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RECIPROCAL INFRASTRUCTURES PRIVATE LIMITED

CIN: U10101UP2008PTC034852

RECIPROCAL INFRASTRUCTURES PRIVATE LIMITED (CIN: U10101UP2008PTC034852) is a Private company incorporated on 17 Mar 2008. It is classified as Non-government company and is registered at Registrar of Companies, Kanpur. Its authorized share capital is Rs. 30100000.00 and its paid up capital is Rs. 20915000.00.

RECIPROCAL INFRASTRUCTURES PRIVATE LIMITED's Annual General Meeting (AGM) was last held on 30 Sep 2023. and as per records from Ministry of Corporate Affairs (MCA), its balance sheet was last filed on 2023-03-31.RECIPROCAL INFRASTRUCTURES PRIVATE LIMITED's NIC code is 1010 (which is part of its CIN). As per the NIC code, it is inolved in Mining and agglomeration of hard coal [Includes under ground or open-cut mining of anthracite, bituminous or other hard coal; cleaning, sizing, pulverizing and other operations to improve the quality; operations to recover hard coal from culm banks; manufacture of briquettes or other solid fuels consisting chiefly of hard coal and in-situ gasification of coal.].

Directors of RECIPROCAL INFRASTRUCTURES PRIVATE LIMITED are JAY RAM JALAN, ASHUTOSH KHARE, CHHAMA JALAN, and SARIKA KHARE.

RECIPROCAL INFRASTRUCTURES PRIVATE LIMITED's Corporate Identification Number (CIN) is U10101UP2008PTC034852 and its registration number is 34852. Users may contact RECIPROCAL INFRASTRUCTURES PRIVATE LIMITED on its Email address - [email protected]. Registered address of RECIPROCAL INFRASTRUCTURES PRIVATE LIMITED is CP - 138 Viraj Khand , Gomti Nagar , Lucknow, Uttar Pradesh, India - 226010.

Current status of RECIPROCAL INFRASTRUCTURES PRIVATE LIMITED is - Active.

Basic Information

  • CIN
  • Name
  • Listed on Stock Exchange
  • Company Status
  • ROC
  • Registration Number
  • Company Category
  • Company Sub Category
  • Class of Company
  • Date of Incorporation
  • Age of Company
  • Activity
  • Number of Members

Annual Compliance Status

  • Date of Last Annual General Meeting
  • Date of Last Filed Balance Sheet

Key Numbers

  • Authorised Share Capital
  • Paid-up Share Capital
  • Total Assets
  • Revenue
  • Profit
  • Salaries & Other Employee Benefit Expenses
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Previous Names

Previous CINs

ZaubaCorp's company report for RECIPROCAL INFRASTRUCTURES includes audited balance sheets, profit & loss statements, charges, director history, shareholding and related-party transactions, compiled from official MCA filings — delivered as PDF and Excel.

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Companies are required to file half yearly returns showing payments due to Micro & Small Enterprises that have been delayed more than 45 days. This information is crucial to understand if RECIPROCAL INFRASTRUCTURES pays its vendors promptly. When seen over a period of time, this information could show if the company has slowed down in making payments to its small vendors. This information is available only if the company has filed its half yearly returns with the registrar of companies.

Filing Type As On Amount Due to MSME Current Liabilities Ratio to Current Liabilities Reasons for Delay

This section contains details of investor complaints or serious complaints filed with the registrar of companies. This information can surface potential red flags about a company.

Director Complaints
Date DIN Cessation Date Cessation Reason Complaint
Serious Complaints
Date Complaint Other Details
Investor Complaints & Other Complaints
Date Complaint Type Complaint Sub Type Particulars of Secutiries Period Complaint Other Details

Current Directors & Key Managerial Personnel of RECIPROCAL INFRASTRUCTURES
DIN Director Name Designation Appointment Date
01221324 JAY RAM JALAN Director 2008-03-17
01222787 ASHUTOSH KHARE Director 2008-03-17
03046189 CHHAMA JALAN Director 2016-04-01
03046205 SARIKA KHARE Director 2016-04-01
Past Directors & Key Managerial Personnel of RECIPROCAL INFRASTRUCTURES
DIN Director Name Designation Appointment Date Cessation
Other Directorships of JAY RAM JALAN
Company Name CIN Designation Appointment Date Cessation
RECIPROCAL REALESTATE LLP AAC-4764 Designated Partner 2014-07-18 Ongoing
ALBINO CONSTRUCTIONS LLP AAK-8575 Designated Partner 2019-04-01 Ongoing
RECIPROCAL LOGISTICS LLP AAZ-1303 Designated Partner 2021-10-21 Ongoing
Reciprocal Park LLP ABC-9259 Designated Partner 2022-11-04 Ongoing
Reciprocal Park LLP ABZ-0165 Designated Partner 2022-11-12 Ongoing
Reciprocal Industrial LLP ABZ-2870 Designated Partner 2022-12-01 Ongoing
HELMAND CONTRACTORS AND BUILDERS PRIVATE LIMITED U45201UP2004PTC029384 Director - 2014-07-09
SAVIOUR ALPHA PRIVATE LIMITED U45309UP2022PTC172153 Director 2022-10-14 Ongoing
GADS ENTERPRISES PRIVATE LIMITED U45400UP2010PTC040561 Director - 2016-03-26
RECIPROCAL IMPEX PRIVATE LIMITED U45401UP2005PTC029456 Director - 2010-08-03
ANUMODAN TRADELINK PRIVATE LIMITED U51109UP2005PTC151342 Director 2010-05-05 Ongoing
MEGHA STOCKS & CREDIT PVT LTD U65993UP1996PTC151343 Director 2007-10-15 Ongoing
SPRING INNOVATIVE PRIVATE LIMITED U68100UP2023PTC194036 Director 2023-12-13 Ongoing
JD SHINEESTATE PRIVATE LIMITED U68100UP2023PTC194271 Director 2023-12-19 Ongoing
JD INFRAHOMES PRIVATE LIMITED U68100UP2023PTC194277 Director 2024-04-21 Ongoing
SPRING GOLDSHINE PRIVATE LIMITED U68100UP2023PTC194530 Director 2023-12-26 Ongoing
INGENTRIC ESTATE PRIVATE LIMITED U68100UP2024PTC199677 Director 2024-03-20 Ongoing
INGENTRIC DEVELOPERS PRIVATE LIMITED U68200UP2023PTC189435 Director 2023-09-18 Ongoing
FOUNTAIN ESTATE PRIVATE LIMITED U68200UP2023PTC191056 Director 2023-10-18 Ongoing
RECIPROCAL INDUSTRIAL PRIVATE LIMITED U68200UP2024PTC204523 Director 2024-06-13 Ongoing
Other Directorships of ASHUTOSH KHARE
Company Name CIN Designation Appointment Date Cessation
RECIPROCAL REALESTATE LLP AAC-4764 Designated Partner 2017-04-01 Ongoing
SNN INFRATECH LLP AAF-3184 Designated Partner 2019-04-01 Ongoing
ALBINO CONSTRUCTIONS LLP AAK-8575 Designated Partner 2019-04-01 Ongoing
RECIPROCAL LOGISTICS LLP AAZ-1303 Designated Partner 2021-10-21 Ongoing
Reciprocal Park LLP ABC-9259 Designated Partner 2022-11-04 Ongoing
Reciprocal Park LLP ABZ-0165 Designated Partner 2022-11-12 Ongoing
Reciprocal Industrial LLP ABZ-2870 Designated Partner 2022-12-01 Ongoing
HELMAND CONTRACTORS AND BUILDERS PRIVATE LIMITED U45201UP2004PTC029384 Director - 2014-07-09
SAVIOUR ALPHA PRIVATE LIMITED U45309UP2022PTC172153 Director 2022-10-14 Ongoing
GADS ENTERPRISES PRIVATE LIMITED U45400UP2010PTC040561 Director - 2016-03-26
RECIPROCAL IMPEX PRIVATE LIMITED U45401UP2005PTC029456 Director - 2010-08-03
ANUMODAN TRADELINK PRIVATE LIMITED U51109UP2005PTC151342 Director 2010-05-05 Ongoing
SPRING INNOVATIVE PRIVATE LIMITED U68100UP2023PTC194036 Director 2023-12-13 Ongoing
JD SHINEESTATE PRIVATE LIMITED U68100UP2023PTC194271 Director 2023-12-19 Ongoing
JD INFRAHOMES PRIVATE LIMITED U68100UP2023PTC194277 Director 2024-04-21 Ongoing
SPRING GOLDSHINE PRIVATE LIMITED U68100UP2023PTC194530 Director 2023-12-26 Ongoing
INGENTRIC ESTATE PRIVATE LIMITED U68100UP2024PTC199677 Director 2024-03-20 Ongoing
INGENTRIC DEVELOPERS PRIVATE LIMITED U68200UP2023PTC189435 Director 2023-09-18 Ongoing
FOUNTAIN ESTATE PRIVATE LIMITED U68200UP2023PTC191056 Director 2023-10-18 Ongoing
RECIPROCAL INDUSTRIAL PRIVATE LIMITED U68200UP2024PTC204523 Director 2024-06-13 Ongoing
Other Directorships of CHHAMA JALAN
Company Name CIN Designation Appointment Date Cessation
RECIPROCAL REALESTATE LLP AAC-4764 Partner 2017-04-01 Ongoing
RECIPROCAL LOGISTICS LLP AAZ-1303 Designated Partner 2021-10-21 Ongoing
SHREE INFRA HEIGHTS LIMITED U45400UP2012PLC050358 Director - 2019-08-13
Other Directorships of SARIKA KHARE
Company Name CIN Designation Appointment Date Cessation
- 2023-02-07
RECIPROCAL REALESTATE LLP AAC-4764 Partner 2017-04-01 Ongoing
SNN INFRATECH LLP AAF-3184 Designated Partner 2018-11-01 Ongoing
RECIPROCAL LOGISTICS LLP AAZ-1303 Designated Partner 2021-10-21 Ongoing
Reciprocal Park LLP ABC-9259 Partner - 2024-03-30
Reciprocal Park LLP ABZ-0165 Partner 2022-11-12 Ongoing

CIN Company Name Company Address
U45309UP2022PTC172153 SAVIOUR ALPHA PRIVATE LIMITED CP-138 VIRAJ KHAND GOMTI NAGAR , LUCKNOW, Uttar Pradesh, India - 226010
AAZ-1303 RECIPROCAL LOGISTICS LLP CP 138 , 3rd Floor Viraj Khand, Gomti Nagar Lucknow, Uttar Pradesh, India - 226010
U70102UP2014PTC240694 ATULYAM HOTELLINE SOLUTIONS PRIVATE LIMITED CP-147, VIRAJ KHAND,,GOMTI NAGAR LUCKNOW,Lucknow,Lucknow,Uttar Pradesh,226010-India
L72300UP2015PLC070649 TAKYON NETWORKS LIMITED CP 37, VIRAJ KHAND GOMTI NAGAR,LUCKNOW,Lucknow,Uttar Pradesh,226010-India
ABZ-0702 SINGH ATTAM HOSPITALITY LLP CP-143, VIRAJ KHAND,GOMTI NAGAR,Lucknow,Lucknow,Uttar Pradesh,India-226010
ACI-2687 JURO LEGAL LLP CP-101, VIRAJ KHAND,GOMTI NAGAR,Lucknow,Lucknow,Uttar Pradesh,India-226010
U46539UP2024PTC202728 AMJION CROP CARE PRIVATE LIMITED CP-175-VIRAJ KHAND,GOMTI NAGAR,Lucknow,Lucknow,Uttar Pradesh,226010-India
U72900UP2022PTC162505 TNPL IT SERVICES PRIVATE LIMITED CP-37, VIRAJ KHAND, GOMTI NAGAR,LUCKNOW,Lucknow,Uttar Pradesh,226010-India
U77302UP2024PTC201646 AMJION AGRICULTURE EQUIPMENT PRIVATE LIMITED CP-175 VIRAJ KHAND,GOMTI NAGAR,Lucknow,Lucknow,Uttar Pradesh,226010-India
U28195UP2025PTC230387 GROCLEAN WATER SOLUTION PRIVATE LIMITED CP-170/1 VIRAJ KHAND,GOMTI NAGAR,Lucknow,Lucknow,Uttar Pradesh,226010-India
U85100UP2022OPC164663 CABLET PHARMACEUTICALS (OPC) PRIVATE LIMITED CP-71 GALEXI TOWER VIRAJ KHAND GOMTI NAGAR,LUCKNOW,Lucknow,Uttar Pradesh,226010-India
U72200UP2018PTC105591 GROWING ICON BUSINESS SOLUTIONS PRIVATE LIMITED CP-170/1 VIRAJ KHAND GOMTI NAGAR VILLAGE-TAKHWA, LUCKNOW , LUCKNOW, Uttar Pradesh, India - 226010
U51397UP2022PTC165594 BAYA INDIA LIFE CARE PRIVATE LIMITED 304, 3RD FLOOR, ROHIT TOWER, HANIMAN CHAURAHA, CP-1, VIRAJ KHAND, GOMTI NAGAR,LUCKNOW,Lucknow,Uttar Pradesh,226010-India
U51909UP2022PTC166358 GLALET PHARMACEUTICALS PRIVATE LIMITED 304, 3RD FLOOR, ROHIT TOWER, HANIMAN CHAURAHA, CP-1, VIRAJ KHAND, GOMTI NAGAR,LUCKNOW,Lucknow,Uttar Pradesh,226010-India
U72501UP2018PTC111574 DEV TECH ENTERPRISES PRIVATE LIMITED CP-06 TOP FLOOR VIKRANT KHAND GOMTI NAGAR LUCKNOW UTTAR PRADESH-226010 , LUCKNOW, Uttar Pradesh, India - 226010
AAW-2696 CLUB KINGDOM LLP CP 192, VIRAJ KHAND GOMTI NAGAR, LUCKNOW, Uttar Pradesh, India - 226010
AAM-6087 SOHAM RESTAURANTS LLP CP-1, VIRAJ KHAND, GOMTI NAGAR, LUCKNOW, Uttar Pradesh, India - 226010
U22300UP2020PTC131828 BFC PUBLICATIONS PRIVATE LIMITED CP-61 Viraj Khand Gomti Nagar , LUCKNOW, Uttar Pradesh, India - 226010
U22219UP2020PTC131055 ONLINEGATHA PUBLISHING PRIVATE LIMITED CP-61 Viraj Khand Gomti Nagar , LUCKNOW, Uttar Pradesh, India - 226010
U14100UP2019PTC116990 ADDIJA ESSENCE AND FRAGRANCES PRIVATE LIMITED CP-175 VIRAJ KHAND GOMTI NAGAR , LUCKNOW, Uttar Pradesh, India - 226010
U14200UP2018PTC109890 ADDIJA MINES AND CONSTRUCTIONS PRIVATE LIMITED CP-175 VIRAJ KHAND GOMTI NAGAR , LUCKNOW, Uttar Pradesh, India - 226010
U33111UP2015PTC075199 PIRINCS PHARMACEUTICALS PRIVATE LIMITED CP 19 VIRAJ KHAND GOMTI NAGAR , LUCKNOW, Uttar Pradesh, India - 226010
U45100UP2019PTC123100 ADC ECO INFRA DEVELOPERS PRIVATE LIMITED CP 175 VIRAJ KHAND GOMTI NAGAR , LUCKNOW, Uttar Pradesh, India - 226010
U45203UP2017PTC089637 UFP ENTERPRISES PRIVATE LIMITED CP-43, VIRAJ KHAND, GOMTI NAGAR , LUCKNOW, Uttar Pradesh, India - 226010
U45201UP2006PTC031787 BHAGIRATH INFRAVENTURES PRIVATE LIMITED CP-11, VIRAJ KHAND GOMTI NAGAR , LUCKNOW, Uttar Pradesh, India - 226010
U52100UP2021PTC153662 RUDRAKSHA BIO FERTILIZERS & AGRICULTURE EQUIPMENTS PRIVATE LIMITED CP-175 VIRAJ KHAND GOMTI NAGAR , LUCKNOW, Uttar Pradesh, India - 226010
U55204UP2012PTC052123 METROPOLITAN CLUBS PRIVATE LIMITED CP-134, VIRAJ KHAND GOMTI NAGAR , LUCKNOW, Uttar Pradesh, India - 226010
U65990UP2004PTC029335 CLAIRVOYANCE SECURITIES PRIVATE LIMITED CP-61, Viraj Khand Gomti Nagar , LUCKNOW, Uttar Pradesh, India - 226010
U72200UP2020PTC125438 BFC SOFTTECH PRIVATE LIMITED CP-61 Viraj Khand Gomti Nagar , LUCKNOW, Uttar Pradesh, India - 226010

Charge ID Charge Creation Date Charge Modification Date Charge Closure Date Assets Under Charge Amount Charge Holder
10114550 2008-06-09 - 2015-08-14 7,800,000.00 UNION BANK OF INDIA
10129905 2008-10-03 - 2015-10-12 640,000.00 TATA CAPITAL LIMITED
10154614 2009-04-06 - 2012-03-13 1,374,000.00 TATA CAPITAL LIMITED
10154616 2009-04-06 - 2012-03-13 1,374,000.00 TATA CAPITAL LIMITED
10155158 2009-04-06 - 2012-03-13 862,000.00 TATA CAPITAL LIMITED
10155159 2009-04-06 - 2012-03-13 862,000.00 TATA CAPITAL LIMITED
10232664 2010-07-23 - 2015-08-14 10,000,000.00 UNION BANK OF INDIA
10250902 2010-11-15 - 2015-10-12 2,385,000.00 TATA CAPITAL LIMITED
10265624 2011-01-21 - 2012-03-13 1,392,000.00 TATA CAPITAL LIMITED
10280300 2011-03-25 - 2012-03-13 2,725,000.00 TATA CAPITAL LIMITED
10281090 2011-04-05 - 2015-10-05 1,820,000.00 TATA CAPITAL LIMITED
10330358 2011-12-15 - 2015-10-12 1,370,000.00 TATA CAPITAL LIMITED
10343134 2012-02-20 - 2015-10-12 2,461,000.00 TATA CAPITAL LIMITED
10343136 2012-02-20 - 2015-10-12 2,450,000.00 TATA CAPITAL LIMITED
10343138 2012-02-20 - 2015-10-12 2,920,000.00 TATA CAPITAL LIMITED
10343139 2012-02-20 - 2015-10-12 2,378,000.00 TATA CAPITAL LIMITED
10343141 2012-02-20 - 2015-10-12 900,000.00 TATA CAPITAL LIMITED
10343172 2012-02-20 - 2015-10-12 2,992,000.00 TATA CAPITAL LIMITED
10412514 2013-03-12 - - 5,000,000.00 Union bank of India
100916741 2024-03-19 - - 40,117,563.00 Kotak Mahindra Prime Limited

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This information shows products and services that contribute highest to the company's revenue. Analysing this over a period of time can show the evolution of the company in terms of the products and services it offers.

Financial Year Business Activity Code Business Activity Description Percentage of Turnover

Financial information is availalbe only if it has been filed by the company. If the company has not filed its returns, financials for the defaulting period will not be available.

2024-03-31 2023-03-31 2022-03-31 2021-03-31 2020-03-31 2019-03-31 2018-03-31 2017-03-31 2016-03-31 2015-03-31 2014-03-31 2013-03-31 2012-03-31
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EQUITY AND LIABILITIES
   Shareholder's funds
      Share Capital
      Reserves & Surplus
      Money Received Against Share Warrants
   Share Application Money Pending Allotment
   Non-current Liabilities
      Long-term borrowings
      Deferred tax liabilities
      Other Long Term Liabilities
      Long Term Provisions
   Current Liabilities
      Short-term borrowings
      Trade Payables
      Other Current Liabilities
      Short Term Provisions
Total Equity and Liabilities
ASSETS
   Non-current Assets
      Fixed Assets
         Tangible Assets
         Intangible Assets
         Capital Work In Progress
         Intangible Assets Under Development
      Non-current Investments
      Deferred Tax Assets (net)
      Long-term Loans & Advances
      Other Non-current Assets
   Current Assets
      Current Investments
      Inventories
      Trade receivables
      Cash & Cash Equivalents
      Short-term Loans & Advances
      Other Current Assets
Total Assets

Financial information is availalbe only if it has been filed by the company. If the company has not filed its returns, financials for the defaulting period will not be available.

2024-03-31 2023-03-31 2022-03-31 2021-03-31 2020-03-31 2019-03-31 2018-03-31 2017-03-31 2016-03-31 2015-03-31 2014-03-31 2013-03-31 2012-03-31
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REVENUE FROM OPERATIONS
   Domestic Turnover
      Sale of Goods Manufactured
      Sale of Goods Traded
      Sale of Supple of Services
   Export Turnover
      Sale of Goods Manufactured
      Sale of Goods Traded
      Sale or Supply of Services
   Other Income
Total Revenue From Operations
EXPENSES
   Cost of Materials Consumed
   Purchases of Stock in Trade
   Change in Inventories of
      Finished Goods
      Work in Progress
      Stock in Trade
   Employee benefit Expenses
   Managerial Remuneration
   Payment to Auditors
   Insurance Expenses
   Power & Fuel
   Finance Cost
   Depreciation & Amortization Expenses
   Other Expenses
Total Expenses
Profit before Exceptional Items, Extraordinary Items and Tax
   Exceptional Items
Profit before Extraordinary items and Tax
   Extraordinary Items
Profit before Tax
   Tax Expense
      Current Tax
      Deferred Tax
Profit/Loss after Tax from Continuing Operations
Profit/Loss after Tax from Discontinuing Operations
   Tax Expense of Discontinuing Operations
Total Profit/Loss
Earnings per Equity Share (EPS) before Extraordinary Items
   Basic
   Diluted
Earnings per Equity Share (EPS) after Extraordinary Items
   Basic
   Diluted

This section contains details of cash raised by allocation of equity or debentures. All types of fund raising acitivity is listed here including funding raised through Venture Capital. Attachments would contain further details of the fund raising activity including names of the investors. This information is available only if the company has raised funds through cash allotment of equity or debentures.

Date of Allotment Securities Alloted Terms Number of Securities Nominal Amount Premium Amount Due & Payable Premium Amount Paid Total Discount Amount to be Paid on Calls (Excluding Premium) Attachments

This section contains list of associate companies and joint ventures as per the most recently available annual returns. This information would not be available if the company has not filed annual returns at all or it does not have any subsidiaries or joint ventures.

Company Identifier Name Percentage of Shares Held

This section contains list of board resolutions reported by the company to the Registrar of Companies.

Date of Filing Date of Dispatch of Notice Date of Passing Resolution Section (Companies Act 2013) Section (Companies Act 1956) Subject Matter of Resolution Resolution Agreed By Resolution Type Additional Documents

This section contains auditors of a company over the years. This information is available if the company has filed their annual returns with the Registrar of Companies.

Financial Year Name of Auditor or Firm PAN of Auditor or Firm Membership Number / Registration Number Name of Auditor Signing Report Membership Number of Auditor Signing Report

As on: 2026-07-13

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