Ruchi Kalra, . Designation Director at OXYZO FINANCIAL SERVICES PRIVATE LIMITED.
Vasant Sridhar, . Designation Director at OXYZO FINANCIAL SERVICES PRIVATE LIMITED.
Dhaval Dineshchandra Radia, . Designation Director at OXYZO FINANCIAL SERVICES PRIVATE LIMITED.
Sathyan David, . Designation Director at OXYZO FINANCIAL SERVICES PRIVATE LIMITED.
Ruchi Kalra, . Designation Director at OXYZO FINANCIAL SERVICES PRIVATE LIMITED.
Akshat Vikram Pande, . Designation Director at OXYZO FINANCIAL SERVICES PRIVATE LIMITED.
Rohit Kapoor, . Designation Director at OXYZO FINANCIAL SERVICES PRIVATE LIMITED.
Asish Mohapatra, . Designation Director at OXYZO FINANCIAL SERVICES PRIVATE LIMITED.
Brij Kishore Kiradoo, . Designation Director at OXYZO FINANCIAL SERVICES PRIVATE LIMITED.
Praveen Kumar Bhambani, . Designation Director at OXYZO FINANCIAL SERVICES PRIVATE LIMITED.
Pinki Jha, . Designation Company Secretary at OXYZO FINANCIAL SERVICES PRIVATE LIMITED.
Located at 6th Floor Tower A Global Business Park, Dlf Qe, . .

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OXYZO FINANCIAL SERVICES PRIVATE LIMITED

About Oxyzo Financial Services Private Limited
Oxyzo Financial Services Private Limited was registered at Registrar of Companies ROC Delhi on 21 September, 2016 and is categorised as Company limited by shares and an Non-government company.
Oxyzo Financial Services Private Limited's Corporate Identification Number (CIN) is U65929DL2016PTC306174 and Registeration Number is 306174.

Oxyzo Financial Services Private Limited registered address on file is 6th Floor Tower A Global Business Park, Dlf Qe - , , .

Oxyzo Financial Services Private Limited currently have 10 Active Directors / Partners: Ruchi Kalra, Vasant Sridhar, Sathyan David, Ruchi Kalra, Akshat Vikram Pande, Rohit Kapoor, Asish Mohapatra, Brij Kishore Kiradoo, Praveen Kumar Bhambani, Pinki Jha, and there are no other Active Directors / Partners in the company except these 10 officials.

Oxyzo Financial Services Private Limited is involved in Activity and currently company is in Active Status.

Company Name OXYZO FINANCIAL SERVICES PRIVATE LIMITED
CIN U65929DL2016PTC306174
Registration Date 21 September, 2016
Registeration No. 306174
RoC ROC Delhi
State Delhi
Registered Address 6th Floor Tower A Global Business Park, Dlf Qe
Address other than Registered Address 101, First Floor Vipul Agora Mall, MG Road Gurgaon 122002 HR IN
Category Company limited by shares
Sub Category Non-government company
Authorised Capital Rs 906998520 INR
PaidUp Capital Rs 687953600 INR
Company Class Private
Last Annual General Meeting Date 26 September, 2022
Date of Balance Sheet 31 March, 2022
Is Company Listed Not Listed
Company Status Active
Index of Charges
Asset Name Amount Creation Date Modification Date Status
Book debts Rs 20000000 INR 14 June, 2018 - Closed
Book debts
Floating charge
Loan Receivables
Rs 50000000 INR 10 September, 2018 - Open
Book debts Rs 50000000 INR 27 September, 2018 - Closed
Book debts Rs 50000000 INR 26 December, 2018 - Open
Book debts Rs 50000000 INR 27 December, 2018 16 September, 2019 Open
Exclusive charge on portfolio of 1.00x time Rs 50000000 INR 30 March, 2019 - Open
Floating charge
Standard Receivables both present and future
Rs 50000000 INR 08 May, 2019 31 January, 2020 Open
Exclusive charge on portfolio of 1.00x time Rs 50000000 INR 20 July, 2019 - Open
Exclusive charge on portfolio of 1.00x time Rs 50000000 INR 16 September, 2019 - Open
Exclusive charge on portfolio of 1.00x time Rs 50000000 INR 07 November, 2019 - Open
Exclusive charge on portfolio of 1.00x time Rs 50000000 INR 30 December, 2019 - Open
Book debts Rs 58000000 INR 26 February, 2020 - Open
Exclusive charge on portfolio of 1.00x time Rs 62500000 INR 29 February, 2020 - Open
Exclusive charge on portfolio of 1.00x time Rs 62500000 INR 03 March, 2020 - Open
Book debts Rs 70000000 INR 03 September, 2019 - Open
Book debts Rs 80000000 INR 30 November, 2019 - Open
Book debts Rs 100000000 INR 28 March, 2018 - Closed
Book debts Rs 100000000 INR 23 June, 2018 - Closed
Book debts
Floating charge
Loan Receivables
Rs 100000000 INR 15 September, 2018 - Open
RECEIVABLES Rs 100000000 INR 18 December, 2018 - Open
As per clause 3 of the attached Hypothecation Agre Rs 100000000 INR 30 January, 2019 - Open
Book debts Rs 100000000 INR 05 February, 2019 - Closed
As per Clause 3 of attached Deed of Hypothecation Rs 100000000 INR 08 July, 2019 - Open
Book debts
RECEIVABLES
Rs 100000000 INR 31 July, 2019 - Open
Book debts Rs 100000000 INR 12 August, 2019 - Open
Book debts Rs 100000000 INR 20 August, 2019 - Open
Book debts
Floating charge
Corporate Guarantee from OFB
Rs 100000000 INR 29 August, 2019 - Closed
Book debts Rs 100000000 INR 22 November, 2019 - Open
Book debts Rs 100000000 INR 20 February, 2020 - Open
Book debts
RECEIVABLES
Rs 100000000 INR 13 August, 2020 - Open
First and exclusive charge over portfolio Rs 120000000 INR 27 June, 2019 - Open
Book debts
Corporate Guarantee by OFB Tech Private Limited
Rs 146000000 INR 24 September, 2019 - Open
Book debts
STOCK IN TRADE
Rs 150000000 INR 30 June, 2018 - Closed
Book debts Rs 150000000 INR 06 December, 2018 - Closed
Book debts
Floating charge
Assets, rights of Borrower under Obligor Contract
Rs 150000000 INR 29 April, 2019 - Open
Book debts
Corporate Guarantee by OFB Tech Private Limited
Rs 150000000 INR 30 September, 2019 - Open
Book debts
Floating charge
Assets, rights of Borrower under Obligor Contract
Rs 150000000 INR 19 March, 2020 - Open
As per Clause 3 of attached Deed of Hypothecation Rs 170000000 INR 28 February, 2019 - Closed
As per clause 3 of the attached Hypothecation Agre Rs 170000000 INR 23 September, 2019 - Open
Book debts Rs 175000000 INR 31 December, 2019 - Open
First and exclusive charge over portfolio Rs 200000000 INR 26 March, 2019 - Open
As per clause 3 of the attached Hypothecation Agre Rs 200000000 INR 29 July, 2019 - Closed
Book debts Rs 200000000 INR 17 October, 2019 - Open
Book debts
Corporate Guarantee by OFB Tech Private Limited
Rs 200000000 INR 24 October, 2019 - Open
As per clause 3 of the attached Hypothecation Agre Rs 200000000 INR 27 January, 2020 - Open
Book debts Rs 200000000 INR 19 March, 2020 - Open
Book debts
Corporate Guarantee by OFB Tech Private Limited
Rs 200000000 INR 20 June, 2020 - Open
Book debts
RECEIVABLES
Rs 200000000 INR 12 August, 2020 - Open
Book debts Rs 225000000 INR 13 March, 2020 - Open
As per Clause 3 of Deed of Hypothecation and Sched Rs 230000000 INR 23 June, 2020 - Open
Book debts
Floating charge
Loan Receivables
Rs 250000000 INR 07 August, 2018 - Open
Book debts
Floating charge
Loan Receivables
Rs 250000000 INR 20 August, 2018 - Closed
Book debts
Floating charge
Rs 250000000 INR 28 December, 2018 17 July, 2020 Open
Book debts Rs 250000000 INR 15 May, 2019 - Open
As per Clause 3 of Deed of Hypothecation and Sched Rs 250000000 INR 15 June, 2020 - Open
As per clause 3 of the attached Hypothecation Agre Rs 260000000 INR 09 March, 2020 - Open
Floating charge
Asset acquire pursuant to use of Facility Proceeds
Rs 300000000 INR 18 December, 2017 - Closed
Loans originated as per the end use of facility Rs 300000000 INR 19 March, 2018 - Closed
Floating charge
Loans originated as per the end use of facility
Rs 300000000 INR 28 May, 2018 - Open
Exclusive charge on identified receivables Rs 300000000 INR 22 March, 2019 - Open
As per clause 3 of the attached Hypothecation Agre Rs 350000000 INR 09 December, 2019 - Open
Collection and Payment Account and Receivables Rs 400000000 INR 17 January, 2019 - Closed
First and exclusive charge over portfolio Rs 400000000 INR 22 March, 2019 - Open
As per Clause 3 of Deed of Hypothecation and Sched Rs 500000000 INR 26 June, 2020 - Open
Book debts
Floating charge
Rs 1100000000 INR 07 June, 2019 - Open

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