Tirupati Structures (India) Private Limited

Class of Company
Status
Active
Company Age
24 years 7 months
Last Filing with ROC
Mar 31, 2023
Last Updated Date
Oct 18, 2024  refresh

Loans & Charges for Tirupati Structures (India) Private Limited

Charges Assets16
Total No. of Lender(s)16
Top LenderSTATE BANK OF INDIA
Last Charge ActivitySatisfaction
Last Charge DateMar 24, 2022
Last Charge Amount2,500.00 Lakhs
Sum Of Charges (Open)8,619.00 Lakhs
Charge IDCharge HolderCreated OnSatisfied OnAmount (Lakhs)Status
100447236STATE BANK OF INDIAMar 12, 2021May 6, 2022200.00Closed
100406079ICICI BANK LIMITEDOct 14, 2020Apr 29, 20241,625.00Closed
100359387KOTAK MAHINDRA BANK LIMITEDAug 18, 2020Apr 4, 2024229.00Closed
100184714KOTAK MAHINDRA BANK LIMITEDAug 30, 2017Apr 4, 20241,400.00Closed
10323349BANK OF INDIANov 25, 2011Feb 24, 20211,250.00Closed
100236153BANK OF INDIAMay 21, 2018Feb 24, 2021844.00Closed
90209126UNION BANK OF INDIAOct 23, 2002Dec 1, 2011670.00Closed
100702264KOTAK MAHINDRA BANK LIMITEDApr 5, 2023-1,000.00Open
100670752KOTAK MAHINDRA BANK LIMITEDDec 29, 2022Mar 21, 20242,000.00Closed
100605211TATA CAPITAL FINANCIAL SERVICES LIMITEDJul 29, 2022-1,000.00Open
100590809ICICI BANK LIMITEDJun 23, 2022Apr 29, 2024100.00Closed
100561881STATE BANK OF INDIAMar 24, 2022-2,500.00Open
100567241SBI GLOBAL FACTORS LIMITEDApr 25, 2022Jul 3, 2023450.00Closed
100561882STATE BANK OF INDIAApr 8, 2022May 20, 20231,208.00Closed
100939880KOTAK MAHINDRA BANK LIMITEDJun 6, 2024-2,119.00Open
100874264AXIS BANK LIMITEDFeb 27, 2024-2,000.00Open