About SURYACITY INFRASTRUCTURES LIMITED
SURYACITY INFRASTRUCTURES LIMITED is a Public Limited Company and was incorporated on Nov 10, 1994 in India. It is registered at Registrar of Companies, ROC Chandigarh. Its registered address is KHALIFA STREET SADAR BAZAR, SANGRUR, Punjab, India, 148001. Its corporate identification number is (CIN) U28999PB1994PLC015283 and its current status is Active. Its industry classification as per MCA is manufacture Of Other Fabricated Metal Products N.E.C : Metal Cable, Plaited Bands And Similar Articles; Articles Made Of Wire Barbed Wire, Wire Fencing Etc.): Cutlasses, Swords, Bayonets And Similar Arms; Type Foundings Metal Safety Headgear; Railway Or Tramway Fixtures Or Fittings (E.G. Assembled Track, Turntables, Platform Buffers Etc.); Ship’S Propellers, Anchors, Belts, Flexible Tubing, Clasps, Buckles, Hooks, Metal Scouring Pads, Sign Plates And So Forth.
SURYACITY INFRASTRUCTURES LIMITED's last Annual General Meeting (AGM) was held on Sep 30, 2024 as per records from Ministry of Corporate Affairs (MCA). SURYACITY INFRASTRUCTURES LIMITED's authorised share capital is ₹2Cr and its paid up capital is ₹1Cr. The current board of directors of SURYACITY INFRASTRUCTURES LIMITED comprises Ashok Pawar, Shiv Kumar and 1 more.
SURYACITY INFRASTRUCTURES LIMITED generated less than ₹10 Cr in revenue for the financial year ending on Mar 31, 2025.
Contact Details for SURYACITY INFRASTRUCTURES LIMITED
- *****@yahoo.co.in
- Registered Address
- KHALIFA STREET SADAR BAZAR, SANGRUR, Punjab, India, 148001
Principal Business Activity of SURYACITY INFRASTRUCTURES LIMITED
Main Activity Group Code | Description of Main Activity | Business Activity Code | Description of Business Activity | Turnover Percentage |
|---|---|---|---|---|
L | Real Estate | L2 | Real estate activities on fee or contract basis | ohl |
Documents of SURYACITY INFRASTRUCTURES LIMITED
Financials of SURYACITY INFRASTRUCTURES LIMITEDFY 25 Available
Financial Statement Summary
Metrics | FY 2024-25 | FY 2023-24 | FY 2022-23 | FY 2021-22 | FY 2020-21 |
|---|---|---|---|---|---|
Income Statement | |||||
Revenue | 2360 | 2346 | 1037 | 5671 | 4999 |
Total Sales | 5871 | 7720 | 1149 | 9557 | 1988 |
Total Expenses | 8545 | 7371 | 6646 | 2921 | 4004 |
Operating Expenses | 5410 | 9444 | 1855 | 2672 | 4761 |
Employee Expenses | 9177 | 7965 | 1659 | 9344 | 6886 |
Operating Income (EBIT) | 7532 | 1360 | 9192 | 2564 | 4679 |
Interest Expenses | 1555 | 9258 | 9041 | 9824 | 1549 |
Expenses from other activities | 5926 | 3868 | 6362 | 7084 | 1347 |
EBITDA | 3906 | 3840 | 6900 | 5937 | 6808 |
Taxes | 7862 | 3860 | 9921 | 9104 | 6189 |
Net Profit | 5626 | 5358 | 6316 | 8396 | 9874 |
Balance Sheet | |||||
Assets | 7041 | 7716 | 5019 | 6691 | 3644 |
Accounts Receivables | 6764 | 7701 | 2890 | 4000 | 1844 |
Inventory | 4673 | 5537 | 6057 | 2370 | 1023 |
Liabilities | 5911 | 4066 | 8004 | 1785 | 7415 |
Total Debt | 7679 | 6547 | 1140 | 2800 | 3077 |
Accounts Payable | 8634 | 4607 | 2668 | 5634 | 2051 |
Equities | 9621 | 5453 | 7586 | 6208 | 3370 |
Ratios
Metrics | FY 2024-25 | FY 2023-24 | FY 2022-23 | FY 2021-22 | FY 2020-21 |
|---|---|---|---|---|---|
Profitability Ratios | |||||
EBITDA Margin | 9856 | 9989 | 1237 | 5791 | 5990 |
EBIT Margin | 5080 | 7942 | 4069 | 4170 | 3137 |
Net Profit Margin | 6776 | 8715 | 6268 | 3122 | 6169 |
Return on Assets (ROA) | 5082 | 7178 | 6452 | 4492 | 9757 |
Return on Equity (ROE) | 9040 | 3687 | 9236 | 4819 | 7665 |
Return on Capital Employed | 1032 | 9340 | 8994 | 7704 | 1381 |
Return on Invested Capital | 5226 | 2920 | 6789 | 1984 | 9554 |
Efficiency Ratios | |||||
Asset Turnover | 7041 | 9505 | 7739 | 6997 | 3210 |
Receivables Turnover | 5719 | 1080 | 1013 | 4822 | 4066 |
Days Sales Outstanding | 2156 | 8012 | 8471 | 2963 | 8536 |
Inventory Turnover | 7895 | 8269 | 3932 | 2711 | 7722 |
Days Inventory Outstanding | 2399 | 8706 | 4133 | 2179 | 5470 |
Payables Turnover | 4430 | 6743 | 9871 | 1750 | 7019 |
Days Payables Outstanding | 6100 | 4122 | 1301 | 7781 | 3850 |
Liquidity Ratios | |||||
Current Ratio | 3141 | 5458 | 6898 | 2006 | 6238 |
Quick Ratio | 2398 | 2619 | 4187 | 3701 | 7780 |
Debt Ratios | |||||
Debt-to-Equity Ratio | 1963 | 1438 | 8656 | 4204 | 4745 |
Debt Ratio | 3139 | 1506 | 9810 | 5494 | 8282 |
Interest Coverage Ratio | 6484 | 3342 | 7572 | 5567 | 8096 |
Debt Service Coverage Ratio | 3103 | 1881 | 9868 | 4495 | 9140 |
Net Debt/EBITDA | 7126 | 3418 | 7601 | 9273 | 5641 |
Growth Ratios | |||||
Revenue Growth Rate (CAGR) | 6752 | 3690 | 6268 | 4623 | 4284 |
Earnings Growth Rate (CAGR) | 2984 | 4162 | 2661 | 8779 | 1506 |
Detailed Financials (Income Statement, Balance Sheet, Cashflow Statement)
Compounded Annual Growth Rate of SURYACITY INFRASTRUCTURES LIMITED
Revenue CAGR | Growth |
|---|---|
1 Year | -37% |
3 Year | 956 |
5 Year | 489 |
EBITDA CAGR | Growth |
|---|---|
1 Year | 9% |
3 Year | 554 |
5 Year | 958 |
Profit CAGR | Growth |
|---|---|
1 Year | 720% |
3 Year | 977 |
5 Year | 254 |
MSME Payment Delays by SURYACITY INFRASTRUCTURES LIMITED
Credit Ratings of SURYACITY INFRASTRUCTURES LIMITED
GSTIN Details of SURYACITY INFRASTRUCTURES LIMITED
Board of Directors and Signatories of SURYACITY INFRASTRUCTURES LIMITED
Board of Directors of SURYACITY INFRASTRUCTURES LIMITED
Name | Designation | Status | Appointment Date | Duration |
|---|---|---|---|---|
Director | Current | Jul 05, 2018 | 7 Years 11 Months | |
Director | Current | Jul 05, 2018 | 7 Years 11 Months | |
Director | Current | Jul 05, 2018 | 7 Years 11 Months |
Signatories of SURYACITY INFRASTRUCTURES LIMITED
Name | Designation(s) | Status | Appointment Date | Duration |
|---|---|---|---|---|
Director | Current | Jul 05, 2018 | 7 Years 11 Months | |
Director | Current | Jul 05, 2018 | 7 Years 11 Months | |
Director | Current | Jul 05, 2018 | 7 Years 11 Months |