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 |
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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 |
Active Directors | |
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Director Name | |
Ruchi Kalra | |
Vasant Sridhar | |
Sathyan David | |
Ruchi Kalra | |
Akshat Vikram Pande | |
Rohit Kapoor | |
Asish Mohapatra | |
Brij Kishore Kiradoo | |
Praveen Kumar Bhambani | |
Pinki Jha |
Resigned Directors | |
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Director Name | |
Dhaval Dineshchandra Radia |
Index of Charges | ||||
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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 |