures parts is includes.  (Registered activity)

 

  • Subject engaged in the production of parts for Transmission Line and Telecom Towers and any general fabrication with galavanizing activities. [Confirmed by management ]

 

 

No. of Employees :

200 (Approximately)

 

 

RATING & COMMENTS

(Mira Inform has adopted New Rating mechanism w.e.f. 23rd January 2017)

 

MIRA’s Rating :

A

 

Credit Rating

Explanation

Rating Comments

A

Acceptable Risk

Business dealings permissible with moderate risk of default

 

Status :

Satisfactory

 

 

Payment Behaviour :

Slow But Correct

 

 

Litigation :

Clear

 

 

Comments :

Subject was incorporated in the year 2003. It is a part of EROS Group.

 

The company is engaged in the production of parts for transmission line telecom tower.

 

As per the Registrar of Companies date of balance sheet (i.e. financial filed) is shown as 31.03.2017 but documents related to the financial for the year 31.03.2017 are not available from any sources.

 

As per the financial records of 2016, the company has reported a decline in its revenue as compared to the previous year’s revenue but has managed to maintain profitability margin of 7.19%.

 

The overall financial position of the company seems to be satisfactory marked by adequate net worth base along with low debt balance sheet profile and average liquidity position.

 

Business is active. Payment seems to be slow but correct.

 

In view of aforesaid, the company can be considered for business dealings at usual trade terms and condition.

 

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

 

Country Name

Previous Rating

(30.09.2017)

Current Rating

(31.12.2017)

India

A1

A1

 

Risk Category

ECGC Classification

Insignificant

 

A1

Low Risk

 

A2

Moderately Low Risk

 

B1

Moderate Risk

 

B2

Moderately High Risk

 

C1

High Risk

 

C2

Very High Risk

 

D

 

 

EXTERNAL AGENCY RATING

 

Rating Agency Name

Not Available

Rating

Not Available

Rating Explanation

Not Available

Date

Not Available

 

 

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 31-03-2016.

 

 

BIFR (Board for Industrial & Financial Reconstruction) LISTING STATUS

 

Subject’s name is not listed as a Sick Unit in the publicly available BIFR (Board for Industrial & Financial Reconstruction) list as of 28.03.2018

 

 

IBBI (Insolvency and Bankruptcy Board of India) LISTING STATUS

 

Subject’s name is not listed in the publicly available IBBI (Insolvency and Bankruptcy Board of India) list as of report date.

 

 

INFORMATION PARTED BY (GENERAL DETAILS)

 

Name :

Mr. Shrinivas Chippa

Designation :

DGM – Finance

Contact No.:

91- 9371272053

Date :

28.03.2018

 

 

LOCATIONS

 

Registered Office :

2nd Floor, Gaitry Sadan, Ghat Road, Nagpur - 440018, Maharashtra, India

Tel. No.:

91 – 712 - 2737672/ 3205305

Mob. No:

91- 9371272053 (Mr. Shrinivas Chippa)

Fax No.:

91-712-2734474

E-Mail :

chippa@erosgroup.co.in

eipl.sales@erosgroup.co.in
amitp@erosgroup.co.in

group.admn@erosgroup.co.in
hr@erosgroup.co.in

eros_ngp@bsnl.in

Website :

http://www.erosgroup.co.in

Location:

Owned

Locality:

Commercial Cum Residential

 

 

Corporate Office/ Factory :

Plot No. G-97, MIDC Industrial Area, Butibori, Nagpur - 441103, Maharashtra, India

Tel. No.:

91-7103- 297611

Fax No.:

91-712-2734474

 

 

 

DIRECTORS

 

AS ON 31.03.2017

 

Name :

Mr. Amitkumar Narayanprasad Pande

Designation :

Director

Address :

Plot No. 7, Bhagwaghar Layout, Behind Alankar Cinema, Dharampeth, North Ambazari Road,  Nagpur-440010, Maharashtra, India

Date of Appointment :

30.12.2003

DIN No.:

01430054

Other Directorship:

CIN/FCRN

Company Name

Begin Date

End Date

U99999MH1976PTC018808

EROS METAL WORKS PRIVATE LIMITED

04/05/2004

-

U65920MH1999PTC118327

MBP FINANCE AND INVESTMENTS PRIVATE LIMITED

12/02/1999

-

U02914MH2006PTC161163

EROS AUTO PRIVATE LIMITED

17/04/2006

-

U45400MH2011PTC220910

EROS LIFE SPACE DEVELOPERS PRIVATE LIMITED

09/07/2013

-

U74120MH2013PTC239489

NAGPUR AUTO AND ENGINEERING CLUSTER PRIVATE LIMITED

09/01/2013

-

 

 

Name :

Mrs. Gaitrydevi Narayanprasad Pande

Designation :

Director

Address :

Plot No. 7, Bhagwaghar Layout, Behind Alankar Cinema, Dharampeth, North Ambazari Road,  Nagpur-440010, Maharashtra, India

Date of Appointment :

30.12.2003

DIN No.:

01473449

Other Directorship:

 

 

CIN/FCRN

Company Name

Begin Date

End Date

U65920MH1999PTC118327

MBP FINANCE AND INVESTMENTS PRIVATE LIMITED

12/02/1999

-

U29199MH2006PTC165171

GEE DEE METAL CRAFTS PRIVATE LIMITED

18/10/2006

-

U45400MH2011PTC220910

EROS LIFE SPACE DEVELOPERS PRIVATE LIMITED

09/07/2013

-

 

 

Name :

Mrs. Renu Akhil Pande

Designation :

Director

Address :

Plot No. 7, Bhagwaghar Layout, Behind Alankar Cinema, Dharampeth, North Ambazari Road,  Nagpur-440010, Maharashtra, India

Date of Appointment :

01.09.2006

DIN No.:

01769863

 

 

Name :

Mrs. Preetidevi Avinash Pande

Designation :

Director

Address :

Plot No. 7, Bhagwaghar Layout, Behind Alankar Cinema, Dharampeth, North Ambazari Road,  Nagpur-440010, Maharashtra, India

Date of Birth/Age :

12.12.1964

PAN No:

ACBPP4338F

Passport Number

E0629858

Date of Appointment :

01.09.2006

DIN No.:

01769902

 

 

Name :

Mr. Atulkumar Narainprasad Pande

Designation :

Director

Address :

Plot No. 19, Bhagwaghar Layout, Behind Alankar Cinema, Dharampeth, North Ambazari Road,  Nagpur-440010, Maharashtra, India

Date of Appointment :

30.12.2003

DIN No.:

01774377

Other Directorship:

 

CIN/FCRN

Company Name

Begin Date

End Date

U99999MH1976PTC018808

EROS METAL WORKS PRIVATE LIMITED

04/05/2004

-

U50100MH1999PTC117840

EROS MOTORS PRIVATE LIMITED

06/04/2004

-

U65920MH1999PTC118327

MBP FINANCE AND INVESTMENTS PRIVATE LIMITED

06/04/2004

-

U02914MH2006PTC161163

EROS AUTO PRIVATE LIMITED

17/04/2006

-

U29199MH2006PTC165171

GEE DEE METAL CRAFTS PRIVATE LIMITED

18/10/2006

-

U45400MH2011PTC220910

EROS LIFE SPACE DEVELOPERS PRIVATE LIMITED

09/07/2013

-

U51393MH2004PTC143835

EROS GENERAL AGENCIES PRIVATE LIMITED

05/01/2004

-

U29230MH2004PTC147062

EROS FURNITURE PRIVATE LIMITED

21/06/2004

-

U27200TG2007PTC054260

BRIGHTVIEW ENGINEERING PRODUCTS INDIA PRIVATE LIMITED

30/09/2016

-

 

 

Name :

Mr. Anilkumar Narayanprasad Pande

Designation :

Director

Address :

Plot No. 7, Bhagwaghar Layout, Behind Alankar Cinema, Dharampeth, North Ambazari Road,  Nagpur-440010, Maharashtra, India

Date of Birth/Age :

17.12.1955

PAN No:

AGAPP1700A

Passport Number

E3833282

Date of Appointment :

01.09.2006

DIN No.:

01775828

Other Directorship:

 

CIN/FCRN

Company Name

Begin Date

End Date

U65920MH1999PTC118327

MBP FINANCE AND INVESTMENTS PRIVATE LIMITED

06/04/2004

-

U45400MH2011PTC220910

EROS LIFE SPACE DEVELOPERS PRIVATE LIMITED

09/07/2013

-

U51393MH2004PTC143835

EROS GENERAL AGENCIES PRIVATE LIMITED

05/01/2004

-

U29290MH2004PTC147683

ORANGE CITY METAL PRIVATE LIMITED

26/07/2004

-

U29230MH2004PTC147062

EROS FURNITURE PRIVATE LIMITED

21/06/2004

-

U27200TG2007PTC054260

BRIGHTVIEW ENGINEERING PRODUCTS INDIA PRIVATE LIMITED

30/09/2016

-

 

 

 

KEY EXECUTIVE

 

Name :

Mr. Shrinivas Chippa

Designation :

DGM – Finance

 

 

Name :

Pinkush Jaiswal and Associates

Designation :

Company Secretary

Address:

204, Kanchan Apartment, Tikekar Road, Dhantoli, Nagpur – 440012, Maharashtra, India

Tel. No:

91-9422507748

Email:

fcspinkush@gmail.com

 

 

MAJOR SHAREHOLDERS / SHAREHOLDING PATTERN

 

As on: 31.03.2017

 

Names of Shareholders

 

No. of Shares

Gaitri Devi Pande

 

1600000

Atul Kumar Pande

 

400000

Anil Kumar Pande

 

400000

Avinash Kumar Pande

 

400000

Akhil Kumar Pande

 

400000

Amit Kumar Pande

 

400000

Anuj Kumar Pande

 

400000

Total

 

4000000

 

Equity Share Break up (Percentage of Total Equity)

 

As on: 30.09.2017

 

Category

Percentage

Promoters (Individual/Hindu Undivided Family – Indian)

90.00

Public/Other than promoters (Individual/Hindu Undivided Family – Indian)

10.00

Total

100.00

 

 

 

BUSINESS DETAILS

 

Line of Business :

  • Manufacturer of fabricated structural of iron and steel, bridges and bridge parts, towers, masts, columns, girders, trusses, arches, sluice gates, piers and ettles. Erection of the structures from self-manufactures parts is includes.  (Registered activity)

 

  • Subject engaged in the production of parts for Transmission Line and Telecom Towers and any general fabrication with galavanizing activities. [Confirmed by management ]

 

 

Brand Names :

Not Available

 

 

Agencies Held :

Not Available

 

 

Exports :

Not Divulged

 

 

Imports :

Not Divulged

 

 

Terms :

 

Selling :

Cheque and RTGS

 

 

Purchasing :

Cheque and RTGS

 

PRODUCTION STATUS AVAILABLE

 

 

GENERAL INFORMATION

 

Suppliers :

 

Reference :

Not Divulged

Name of the Person :

-

Contact No.:

-

Since How Long Known :

-

Maximum Limit Dealt :

-

Experience :

-

Remark:

-

 

 

Customers :

End Users

 

Reference :

Not Divulged

Name of the Person :

-

Contact No.:

-

Since How Long Known :

-

Maximum Limit Dealt :

-

Experience :

-

Remark:

-

 

 

No. of Employees :

200 (Approximately)

 

 

Bankers :

 

  • Small Industries Development Bank of India

National Insurance Building, Ground Floor, S.V. Patel Marg, Kingsway, Nagpur - 440001, Maharashtra, India

 

Banker Name

State Bank of India

Branch Address

Kingsway Branch, S.V. Patel Marg, Nagpur - 440001, Maharashtra, India

Person Name (With Designation)

-

Contact Number

91-712-2527032

Name of Account Holder

-

Account Number

-

Account Since (Date/Year of Account Opening)

-

Average Balance Maintained (If Possible)

-

Credit Facilities Enjoyed (If any)

-

Account Operation

-

Remarks (If any)

Ringing

 

 

Facilities :

Secured Loan

31.03.2016

(INR in Million)

31.03.2015

(INR in Million)

Long-term Borrowings

 

 

S.I.D.B.I. (Term Loans)

 

 

Hypothecation of Machineries, Other Assets and factory Land and Building

NA

35.604

HDFC Bank Loan

NA

1.142

Total

NA

36.746

 

Auditors :

 

Name :

B.C. Bhartia

Chartered Accountant

Address :

77, Sadoday Complex, Gandhi Putla, C.A. Road, NAGPUR  - 440032, Maharashtra, India

PAN No.:

AAPPB1732R

 

 

Memberships :

Not Available

 

 

Collaborators :

Not Available

 

 

Other Related Parties: As on 31.03.2016)

Akhil K Pande (HUF)

 

 

CAPITAL STRUCTURE

 

As on: 31.03.2017

 

Authorised Capital :

No. of Shares

Type

Value

Amount

 

 

 

 

4000000

Equity Shares

INR 10/- each

INR 40.000 Million

 

 

 

 

 

Issued, Subscribed & Paid-up Capital :

No. of Shares

Type

Value

Amount

 

 

 

 

4000000

Equity Shares

INR 10/- each

INR 40.000 Million

 

 

 

 

 


 

FINANCIAL DATA

[all figures are in INR Million]

 

ABRIDGED BALANCE SHEET

 

SOURCES OF FUNDS

 

31.03.2016

31.03.2015

31.03.2014

I.              EQUITY AND LIABILITIES

 

 

 

(1)Shareholders' Funds

 

 

 

(a) Share Capital

40.000

40.000

40.000

(b) Reserves & Surplus

68.679

54.838

41.340

(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)

108.679

94.838

81.340

 

 

 

 

(3) Non-Current Liabilities

 

 

 

(a) long-term borrowings

35.434

36.746

37.603

(b) Deferred tax liabilities (Net)

0.000

0.000

0.000

(c) Other long term liabilities

0.000

0.000

8.239

(d) long-term provisions

0.000

0.000

0.000

Total Non-current Liabilities (3)

35.434

36.746

45.842

 

 

 

 

(4) Current Liabilities

 

 

 

(a) Short term borrowings

17.017

16.733

0.000

(b) Trade payables

23.120

13.413

15.982

(c) Other current liabilities

9.834

11.317

13.954

(d) Short-term provisions

0.000

0.000

0.000

Total Current Liabilities (4)

49.971

41.463

29.936

 

 

 

 

TOTAL

194.084

173.047

157.118

 

 

 

 

II.            ASSETS

 

 

 

(1) Non-current assets

 

 

 

(a) Fixed Assets

 

 

 

(i) Tangible assets

108.078

113.615

86.186

(ii) Intangible Assets

0.000

0.000

0.000

(iii) Capital work-in-progress

7.962

7.962

7.962

(iv) Intangible assets under development

0.000

0.000

0.000

(b) Non-current Investments

0.000

0.000

0.000

(c) Deferred tax assets (net)

0.000

0.000

0.000

(d)  Long-term Loan and Advances

0.014

0.014

0.000

(e) Other Non-current assets

0.000

0.000

0.000

Total Non-Current Assets

116.054

121.591

94.148

 

 

 

 

(2) Current assets

 

 

 

(a) Current investments

0.000

0.000

0.000

(b) Inventories

11.450

7.217

7.372

(c) Trade receivables

47.460

28.207

44.438

(d) Cash and cash equivalents

6.364

4.885

3.703

(e) Short-term loans and advances

12.756

11.147

7.457

(f) Other current assets

0.000

0.000

0.000

Total Current Assets

78.030

51.456

62.970

 

 

 

 

TOTAL

194.084

173.047

157.118

 

PROFIT & LOSS ACCOUNT

 

 

PARTICULARS

31.03.2016

31.03.2015

31.03.2014

 

SALES

 

 

 

 

Income

191.473

201.404

279.337

 

Other Income

4.277

0.680

0.379

 

TOTAL

195.750

202.084

279.716

 

 

 

 

 

Less

EXPENSES

 

 

 

 

Cost of Materials Consumed

57.559

19.592

101.497

 

Administrative and Selling Expense

12.695

11.296

11.736

 

Changes in inventories of finished goods, work-in-progress and Stock-in-Trade

(4.232)

0.155

(0.691)

 

Employees benefits expense

37.709

31.867

18.963

 

Other expenses

56.430

100.679

103.682

 

TOTAL

160.161

163.589

235.187

 

 

 

 

 

Less

PROFIT/ (LOSS)  BEFORE INTEREST, TAX, DEPRECIATION AND AMORTISATION

35.589

38.495

44.529

 

 

 

 

 

Less

FINANCIAL EXPENSES

6.213

6.334

8.735

 

 

 

 

 

 

PROFIT / (LOSS) BEFORE TAX, DEPRECIATION AND AMORTISATION

29.376

32.161

35.794

 

 

 

 

 

Less

DEPRECIATION/ AMORTISATION

9.982

11.409

7.603

 

 

 

 

 

 

PROFIT/ (LOSS)  BEFORE TAX

19.394

20.752

28.191

 

 

 

 

 

Less

TAX

5.619

7.255

9.000

 

 

 

 

 

 

PROFIT/ (LOSS)  AFTER TAX

13.775

13.497

19.191

 

 

 

 

 

 

Earnings / (Loss) Per Share (INR)

3.44

3.37

4.80

 

 

CURRENT MATURITIES OF LONG TERM DEBT DETAILS

 

Particulars

 

31.03.2016

31.03.2015

31.03.2014

Current Maturities of Long term debt

NA

NA

NA

Cash generated from operations

18.682

45.817

NA

Net Cash flows from operating activities

6.916

32.383

NA

 

 

KEY RATIOS

 

EFFICIENCY RATIOS

 

PARTICULARS

 

31.03.2016

31.03.2015

31.03.2014

Average Collection Days

(Sundry Debtors / Income * 365 Days)

90.47

51.12

58.07

 

 

 

 

Account Receivables Turnover

(Income / Sundry Debtors)

4.03

7.14

6.29

 

 

 

 

Average Payment Days

(Sundry Creditors / Purchases * 365 Days)

146.61

249.88

57.47

 

 

 

 

Inventory Turnover

(Operating Income / Inventories)

3.11

5.33

6.04

 

 

 

 

Asset Turnover

(Operating Income / Net Fixed Assets)

0.31

0.32

0.47

 

LEVERAGE RATIOS

 

PARTICULARS

 

31.03.2016

31.03.2015

31.03.2014

Debt Ratio

((Borrowing + Current Liabilities) / Total Assets)

0.44

0.45

0.43

 

 

 

 

Debt Equity Ratio

(Total Liability / Networth)

0.48

0.56

0.46

 

 

 

 

Current Liabilities to Networth

(Current Liabilities / Net Worth)

0.46

0.44

0.37

 

 

 

 

Fixed Assets to Networth

(Net Fixed Assets / Networth)

1.07

1.28

1.16

 

 

 

 

Interest Coverage Ratio

(PBIT / Financial Charges)

5.73

6.08

5.10

 

PROFITABILITY RATIOS

 

PARTICULARS

 

 

31.03.2016

31.03.2015

31.03.2014

Net Profit Margin

((PAT / Sales) * 100)

%

7.19

6.70

6.87

 

 

 

 

 

Return on Total Assets

((PAT / Total Assets) * 100)

%

7.10

7.80

12.21

 

 

 

 

 

Return on Investment (ROI)

((PAT / Networth) * 100)

%

12.67

14.23

23.59

 

SOLVENCY RATIOS

 

PARTICULARS

 

31.03.2016

31.03.2015

31.03.2014

Current Ratio

(Current Assets / Current Liabilities)

1.56

1.24

2.10

 

 

 

 

Quick Ratio

((Current Assets – Inventories) / Current Liabilities)

1.33

1.07

1.86

 

 

 

 

G-Score Ratio Financial

(Networth / Total Assets)

0.56

0.55

0.52

 

 

 

 

G-Score Ratio Debt

(Debts / Equity Capital)

1.31

1.34

0.94

 

 

 

 

G-Score Ratio Liquidity

(Total Current Assets / Total Current Liabilities)

1.56

1.24

2.10

 

Total Liability = Short-term Debt + Long-term Debt + Current Maturities of Long-term debts

 

 

FINANCIAL ANALYSIS

[all figures are in INR  Million]

 

DEBT EQUITY RATIO

 

Particular

31.03.2014

31.03.2015

31.03.2016

 

(INR In Million)

(INR In Million)

(INR In Million)

Share Capital

40.000

40.000

40.000

Reserves & Surplus

41.340

54.838

68.679

Net worth

81.340

94.838

108.679

 

 

 

 

Long-term borrowings

37.603

36.746

35.434

Short term borrowings

0.000

16.733

17.017

Total borrowings

37.603

53.479

52.451

Debt/Equity ratio

0.462

0.564

0.483

 

 

YEAR-ON-YEAR GROWTH

 

Year on Year Growth

31.03.2014

31.03.2015

31.03.2016

 

(INR In Million)

(INR In Million)

(INR In Million)

Sales

279.337

201.404

191.473

 

 

(27.899)

(4.931)

 

 

NET PROFIT MARGIN

 

Net Profit Margin

31.03.2014

31.03.2015

31.03.2016

 

(INR In Million)

(INR In Million)

(INR In Million)

Sales

279.337

201.404

191.473

Profit/ (Loss)

19.191

13.497

13.775

 

6.87%

6.70%

7.19%

 

 

 

LOCAL AGENCY FURTHER INFORMATION

 

Sr. No.

Check list by info agents

Available in Report (Yes/No)

1

Year of establishment

Yes

2

Constitution of the entity -Incorporation details

Yes

3

Locality of the entity

Yes

4

Premises details

Yes

5

Buyer visit details

--

6

Contact numbers

Yes

7

Name of the person contacted

Yes

8

Designation of contact person

Yes

9

Promoter’s background

Yes

10

Date of Birth of Proprietor / Partners / Directors

Yes

11

Pan Card No. of Proprietor / Partners

Yes

12

Voter Id Card No. of Proprietor / Partners

No

13

Type of business

Yes

14

Line of Business

Yes

15

Export/import details (if applicable)

No

16

No. of employees

Yes

17

Details of sister concerns

Yes

18

Major suppliers

No

19

Major customers

No

20

Banking Details

Yes

21

Banking facility details

Yes

22

Conduct of the banking account

--

23

Financials, if provided

Yes

24

Capital in the business

Yes

25

Last accounts filed at ROC, if applicable

No 

26

Turnover of firm for last three years

Yes

27

Reasons for variation <> 20%

--

28

Estimation for coming financial year

No

29

Profitability for last three years

Yes

30

Major shareholders, if available

Yes

31

External Agency Rating, if available

No

32

Litigations that the firm/promoter involved in

---

33

Market information

---

34

Payments terms

Yes

35

Negative Reporting by Auditors in the Annual Report

No

 

 

COMPANY WORKING:

 

The Company gross revenue decreased from INR 202.084 million in FY 2014-15 to INR 195.750 Million in FY 2015-16 and Profit Aftex Tax increased from INR 13.497 million to INR 13.775 million.

 

Note: The Registered Office of the company has been shifted from “Eros Mansionrani Jhansi Square, Sitabuldi, Nagpur-440012, Maharashtra, India” to the present address w.e.f. 03.06.2013.

 

 

INDEX OF CAHREGS:

 

SNO

SRN

CHARGE ID

CHARGE HOLDER NAME

DATE OF CREATION

DATE OF MODIFICATION

DATE OF SATISFACTION

AMOUNT

ADDRESS

1

G77347896

100155783

SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA

16/02/2018

-

-

141000000.0

GROUND FLOOR, NATIONAL INSURANCE BUILDING,S.V. PATEL MARG, KINGSWAY,NAGPURMH440001IN

2

G73032989

100145329

SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA

01/01/2018

-

-

10000000.0

GROUND FLOOR, NATIONAL INSURANCE BUILDING,S.V. PATEL MARG, KINGSWAY,NAGPURMH440001IN

3

G37925369

100082316

SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA

08/03/2017

-

-

31500000.0

SMALL INDUSTRIES DEVELOPMENT BANK OF INDIAS.V. PATEL MARG, KINGSWAY,NAGPURMH440001IN

4

G37924149

100082317

SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA

08/03/2017

-

-

10000000.0

SMALL INDUSTRIES DEVELOPMENT BANK OF INDIAS.V. PATEL MARG, KINGSWAY,NAGPURMH440001IN

5

G16210015

100055565

SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA

10/10/2016

-

-

10000000.0

GROUND FLOOR, NATIONAL INSURANCE BUILDING,S.V. PATEL MARG, KINGSWAY,NAGPURMH440001IN

6

G16340523

100055676

SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA

07/10/2016

-

-

31500000.0

SMALL INDUSTRIES DEVELOPMENT BANK OF INDIAS.V. PATEL MARG, KINGSWAY,NAGPURMH440001IN

7

C80930530

10620196

SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA

08/02/2016

29/02/2016

-

31500000.0

GROUND FLOOR, NATIONAL INSURANCE BUILDING,S.V. PATEL MARG, KINGSWAY,NAGPURMH440001IN

8

B87821229

10455733

SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA

10/10/2013

-

-

30000000.0

GROUND FLOOR, NATIONAL INSURANCE BUILDING,S.V. PATEL MARG, KINGSWAY,NAGPURMH440001IN

9

G37620382

10110219

SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA

02/07/2007

04/03/2017

-

90000000.0

Kingsway Branch, S.V. Patel Marg, Nagpur - 440001, Maharashtra, India

 

 

 

FIXED ASSETS:

 

  • Land and Site Development
  • Building
  • Furniture and Fixture
  • Plant and Machinery
  • Computer
  • Vehicle

 

 

 

 


 

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 records 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 records 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

INR

US Dollar

1

INR 64.80

UK Pound

1

INR 92.26

Euro

1

INR 80.76

 

 

INFORMATION DETAILS

 

Information Gathered by :

GYT

 

 

Analysis Done by :

NYT

 

 

Report Prepared by :

MTN

 


 

SCORE FACTORS

 

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

NO

--AFFILIATION

YES/NO

YES

--LISTED

YES/NO

NO

--OTHER MERIT FACTORS

YES/NO

YES

 

 

RATING EXPLANATIONS

 

Credit Rating

Explanation

Rating Comments

A++

Minimum Risk

Business dealings permissible with minimum risk of default

A+

Low Risk

Business dealings permissible with low risk of default

A

Acceptable Risk

Business dealings permissible with moderate risk of default

B

Medium Risk

Business dealings permissible on a regular monitoring basis

C

Medium High Risk

Business dealings permissible preferably on secured basis

D

High Risk

Business dealing not recommended or on secured terms only

NB

New Business

No recommendation can be done due to business in infancy stage

NT

No Trace

No recommendation can be done as the business is not traceable

 

NB is stated where there is insufficient information to facilitate rating. However, it is not to be considered as unfavourable.

 

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 are as follows:

 

·         Financial condition covering various ratios

·         Company background and operations size

·         Promoters / Management background

·         Payment record

·         Litigation against the subject

·         Industry scenario / competitor analysis

·         Supplier / Customer / Banker review (wherever available)

 

 

 

 

 

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.