M.m Shawl Engineers & Contractors Private Limited registered address on file is CHINAR COMMERICAIL COMPLEX THE BUND RESIDENCY ROAD SRINAGAR Srinagar JK 190001 IN, - , Jammu and Kashmir, .
M.m Shawl Engineers & Contractors Private Limited currently have 5 Active Directors / Partners: Mohammad Muzzafar Shawl, Majid Muzaffar, Masroor Muzafear Shawl, Ovais Raja Peer, Shahida Shawal, and there are no other Active Directors / Partners in the company except these 5 officials.
M.m Shawl Engineers & Contractors Private Limited is involved in Construction Activity and currently company is in Active Status.
Company Name | M.M SHAWL ENGINEERS & CONTRACTORS PRIVATE LIMITED |
---|---|
Company Activity | Construction |
CIN | U45400JK2012PTC003723 |
Registration Date | 11 February, 2012 |
Registeration No. | 003723 |
RoC | Jammu |
State | Jammu And Kashmir |
Registered Address | CHINAR COMMERICAIL COMPLEX THE BUND RESIDENCY ROAD SRINAGAR Srinagar JK 190001 IN, Jammu and Kashmir |
Category | Company limited by Shares |
Sub Category | Non-govt company |
Authorised Capital | Rs 60000000 INR |
PaidUp Capital | Rs 49824400 INR |
Company Class | Private |
Last Annual General Meeting Date | 30 September, 2019 |
Date of Balance Sheet | 31 March, 2019 |
Is Company Listed | Not Listed |
Company Status | Active |
Active Directors | |
---|---|
Director Name | |
Mohammad Muzzafar Shawl | |
Majid Muzaffar | |
Masroor Muzafear Shawl | |
Ovais Raja Peer | |
Shahida Shawal |
Resigned Directors | |
---|---|
Director Name | |
Record not found |
Index of Charges | ||||
---|---|---|---|---|
Asset Name | Amount | Creation Date | Modification Date | Status |
Movable property (not being pledge) | Rs 2975000 INR | 16 February, 2016 | - | Open |
Movable property (not being pledge) | Rs 3500000 INR | 27 June, 2018 | - | Open |
Book debts Floating charge STOCK |
Rs 70000000 INR | 23 September, 2016 | - | Open |
Book debts STOCK and FIXED DEPOSITS/CASH DEPOSITS |
Rs 80000000 INR | 30 May, 2016 | - | Open |
Immovable property or any interest therein Book debts 25% ON STOCK & BOOK DEBTS & 15% IN SHAPE OF CCR |
Rs 250000000 INR | 18 March, 2020 | - | Open |