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CHEMPLAST SANMAR LIMITED




Chemplast Sanmar Limited is a Public incorporated on 13 March 1985. It is classified as Non-govt company and is registered at Registrar of Companies, Chennai. Its authorized share capital is Rs. 2,350,000,000 and its paid up capital is Rs. 790,547,870. It is inolved in Manufacture of other chemical products

Chemplast Sanmar Limited's Annual General Meeting (AGM) was last held on N/A and as per records from Ministry of Corporate Affairs (MCA), its balance sheet was last filed on 31 March 2022.

Directors of Chemplast Sanmar Limited are Prasad Raghava Menon, Vijay Sankar, Ramkumar Shankar, Chandran Ratnaswami, Aditya Jain, Sanjay Bhandarkar, Vijayakumar Lakshmi, Vikram Taranath Hosangady, Mahadevan Raman and Natarajan Muralidharan.

Chemplast Sanmar Limited's Corporate Identification Number is (CIN) L24230TN1985PLC011637 and its registration number is 11637.Its Email address is [email protected] and its registered address is 9 CATHEDRAL RD MADRAS TN 600086 IN.

Current status of Chemplast Sanmar Limited is - Active.

Company Details

CIN

L24230TN1985PLC011637

Company Name

CHEMPLAST SANMAR LIMITED

Company Status

Active

RoC

RoC-Chennai

Registration Number

11637

Company Category

Company limited by Shares

Company Sub Category

Non-govt company

Class of Company

Public

Date of Incorporation

13 March 1985

Age of Company

39 years, 1 month, 10 days

Activity

Manufacture of other chemical products

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Number of Members

0

Previous Names

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Previous CINS

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Share Capital & Number of Employees

Authorised Capital

₹2,350,000,000

Paid up capital

₹790,547,870

Number of Employees

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Listing and Annual Compliance Details

Listing status

Unlisted

Date of Last Annual General Meeting

N/A

Date of Latest Balance Sheet

31 March 2022

Financial Report

Balance Sheet

Paid-up Capital

Reserves & Surplus

Long Term Borrowings

Short Term Borrowings

Trade Payables

Current Investments

Inventories

Trade Receivables

Cash and Bank Balances

Profit & Loss

Total Revenue (Turnover)

Total Expenses

Employee Benefit Expenses

Finance Costs

Depriciation

Profit Before Tax

Profit After Tax

Click here to view all available financial documents and regulatory filings of CHEMPLAST SANMAR LIMITED



Contact Details

Email ID: [email protected]

Website: Click here to add.

Address:

9 CATHEDRAL RD MADRAS TN 600086 IN

Director Details

DIN Director Name Designation Appointment Date

00005078

PRASAD RAGHAVA MENON

Director

26 April 2021

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00018391

RAMKUMAR SHANKAR

Managing Director

01 February 2021

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VIKRAM TARANATH HOSANGADY

Director

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MAHADEVAN RAMAN

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AGUPM9382M

NATARAJAN MURALIDHARAN

CFO(KMP)

01 September 2021

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CFO(KMP)

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CEO(KMP)

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CFO(KMP)

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Past Director Details

DIN Director Name Designation Appointment Date Cessation Date

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Companies with Similar Address

CIN

Name

Address

U65991TN1990PLC019233
APEX NK SOFTWARE SOLUTIONS LIMITED 9, CATHEDRAL ROAD, MADRAS-869, CATHEDRAL ROAD MADRAS-86 9, CATHEDRAL ROAD, MADRAS-86 9, CATHEDRAL ROAD, MADRAS-86 TN 600086 IN
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KELAMBAKKAM PROPERTIES PRIVATE LIMITED 9,CATHEDRAL ROAD,MADRAS-600086 MADRAS-600086 MADRAS-600086 TN 600086 IN
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Prosecution Details

S.No. Defaulting Entities Court Name Prosecution Section Date Of Order Status

No prosecutions found

Charges/Borrowing Details

Charge ID Creation Date Modification Date Closure Date Assets Under Charge Amount Charge Holder

80015833

2006-03-08

2020-02-17

-

Book debts; Floating charge; Movable property (not being pledge)

500,000,000

Indnian Overseas Bank

100145788

2017-12-28

2022-03-18

-

Immovable property or any interest therein

1,600,000,000

IDBI TRUSTEESHIP SERVICES LIMITED

100180290

2018-03-05

-

-

Pledge of Share

190,510

Arab African International Bank SAE

100180291

2018-03-05

-

-

Pledge of Share

190,510

Arab African International Bank SAE

100326679

2020-02-21

2020-08-25

-

500,000,000

CTBC BANK & CO LTD

100432582

2021-03-31

-

2021-09-06

Pledge of shares

12,200,000,000

IDBI TRUSTEESHIP SERVICES LIMITED

100453675

2021-03-24

-

-

Fixed Deposits

150,000,000

INDUSIND BANK LIMITED

100471287

2021-07-28

-

-

600,000,000

DBS BANK INDIA LIMITED

100544912

2022-02-17

-

-

Lien on Fixed Deposit

300,000,000

CTBC BANK & CO LTD

100562430

2022-03-28

-

-

Book debts; Movable property (not being pledge); Current assets

1,500,000,000

ICICI BANK LIMITED

100582938

2022-05-23

-

-

Floating charge; Movable property (not being pledge)

1,250,000,000

Canara Bank

100602619

2022-08-17

-

-

1,500,000,000

State Bank of India

100607740

2022-09-03

-

-

1,000,000,000

IndusInd Bank Limited

100608208

2022-09-03

-

-

1,600,000,000

IndusInd Bank Limited

100620364

2022-09-29

-

-

1,000,000,000

YES BANK LIMITED

100658150

2022-12-05

-

-

460,000,000

IDBI Bank Limited

100685740

2023-02-24

-

-

1,000,000,000

YES BANK LIMITED

100704699

2023-03-27

-

-

2,500,000,000

ICICI BANK LIMITED

100718482

2023-04-26

-

-

1,500,000,000

IDBI TRUSTEESHIP SERVICES LIMITED

Establishments Details

Establishment Name City Pincode Address

No establishments found

*Industry classification is derived from National Industrial Classification. If the company has changed line of business without intimating the Registrar or is a diversified business, classification may be different. We make no warranties about accuracy of industrial classification.

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