Skip to main content

AI assistant

Sign in to chat with this filing

The assistant answers questions, extracts KPIs, and summarises risk factors directly from the filing text.

Hind Rectifiers Ltd. Annual Report 2020

Jun 29, 2020

62363_rns_2020-06-29_de233d97-b29e-4f2b-9498-dc0b976d8b20.pdf

Annual Report

Open in viewer

Opens in your device viewer

Address : Lake Road, Bhandup(W), Mumbai-400078 Tel. :+91-22-25696789 Fax: +91-22-25964114 Email : [email protected]/[email protected] CIN :L28900MH1958PLC011077 Website : www.hirect.com

Ref. No. HIRECT/SEC/2020-21/21 29th June, 2020

BSE Limited NationalStockExchangeofIndia
Rotunda Building, Limited
Phiroz Jeejeebhoy Towers, "Exchange Plaza" 5th Floor, C-1, Block 'G'
Dalal Street, Mumbai Bandra Kurla Complex,
400 001 Maharashtra Bandra (East) Mumbai 400 051

Security Code No. 504036/HIRECT Type of Security: Equity

Sub: Newspaper Publications – Audited Financial Results

Dear Sir/Madam,

Please find enclosed herewith copies of advertisement with respect to the Audited Financial Results for the quarter and year ended 31st March, 2020 published in The Free Press Journal and Navshakti on 28th June, 2020.

We request you to kindly take the above on records.

Thanking you,

Yours Faithfully,

For Hind Rectifiers Limited

MEENAKSHI ANCHLIA Digitally signed by MEENAKSHI ANCHLIA DN: c=IN, o=Personal, postalCode=311001, st=Rajasthan, 2.5.4.20=e730281436e01058aebc02a72c4965c47f07af5e7fa6eb9717c91e446d2554f5, serialNumber=fd049ba8df1613d925a2968d34c90013fa51c975fa02fe06ea599dfdd479b3f6, cn=MEENAKSHI ANCHLIA

Meenakshi Anchlia (Company Secretary & Compliance Officer)

Date: 2020.06.29 10:19:38 +05'30'

Encl: as above

12

PUBLIC NOTICE

Notice is hereby given that MR. HARSHIT JAYANTIBHAI PRAJAPATI, is the owner of the immovable property, description of which is mentioned hereunder in Schedule-I and intends to mortgage the said property to DENA BANK (NOW BANK OF BARODA) and has informed/reported that he is owned the said property mentioned hereunder Vide Registered Sale Deed Serial No. 3298/2014 dated 24.03.2014. Schedule-I (Description of the Immovable Property) Non-Agricultural land bearing Survey No. 154/B, admeasuring about- 0 Hector 04 Are 06 Pratiare, after Promulgation its New Survey No. 21, alongwith old construction thereon, having constructed area admeasuring about- 1500.00 Square Feets .e. 139.40 Square Meters, situated at Village- Rentlav, Taluka-Pardi, District-Valsad, Gujarat State.

Schedule-II (List of Documents Lost/Misplaced) Original Registered Sale Deed bearing Serial No. 3298/2014 dated 24.03.2014 alongwith its Registration

fee Receipt. Documents mentioned herein above at Schedule-II is not found

with the owner and has reported to lost/ misplaced/ not found and therefore is this notice is issued. If any person/s or any Bank or any Financial institution having any charge, lien, right, title or interest over the above said property should inform the undersigned with the relevant documentary evidence in person within 7 (Seven) days from the date of publication of this notice. Failing which the title of the above said property will be presumed to be clear and marketable and my client will get executed the mortgage in respect to the above said property in their favour

Office No. 07, "Garnet", Seven Jewels, Vapi (E) 396191. E-Mail Id: [email protected]

JAYABHARAT CREDIT LIMITED
(Formerly: The Jayabharat Credit & Investment Co. Ltd.)
CIN: L66000MH1943PLC003899
22, Rajabahadur Mansion, 4th Floor, Opp. S.B.I. Main Branch, Near Stock Exchange,Since 1943
Mumbai Samachar Marg, Fort, Mumbai - 400023. Email: [email protected], website: www.jayabharat.com
STATEMENT OF STANDALONE AUDITED FINANCIAL RESULTS
FOR THE QUARTER AND YEAR ENDED 31ST MARCH, 2020
(Rs. in Lakhs)
Quarter Ended Year Ended
Particulars Quarterended(31.03.2020) Previous3 monthsquarterended(31.12.2019) Corresponding3 monthsended in theprevious(31.03.2019) Year to datefigures forcurrent periodended(31.03.2020) Year to datefigures forpreviousyear ended(31.03.2019)
(Audited) (Unaudited) (Audited) (Audited) (Audited)
Income from Operations
(a) Revenue from Operations
(b) Other Income 0.15 0.07 5.24 0.35 6.37
Total Income 0.15 0.07 5.24 0.35 6.37
Expenses
(a) Employee benefits expenses 8.11 4.88 14.85 26.09 41.67
(b) Finance costs
(c) Depreciation and amortisiation expenses 0.21 0.26 0.24 0.87 1.05
(d) Other expenses 32.90 16.91 1,504.20 88.44 6.027.54
Total Expenses 41.22 22.05 1,519.29 115.40 6,070.26
Profit / (loss) before, Exceptional items and tax (1-2) (41.07) (21.98) (1,514.05) (115.05) (6.063.89)
Exceptional Items
Profit / (Loss) before tax (5-6) (41.07) (21.98) (1,514.05) (115.05) (6.063.89)
Tax ExpensesCurrent Tax
Deferred Tax
Tax Adjustment (Excess)/short provision of earlier years
Total Tax Expenses
Net Profit/ (loss) for the period (5-6) (41.07) (21.98) (1,514.05) (115.05) (6.063.89)
Other comprehensive income /(Loss)
(a) Items not to be realised to Profit or Loss
(b) Income tax relating to item not to be reclassified to Profit or Loss
(c) Items to be reclassified to Profit or Loss ¥
(d) Income Tax relating to item to be reclassified to Profit or Loss
Total other comprehensive income /(Loss) ä,
Other Comprehensive Income/(loss) for the period
(Net of Tax Expenses)
Total Comprehensive Income/(loss) (8-9)
Paid-up equity share Capital

CHARU BHATT

ADVOCATE

WESTERN RAILWAY PMENT & ALLIED WORKS CAC WAITING ROOM 信号 Tender Notice No. CA11_WaitingRoom_20 Date: 26.06.2020 Deptt. Room-20 Date: 20.00.2020 Deptr.:Commercial, Executive: Sr. DCM Workand location: Tender for Development,Upgrad ation, Refurbishment,Maintenance and Manning of AC WaitingRoom with modern facilities, amenities

देशिक

परिपूर्ण

फुटुबाचे

le

Ģ.

$\overline{\textbf{C}}$

navshakti.c

WWW.

Room with modern facilities, amenities, andand unit for dispensing of beverages/lightrefreshments at Mumbai Central station(MMCT) of Mumbai Division for a period $65$ (five) years. First Year ReservePrice: ₹ 7,83,962/ EMD: 383,400/- Website where Tenderform available: www.ireps.gov.inCompletion Period: Five Years Date & Time of closing of online submission:upto 15:00 hrs. on 28.07.2020 Date & time of opening of e-tender: at 15:30hrs. on 28.07.2020. Note: Please visit From the state in the tender of the tender of the download the tender document,corrigendum and further details. Cost oftender and EMD shall be accepted only through online net banking or E-payment gateway. Bidders should reqularly visit ebsite to keep themselves updated. p.22. like us on : [1] facebook.com/W

CENTRAL RAILWAY
MATERIALS MANAGEMENT DEPARTMENTE-PROCUREMENT AT NOTICE No.e-20/2020, Dt.25-06-2020
Description Qty TO.D.
AOH/IOH/POH Kit 131 Sets 10.07.20
Contactor Filter 7 Nos 10.07.20
IOH Kit 1 Set 10.07.20
Jumpar plug Assembly 39 Nos 15.07.20
Polyamide covered copper conductor. 16360 Kgs 16.07.20
Regulated battery charger-LHB coaches 30 Nos 16.07.20
Set of Must Change Items 20 Sets 17.07.20
Power Supply Gate Unit 6 Nos 17.07.20
Modified Zirconium Copper Stamping 1292 Nos 17.07.20
Pad for secondary suspension. 2236 Nos 27.07.20
Regarding detail notice & Tender Conditions please visit www ireps gov in 165
All India Railway Helpline No. 139 and Security Helpline No. 182
WESTERN RAILWAY-RAJKOT DIVISION
ENGINEERING WORKS
E -Tender Notice No. 06 of 2020-21 date 25,06,2020
(1) e-Tender No. DRM-RJT-20-E-19
Name of Work Rajkot Division - Supply of water for cooking and drinkingpurpose at Okhamadhi, Modpur, Khmabhaliya, Bhateland Bhopalka under the jurisdiction of Sr. SectionEngineer (Works) Dwarka (for 24 months).
Approximate NIT Cost ₹ 39,36,759.46/
EMD Cost ₹78,700/-
Date & Time of Opening of Tender 24/07/2020, 15:00 Hrs.
(2) e-Tender No. DRM-RJT-20-E-20
Name of Work Rajkot Division - Providing drains at Motikhavdi, Sikka,Hapa and Kanalus for vard drainage improvement (2500RM).
Approximate NIT Cost ₹82,55,770.98/
EMD Cost ₹1.65.100.00/
Date & Time of Opening of Tender 24/07/2020, 15:00 Hrs.
(3) e-Tender No. DRM-RJT-20-E-21
Name of Work Raikot Division - Extension of platform at Hapa andproviding cover shed at Jamnagar.
Approximate NIT Cost ₹ 1,10,26,049.79/
EMD Cost ₹ 2,05,100.00/
Date & Time of Opening of Tender 24/07/2020, 15:00 Hrs.
(4) e-Tender No. DRM-RJT-20-E-22
Name of Work Rajkot - Operation and Maintenance of Sub Ordinate RestHouse & TTE Room by outsourcing (for 24 Months).
Approximate NIT Cost ₹ 3,36,072.00/
EMD Cost ₹6.700.00/
Date & Time of Opening of Tender 24/07/2020, 15:00 Hrs.
Office Address: Divisional Railway Manager (Engg.), Western Railway, KothiCompound, Rajkot, Gujarat-360001. Website: www.ireps.gov.inRJT-29
Like us on: $\blacksquare$ facebook.com/WesternRIv $\parallel$ follows us on: $\blacksquare$ twitter.com/WesternRIv

PUBLIC NOTICE

Notice is hereby given that GAJANAN DEALERS PRIVATE LIMITED, is the owner of the immovable property, description of which is mentioned hereunder in SCHEDULE- I and has informed/reported that he had owned the said property mentioned hereunder Vide Registered Sale Deed Serial No. 475/2017 dated 20.02.2017.

Schedule - I (Description of the Immovable Property) Non-Agricultural land bearing Survey No. 230/5, admeasuring about- 00 Hector 18 Are, Situated at Village- Sayli of the Union Territory of Dadra and Nagar Haveli.

Schedule-II (List of Documents Lost/Misplaced)

  1. Original Registered Sale Deed bearing Serial No. 386/2004 dated 17.02.2004 alongwith its Registration fee Receipt.

Documents mentioned herein above at SCHEDULE-II is not found with the owner and has reported to lost/ misplaced/ not found and therefore is this notice is issued. If any person/s or

THE FREE PRESS JOURNAL MUMBAI | SUNDAY | JUNE 28, 2020 www.freepressjournal.in

CENTRAL RAILWAY

Hiring of Vehicle.Sr DCM(Wks), Seni

Divisional Commercial Manager, Mumba

WEST CENTRAL RAILWAY HIRING OF VEHICLE IN MUMBAI DIVISION Open e-tender notice No. - BB.C.Ch.OS. ENGINEERING BRANCH Open E- Tender Notice Date: 26.06.2020

Division, Central Railway, for and on behalf of the President of India, invites open eenders through website www.ireps.gov.in rom the reputed contractors. The time, date and submission are 11.00 hrs. on 20.07.2020 & will be opened after 12.00 hrs on same day S.N. 1 : Name of work: liring-cum-providing one licensed vehicle four wheeler Non-AC MUV/SUV in good condition with contractor's Driver, fuel, the seen on the notice board of DRM Condition with condition of the section of the section of the ManualLubricants, Parts etc. for 12 hours duty for $|(W)$ WCR/Bhopal Office. Manual Cupilical is, it will be the first of the control of the control of the control of the control of the control of the control of the control of the control of the control of the control of the control of the control of the period of 02 years (24 months), Approx | Choice and The Morrection, in these Contract Value ₹: 9,58,056 00/- plus GST | tenders, if necessary, corrigendum will For 24 month period, EMD ₹ : 19200 /-, | be uploaded on webite prior to tender Cost of Tender Form ₹ : 2000/-, Hiringperiod : 24 months, Validity of offer : 45will be placed on Notice Board of this days. Payments of Earnest MoneyDeposits (EMD) and Cost of Tender date of tender opening, Tenderes are document (CTD) in respect of e-tender requested to offer their rates and shall be accepted through net banking or submit tenders according to the payment gateway only. Offer shall be provisions of GST ACT 2017. NIT No. Programmarily rejected if any other model adopted for submission of EMD or CTD. adopted for submission of EMD or CTD. Turker Addendum /corrigendum, time and Divisionic Part - A) Provision of Europa Divisionic Part extension, clarification etc. if any, inconnection with the subject tender, will only encroachment at Itarsi yard. Part- B) be uploaded in the website. Tenderer should regularly visit the website to keep | Business and the Boundary wall to should regularly wall to keep | Business | C | Provision of Boundary wall to themselves updated. Railway reserves the | prevent encroachment at NSZ - BPL right to accept the work in full or part or Section. Estimated Cost of Tender reject the tender in full or part without | Rs. -59332831/-, Earnest Money for ssigning any reasons. Conditional offers tender Rs. - 446700/-, Cost of Tender will summarily be rejected. $\boxed{\phantom{000}167}$ RPF Security Helpline 182

Sr. DEN/CO/WCR, Bopal acting fo and on behalf of the President of India. Invites E- tenders against following works, upto 15:30 Hours on the dates mentioned against each Tender. The Complete Tender documents and detail information regarding tenders, is available on the website https://www.ireps.gov.in. NIT Can also encroachment at Habibganj yard. Par Form Rs. 10000/-, last Date for Submitting Tender - 22.07.2020. DRM (W) Bhopa

Gurunanak Hospital, Bandra (East) Mumbai - 400 051Ph. No. 022- 26427294 / 295 web: www.canarabank.com E-mail id: br [email protected]

DEMAND NOTICE [SECTION 13(2) TO BORROWER/ GUARANTOR/MORTGAGOR By Registered A/D Ref: 181/MCB-15539/BPTPL/2020 Date: 09/06/2020

  • . M/s Balaji Precision Tubes (India) Pvt. Ltd. (Borrower)
  • mar Danger Technology (Natural Calculator Calculator)Factory: Survey No 32, Hissa No 2C2, Survey No 34,Hissa No 4, situated at Village Ajivali, Taluka Khalapur, District Raigad
  • Mr. Bipin Jadhav, nn - Finn Director / Personal GuarantorB-3/706, Ekta lokmilan CHS Ltd. Chandivali, Farm Road,
  • Chandivali-Sakinaka, Mumbai-400072
  • Mr. Nitin Jadhav, nn : wur vourner.Director / Personal GuarantorB-3/ 705, Ekta lokmilan CHS Ltd. Chandivali Farm Road,
  • Chandivali -Sakinaka, Mumbai-400072
  • 4 Smt Anandi Prahlad Jadhav onn, Ananan Tramaa SaamavBersonal GuarantorB-3/706 Ekta Lokmilan CHS Ltd. Chandivali, Farm Road,
  • Chandivali-Sakinaka, Mumbai-400072
  • M/s Balaji Engineering Pvt. Ltd. Letter of comfort /Corporate Guarantee
  • A/7. Chandivali Industrial Area. Behind Coats of India. Sangharsh nagar, Chandivali, Mumbai -400072
  • Dear Sir,

Sub: Notice issued under Section 13(2) of the Securitisation & Reconstruction of Financial Assets & Enforcement of Security Interest Act, 2002.The undersigned being the Authorized Officer of Canara Bank (e-syndicate bank), Mid Corporate Branch Bandra (E), Mumbai - 400 051 (hereinafter referred to as "the secured creditor"), appointed under the Securitisation and Reconstruction of Financial Assets and Enforcement of Security InteresAct, 2002, (hereinafter referred as the "Act") do hereby issue this notice to you as under

That M/s Balaii Precision Tubes (India) Pvt. Ltd. (hereinafter referred to as "the Borrower"1) has availed credit facility / facilities stated in the Schedule A ereunder and has entered into the security agreement/s in favour of t interesting and rise secured creditor. While availing the said financial assistance, you haveexpressly undertaken to repay the loan amount/s in accordance with the terms and conditions of the above mentioned agreement That Sri Bipin Jadhay, Sri Mr. Nitin Jadhay, Smt Anandi Prahlad Jadhay and M/s Balaji Engineering Pvt. Ltd (hereinafter referred to as Guarantor") has guaranteed the payment on demand of all moneys and discharge all obligations and liabilities owing or incurred to the securecreditor by the Borrower for credit facilities up to the limit of Rs 116000000 (Rupees Eleven Crore Sixty Lacs only) with interest thereon.

. гаги-им сийгт энагс мамкаг(Face Value of Rs.10/- each) 500.00 500.00 500.00 500.00 500.00
12 Reserves excluding Revaluation Reserves as per Balance $\omega$ $\bullet$ (6.064.38) (5.949.34)
Sheet of Previous Accounting Year
13 Earning Per share before and after Extraordinary Items
(of Rs. 10/- each) (not annualised):
a) Basic (Rs.) $-0.82$ $-0.44$ $-30.28$ $-2.30$ $-121.28$
b) Diluted (Rs) $-0.82$ $-0.44$ $-30.28$ $-2.30$ $-121.28$

Notes

SR.

N0

1 The above Standalone Financial Results have been approved by the Audit Committee at meeting held on 26th June, 2020 thereafter approved by the Board of Directors and taken on record, at the meeting held on 26th June, 2020.

The Statutory Auditors of the Company have carried out a Review of the Standalone Financial Results for the Quarter and the Year ended 31st March, 2020.

The Company has only area of Operation and Business Activity of Company is non Operational and hence segment Reporting is not required.

The Statement has been prepared in accordance with the Companies (Indian Accounting Standard) Rules, 2015 (Ind AS) prescribed under section133 of the Companies Act, 2013 and other recognised accounting pratices and polici

As on date, the Company is no longer a NBFC, consequent upon cancellation of Certificate of Registration by RBI, which is already notified to Bomba Stock Exchange (BSE)

Other than Fixed Deposit in Nationalised Bank, the Company does not have any other investment

The Figures for the corresponding period have been regrouped or reclassified, wherever necessary.Think is only offer the corresponding period have used in the corresponding to the corresponding to the corres

STANDALONE STATEMENT OF ASSETS AND LIABILITIESParticulars As at 31st March, 2020 (All amounts in Rs. Unless stated otherwise)As at 31st March, 2019
ASSETS
1 Non - Current Assets
(a) Property, Plant and Equipment 28,17,159 29.04.190
(b) Investment property
(c) Financial Assets
(i) Investments 2,00,000 2,00,000
(ii) Long-term loans and advances 68,75,292 68,75,299
(d) Deferred Tax Assets (Net) 3.36,385 3,36,385
1,02,28,836 1.03.15.874
2 Current Assets
(a) Inventories
(b) Financial Assets
(i) Trade Receivables
(ii) Cash and Cash Equivalents 29.048 23.256
(iii) Other bank Balances 2,78,659 3,07,112
(iv) Other Financial Assets
(c) Current Tax Assets (Net)
(d) Other Current Assets 2,32,339 2,05,743
TOTAL CURRENT ASSETS 5,40,046 5,36,111
TOTAL ASSETS 1,07,68,882 1.08.51,985
EQUITY AND LIABILITIES
1 Equity
(a) Equity Share Capital 5,00,00,000 5,00,00,000
(b) Other Equity (60, 64, 38, 543) (59, 49, 33, 856)
Total Equity (55, 64, 38, 543) (54, 49, 33, 856)
2 Liabilities
Non-Current Liabilities
(a) Financial Liabilities
(i) Borrowings
(ii) Other financial Liabilities 56,28,37,000 55,22,07,000
(b) Other Non Current Liabilities
(c) Provisions
Total Non - Current Liabilities 56,28,37,000 55,22,07,000
Current Liabilities
(a) Financial Liabilities
(i) Borrowings
(ii) Trade Payable
(A) Total outstanding dues of micro enterprises
and small enterprises
(B) Total outstanding dues of creditors other
than micro enterprisies and small enterprises
(iii) Other Financial Liabilities
(b) Other Current Liabilities 24,23,623 16,18,632
(c) Provisions 19,46,802 19,60,209
Total Current Liabilities 43,70,425 35,78,841
TOTAL EQUITY AND LIABILITIES 1,07,68,882 1,08,51,985
By Order of the Board,For JAYABHARAT CREDIT LIMITED.
Place: New Delhi Arun Mitter
Date: 26th June, 2020 (DIN: 00022941)

any Bank or any Financial institution having any charge, lier right, title or interest over the above said property should inform the undersigned with the relevant documentary evidence in person within 7 (Seven) days from the date of publication of this notice. Failing which the title of the above said property will be presumed to be clear and marketable and my client will get executed the mortgage in respect to the above said property in their favour. Office No. 07, "Garnet",

CHARU BHATT

ADVOCATE

Seven Jewels, Vapi (E) 396191.E-Mail Id: [email protected]

AKSHADA NEVATIA Dated: 26th June, 2020 EXECUTIVE DIRECTOR

hirect.com

Place: Mumbai

You (The person mentioned in schedule B) are also entered in to agreement against the secured assets which are detailed in Schedule B3 hereunde However, from 01.11.2019, the operation and conduct of the said financia assistance / credit facilities have become irregular. The books of accoun maintained by the secured assets shows that the liability of the Borrowertowards the secured creditor as on 01.06.2020 amounts to Rs 10.23.57.913.90 (Rupees Ten Crores Twenty Three Lac Fifty Sever Thousand Nine Hundred Thirteen and Paise Twenty Seven only) withfurther cost and charges, the details of which together with future interest ratefurther cost and charges, the details of which together with future interes are stated in Schedule C hereunder. It is further stated that the Borrowe Burantor having failed to keep up with the terms of the above said agreemer in clearing the dues of the secured creditor within the time given, and have een evasive in settling the dues. The operation and conduct of the above said financial assistance / credit facility/ies having come to a standstill and as a consequence of the default committed in repayment of principal debtinstallment and interest thereon, the secured creditor was constrained to classify the debt as Non Performing Asset (NPA) as on 29.01.2020 (mention date) in accordance with the directives/guidelines relating to asset classification issued by the Reserve Bank of India

The secured creditor through this notice brings to your attention that the Borrower has failed and neglected to repay the said dues/ outstandingliabilities and hence hereby demand you under Section 13(2) of the Act, by issuing this notice to discharge in full the liabilities of the Borrower as stated in Schedule C hereunder to the secured creditor within 60 days from the date of receipt of this notice. Further, it is brought to your notice that you are also liable to pay future interest at the rate of 17.85% together with all costs, chargesexpenses and incidental expenses with respect to the proceeding:

undertaken by the secured creditor in recovering its dues.Please take note of the fact that if you fail to repay to the secured creditor the Fraction and The Research 1900 and The Research 2000 and 2000 and 2000 and 2000 and 2000 and 2000 and 2000 and 2000 and 2000 and 2000 and 2000 and 2000 and 2000 and 2000 and 2000 and 2000 and 2000 and 2000 and 2000 and 200 Seven only) with further cost and charges and incidental expenses and costsas stated above in terms of this notice under Section 13(2) of the Act, the secured creditor will exercise all or any of the rights detailed under sub-sectior 4)(a) and (b) of Section 13, the extract of which is given here below to convey the seriousness of this issue:

13 (4)- In case the Borrower/Guarantor fails to discharge liability in full withir the period specified in sub-section (2), the secured creditor may take recours o one or more of the following measures to recover his secured debt, namely; (a) Take possession of the secured assets of the Borrower/Guarantorincluding the right to transfer by way of lease, assignment or sale for

realizing the secured asset; (b) Take over the management of the business of the Borrower including the

right to transfer by way of lease, assignment or sale for realizing the secured asset:

Provided that the right to transfer by way of lease, assignment or sale shall be exercised only where the substantial part of the business of the Borrower is held as security for the debt;

Provided further that where the management of whole of the business orpart of the business is severable, the secured creditor shall take over the management of such business of the borrower which is relatable to the security for the debt; and under other applicable provisions of the said Act.

Your attention is invited to provisions of sub-section (8) of Section 13 of the Act n respect of time available, to redeem the secured assets.

You are also put on notice that in terms of section 13(13) the Borrower/Guarantor shall not transfer by way of sale, lease or otherwise the said Secured assets detailed in Schedule B hereunder without obtaining writtenconsent of the secured creditor. It is further brought to your notice regard you shall have to render proper accounts of such realization / income.

This notice of Demand is without prejudice to and shall not be construed as The intervention of the secured creditor may haveincluding further demands for the sum solution due and payable by you. This is without prejudice to any other rights available to the secured credito

under the Act and/or any other law in force. Please comply with the demand under this notice and avoid all unpleasant-

less. In case of Non-compliance, further needful action will be resorted to holding you liable for all costs and consequence.

Yours faithfully, Authorized Officer

ELANTAS Beck India Ltd.

(CIN: L24222PN1956PLC134746) Regd. Office: 147, Mumbai-Pune Road, Pimpri, Pune - 411018. Tel.: (020) - 67190600 | Email : Abhijit [email protected] Website: https://www.elantas.com/beck-india NOTICE OF THE 64TH ANNUAL GENERAL MEETING OF

ELANTAS Beck India Limited

Votice is hereby given that the 64th Annual General Meeting of the Compan (AGM") will be held on Tuesday, the 21st July 2020 at 11:30 a.m. IST through Video Conference (VC) / Other Audio Visual Means (OAVM) in compliance with all the other applicable provisions of Companies Act, 2013 read with rules made hereunder and in light of the General Circular No. 14/2020, 17/2020, 20/2020 ssued by Ministry of Corporate Affairs and circulars issued by the Securities and Exchange Board of India (SEBI) (hereinafter collectively referred to as " Circulars"), to transact the business as set forth in the Notice of the AGM.

Electronic copies of the Notice of the 64th AGM, procedure and instructions fo evoting and Annual Report for Y 2019 have been sent on Friday, 26th June 2020 to all hose shareholders whose email IDs are register with the Company / Depositories. The Notice of the 64th AGM and the Annual Report are available on the website of the ompany at www.elantas.com and the website of BSE Limited at

www.bseindia.com. The Notice of the 64th AGM is also available on the website of NSDL at https://www.evoting.nsdl.com. Pursuant to Section 91 of the Act and Regulation 42 of the Listing Regulations, the

legister of Members and Share Transfer books of the Company will remain closed om Wednesday, 15 July 2020 to Tuesday, 21 July 2020 (both days inclusive).

The Company is providing the facility to its Members to exercise their right to vote by lectronic means both through remote e-voting and e-voting during the AGM througl -voting platform provided by National Securities Depository Limited (NSDL). All the Members are informed that:

Shareholders may attend the 64th AGM through VC/OAVM facility provided by NSDL at https://www.evoting.nsdl.com by using their remote e-voting credentials

The instructions for participating through VC/OAVM and the process of e-voting including the manner in which Members holding share in physical form or who have not registered their e-mail address can cast their vote through e-voting, are provided as part of Notice of the 64th AGM

Members whose name appear in the register of members or in the register o beneficial owners maintained by the depositories as on the cut-off date o Tuesday. 14th July 2020 shall only be entitled to avail the remote e-voting facility or vote, as the case may be, at the AGM.

  • The remote e-voting shall commence on Saturday, 18 July 2020 at 9:00 a.m. IST and shall end on Monday, 20 July 2020 at 5 00 p.m. The remote e-voting module shall be disabled by NSDL after the aforesaid date and time for voting and once the vote on a resolution is cast by the Member, the Member shall not be allowed to change it subsequently. Members who have cast their by remote evoting prior to the AGM may attend the AGM through VC/OAVM but shall not be entitled to cast their vote again. Members who have not already cast their vote by remote e-voting will be able to cast their vote electronically during the AGM on NSDI e-voting platform.
  • The result of the voting shall be declared within 48 hours from the conclusion of the 64th AGM. The declared result along with Scrutinizer's Report will be poster on the Company's website http://www.elantas.com/beck-india & on NSDL's website and the results shall be communicated to BSE Limited.
  • In case any person has become Member of the Company after dispatch of Notice but on or before the cutoff date for remote e-voting, or has registered for ema address after the dispatch of Notice, such Member may obtain the user ID and Password in the manner as provided in the procedure and e-voting instructions
  • Shareholders whose email address /bank details for receiving dividend are not registered/updated, are requested to get the same registered/updated in respection of shares held in demat by contacting their respective Depository Participant and in respect of share holding in physical form can register their email address and mobile number with Company's Registrar and Share Transfer Agent i.e. LinkIntime India Private Limited (the RTA) by sending an e-mail request at the email ID [email protected]
  • The Company has also provided facility to Shareholders to Temporarily update their email address by accessing the link https://linkintime.co.in/EmailReg/ Email Register html for the limited purpose of receiving the Annual Report for 2019 and the Notice of 64th AGM (including e-voting instructions) electronically
  • In case of any queries, you may refer the frequently asked questions (FAQs) for shareholders and e-voting user manual for shareholders available at the download section of www.evoting.nsdl.com or call on toll free no. 1800-222 990 or send ho request at [email protected] or contact Mr. Amit Vishal, Senic Manager or MS Pallavi Mhatre, Manager National Securities Depository Ltd., Trade World, 'A' wing, 4th Floor, Kamala Mills Compound, Senapati Bapat Marg Lower Parel, Mumbai - 400013, at the designated email IDs [email protected] or [email protected] or [email protected] or a telephone nos.: + 91-22-2499 4360 or +91-99202 64780 or +91 22 2499 4545, who will also address the grievances connected with the voting b electronic means. Members may also write to the Company Secretary at th Company's email address at abhijit [email protected].

Place: Pune

Abhijit Tikekar

खारेपाट भागाला शुद्ध आणि मुबलक पाण्यासाठीनंदा म्हात्रे यांचा आमरण उपोषणाचा इशारा

वार्ताहर

पेण दि. २७ - पेण तालुक्यातील खारेपाट भागाला मागील अनेक दशकांपासून पिण्याच्या पाण्यावाचून वंचित राहावे लागत आहे.

या भागातील अनेक गावांमध्ये पावसाळ्यात अक्षरशः पागोळीचे पाणी साठवून ते वर्षभर पिण्यासाठी वापण्याची वेळ त्यांच्यावर आलेली आहे. तर काही ठिकाणी पाणीपुरवठा होतोय पण गद्धळ पाण्याचा पुरवठा होत आहे.

या सर्व गोष्टी लक्षात घेऊन शासनाकडे पाण्याच्या बाबतीत विविध प्रकारच्या मागण्या करत काँग्रेसच्या कोकण विभागीय समन्वयक नंदा म्हात्रे या सोमवारी म्हणजेच २९ जन रोजी पेण तहसील कार्यालयासमोर

तहसील कार्यालयात सादर केला आहे

पेण तालुक्यातील शहापाडा कार्यालयासमोर धरणा जवळील जलशुद्धीकरण उपोषणाला।बसण्याचा निर्णय घेतला प्रकल्पाची युद्धपातळीवर दुरुस्ती करावी, सिडकोचा पाणीपुरवठा देताना सोबत तालुका अध्यक्ष तात्काळ सुरू करावा, खारेपाटाला अशोक मोकल, ओळखायचे माजी पाणी मिळेपर्यंत मुंबईकडे जाणारा ग्रामपंचायत सदस्य निलेश म्हात्रे, पाणीपुरवठा बंद करावा, तात्काळ राजेंद्र म्हात्रे आदींसह काँग्रेस टँकरने पाणीपुरवठा सुरू करावा, कार्यकर्ते हजर होते.

$\overline{\text{SR}}$

निष्क्रिय अधिकाऱ्यांवर गुन्हा आमरण दाखल करण्यात यावा, महाराष्ट्र समन्वयक नंदा मात्रे यांनी तात्काळ सुरू करावे आदी उपोषणाला मी बसणारच कोणतीही मागण्यांचा समावेश असून तहसील कारवाई केली तरी मी आता पाटी आमरण हटणार नाही.

रजिस्टर्ड ए/डी दारे

दिनांक: ०९/०६/२०२०

महाराष्ट्र प्रदेश काँग्रेस कमिटी उपोषणाला बसणार आहेत. आणि जीवन प्राधिकरणाने सक्षम पत्रकारांशी बोलताना सांगितले की, अधिकाऱ्यांच्या अडेलतट्टपणा त्यांनी तशा प्रकारचा निवेदन अधिकाऱ्यांची नेमणूक करून काम जरी १४४ कलम लागू असले तरी मुळे व होणाऱ्या राजकारणामुळे

देश स्वतंत्र होऊन ७० वर्षे झाली तरी व पेन तालुक्यात पाण्याचा प्रश्न अजून पर्यंत सुटलेला खारेपाटातील पाण्याचा प्रश्न नाही आंता ही शेवटची अाहे. उपोषणाचा इशारा देण्याचे पत्र सोडवल्या शिवाय मी उपोषण आरपारची लढाई.

JAYABHARAT CREDIT LIMITED(Formerly: The Jayabharat Credit & Investment Co. Ltd.)CIN: L66000MH1943PLC00389922. Rajabahadur Mansion, 4th Floor, Opp. S.B.I. Main Branch, Near Stock Exchange,Since 1943Mumbai Samachar Marq, Fort, Mumbai - 400023, Email: [email protected], website: www.jayabharat.com
STATEMENT OF STANDALONE AUDITED FINANCIAL RESULTSFOR THE QUARTER AND YEAR ENDED 31ST MARCH, 2020
Quarter Ended (Rs. in Lakhs)Year Ended
Particulars Quarterended(31.03.2020) Previous3 monthsquarterended(31.12.2019) Corresponding3 monthsended in theprevious(31.03.2019) Year to datefigures forcurrent periodended(31.03.2020) Year to datefigures forpreviousvear ended(31.03.2019)
(Audited) (Unaudited) (Audited) (Audited) (Audited)
Income from Operations(a) Revenue from Operations(b) Other IncomeTotal IncomeExpenses(a) Employee benefits expenses(b) Finance costs(c) Depreciation and amortisiation expenses(d) Other expensesTotal ExpensesProfit / (loss) before, Exceptional items and tax (1-2)Exceptional Items 0.150.158.110.2132.9041.22(41.07) 0.070.074.880.2616.9122.05(21.98) 5.245.2414.850.241,504.201.519.29(1,514.05) 0.350.3526.090.8788.44115.40(115.05) 6.376.3741.671.056.027.546.070.26(6,063.89)
Profit / (Loss) before tax (5-6) (41.07) (21.98) (1,514.05) (115.05) (6,063.89)
Tax ExpensesCurrent TaxDeferred TaxTax Adjustment (Excess)/short provision of earlier yearsTotal Tax ExpensesNet Profit/ (loss) for the period (5-6)
Other comprehensive income /(Loss) (41.07) (21.98) (1,514,05) (115.05) (6.063.89)

आषाढी यात्रेनिमित्त

पढरपुरात चार

दिवस संचारबदीचा

प्रस्ताव

सोलापूर, दि २७ (प्रतिनिधी)

श्री. विठ्ठलाच्या आषाढी एकादशी

सोहळ्यानिमित्त पंढरपूर नगरीत

भाविकांची गर्दी होऊ नये, यासाठी

२९ जून ते २ जुलैपर्यंत संचारबंदी

कायदा लागू करण्यात येणार आहे.

या यासंदर्भात जिल्हाधिकारी

यांच्याकडे प्रस्ताव दिला असल्याची

माहिती अप्पर जिल्हा पोलीस

अधीक्षक अतुल झेंडे यांनी

सध्या कोरोनाचा प्रादर्भाव वाढत

आहे. अशा परिस्थितीत आषाढी

एकादशीचा सोहळा भरल्यास

वारकरी पंढरपुरात एकत्र येतील.

यामुळे कोरोनाचा अधिक प्रसार

होईल. त्यामुळे पंढरपूर नगरीत

वारक-यांची गर्दी होऊ नये.

त्यानुसार भाविकांना पंढरपुरात न

येऊ देण्यासाठी १५०० पोलिसांचा

बंदोबस्त जिल्हा व पंढरपूर शहर

परिसरात लावला आहे.पंढरपुर कडे

येणा-या मार्गावर नाकाबंदी

करण्यात आले आहे.त्याचबरोबर

पंढरपुर शहर व शहरालगतच्या पाच

किलोमीटर परिसरामध्ये संचार बंदी

कायदा लाग करण्यात येणार आहे.

दिली आहे.

अस्वीकृती

ह्या वर्तमानपत्रांत प्रकाशित झालेल्य

कोणत्याही जाहिरातीमध्ये करण्यांत आलेल्य

टाव्यांच्या खरेपणा किंवा सत्यतेसार्त

नवशक्ति कोणतीही हमी देत नाही. अश .जाहिरातींवर कोणतीही कृती करण्यापूर्वी

त्यांनी स्वतः चौकशी करण्याचे किंवा तजांच

पल्ला घेण्याबाबत वाचकांना सचवण्यांत येते

ह्या वर्तमानपत्रांत प्रकाशित झालेल्या किंव

अधिकत वेबसाईटवर ई पेपर मध्ये अपलो

केलेल्या कोणत्यादी जादिगतीमधील

कोणत्याही तथाकथित दिशाभूल करणाऱ्या

किंवा बदनामीकारक मजकरासाठी किंवा

त्यामधील दाव्यांसाठी भारतात किंव

परदेशातील कोणत्याही दिवाणी किंवा

फौजदारी विधी न्यायालयात किंवा

न्यायाधिकरणात नवशक्तिच्या मदक

प्रकाशक. संपादक आणि प्रोप्रायटर यांन

जबाबदार धरता येणार नाही. ते दायित्व

सर्वस्वी जाहिरातदारांचे असेल ज्यामध्ये

। नवशक्तिची कोणतीही भमिका असणार नाही.

PUBLIC NOTICE

Hosnital as a Systems Operator in L

epartment has remained abs

unauthorisedly from duty on and from 12.02.2020. All communications sent tohim by the Hospital, calling upon him to

report for duty have returned back to theHospital Undelivered'. A charge-sheetdated 18.03.2020 has been issued to him.

The Management proposes to hold aninquiry to inquire into the charges leveled

against him in the said charge-sheet. Theinquiry will be accordingly be held on 2ndJuly 2020 at 2.30 p.m. in the H R

Department of the Hospital when he is|required to remain present. Failure on his

part to remain present in the inquiry on the

above day, date and time, may result in the

Sachin R. Mayenkar (Sr. Manager-HRD)

For Saifee Hospital

inquiry being proceeded with ex-partie.

500.00

Director

(DIN: 00022941)

Kanade employed in

सोडणार नाही मरण आले. तरी बेहत्तर पाणी पुरवठा

बी–३/७०६. एकत सीएचएस लि.. चादिवली फार्म रोड. चादिवली. साकीनाका. मबः $-800008$

केनरा बैंक <<<<<<<<<<<<<<<<<<<<<<<<<<<<<<<<<<<<

(भारत सरकारचा उपक्रम)

मिड कॉर्पोरेट बांच. १०४. हॉलमार्क बिझनेस प्लाझा

गरुनानक हॉस्पिटलसमोर, बांद्रा (पूर्व), मुंबई - ४०००५१

फोन क्र. ०२२-२६४२७२९४/२९५, वेब : www.canarabank.com ईमेल आयडी: [email protected]

मागणी सूचना (कलम १३(२)

फॅक्टरी : सर्व्हे क्र. ३२, हिस्सा क्र. २सी२, सर्व्हे क्र. ३४, हिस्सा क्र. ४, स्थित आहे, गाव

.बी-३/७०६, एकता लोकमिलन सीएचएस लि., चांदिवली फार्म रोड, चांदिवली, साकीनाका, मुंबई

.बी-३/७०५, एकता लोकमिलन सीएचएस लि., चांदिवली फार्म रोड, चांदिवली, साकीनाका, मुंबई

कर्जदार/हमीदार/गहाणवटदार यांना

श्री. बिपिन जाधव

$-800008.$

$-800008$ . ्श्रीम. आनंदी प्रल्हाद जाधव

वैयक्तिक हमीदार

. श्री. नितिन जाधव

संचालक/वैयक्तिक हमीदार

संदर्भ : १८१/एमसीबी-१५५३९/बीपीटीपीएल/२०२०

आजिवली, तालुका खालापूर, जिल्हा रायगड.

व्यवस्थापकीय संचालक/वैयक्तिक हमीदार

१. मे. बालाजी प्रेसियस ट्युब्स (इंडिया) प्रा. लि. (कर्जदार)

मे. बालाजी इंजिनियरिंग

जेटर ऑफ कम्फर्ट /कॉर्पोरेट हमी

ए/७, चांदिवली इंडस्ट्रियल एरिया, कोटस् ऑफ इंडिया मागे संघर्ष नगर, चांदिवली, मुंबई

$800008$

.विषय: सिक्युरिटायझेशन अँड रिकन्स्टक्शन ऑफ फायनान्शिअल ॲसेटस ॲड एन्फोर्समेंट ऑफ सिक्युरिटी इंटरेस्ट ॲक्ट, २००२ च्या कलम १३(२) अन्वये जारी केलेली सूचना .निम्नस्वाक्षरीकारांनी सिक्युरिटायझेशन अँड रिक्न्स्ट्रकशन ऑफ फायानान्शिअल ॲसेटस् अँड एन्फोर्समें ऑफ सिक्युरिटी इंटरेस्ट ॲक्ट, २००२ (हयापुढे उल्लेख ''ॲक्ट'' असा उल्लेख) अन्वये नियुक्त केलेले कॅनरा बँक, (ई-सिंडिकेट बँक), मिड कॉर्पोरेट ब्रांच, बांद्रा (पू.), मुंबई- ४०००५१ (यानंतर ''तारण धनको'' असा उल्लेख) चे प्राधिकृत अधिकारी ह्या नात्याने खालीलप्रमाणे ही सूचना तुम्हाला जारी केली

की, मे. बालाजी प्रेसियस ट्युब्स् (इंडिया) प्रा. लि. (यानंतर ''कर्जदार'' असा उल्लेख'') यांनी येथे खालील परिशिष्ट ए मध्ये वर्णन केलेल्या पत सुविधा/सुविधा घेतल्या आणि तारण धनकोंच्या नावे तारण करार केला आहे. सदर वित्तीय सहाय्य घेते वेळी तम्ही वरील कराराच्या अटी आणि शर्तींनसार कर्ज स्क्रमेच्या परताता करण्याची स्पष्णणे दमी दिलेली आहे.

की, श्री. बिपिन जाधव, श्री. नितिन जाधव, श्रीम. आनंदी प्रल्हाद जाधव आणि मे. बालाजी इंजिनियरिंग प्रा. लि. (यानंतर "हमीदार" असा उल्लेख) यांनी त्यावरील व्याजासह रु. ११६००००००/ – (रुपये अकरा कोटी साठ लाख मात्र) च्या मर्यादेपर्यंत पतसविधेकरिता तारण धनकोंना उपार्जित किंवा देणे असलेली सर्व बंधने आणि दायित्त्व निभावणे आणि सर्व पैसे मागर्ण .केल्यावर प्रदान करण्याची हमी दिलेली आहे.

तम्ही (परिशिष्ट बी मध्ये नमद व्यक्ती) यांनी तारण मत्तेच्या सापेक्ष करार सध्दा केला आहे. ज्याचा तपशिल

तथापि. ०१.११..२०१९ पासन सदर वित्त सहाय्य/पत सविधांचे प्रचालन आणि वर्तन अनियमित झाले .तारण धनकोंकडून ठेवली जाणारी लेखा पुस्तके दाखवितात की, ०१.०६.२०२० रोजीस आमच्या तारण धनकोंच्या प्रती कर्जदारांचे दायित्व रु. १०,२३,५७,९०३.९० (रुपये दहा कोटी तेवीस लाख सत्तावण्ण हजार नऊशे तीन आणि पैसे नव्वद मात्र) सह पुढील खर्च आणि प्रभार इतके आहे, .ज्याच्या तपशीलासह एकत्रित पुढील व्याजाचा दर येथील खालील परिशिष्ट सी मध्ये नमूद करण्यात आला .आहे. पुढे कळविण्यात येते की, कर्जदार/हमीदार यांनी दिलेल्या मुदतीत तारण धनकोंची थकबाकी प्रदान करण्यात उपरोक्त कराराच्या अटी पाळण्यात कसूर केली आणि थकबाकी चुकती करण्यात टाळाटाळ

तारण धनको सदर सूचनेद्वारे तुमच्या लक्षात आणून देत आहेत की, कर्जदारांनी सदर कर्ज आणि थकीत दायित्त्वाचा परतावा करण्यास कसूर केलेली आहे आणि त्यामुळ सदर सूचनेच्या प्राप्तीच्या तारखेपासू-६० दिवसांत तारण धनकोंना येथील खालील परिशिष्ट सी मध्ये नमुद नुसार कर्जदारांचे संपूर्ण दायित्व निभावण्यासाठी सदर सूचना जारी करुन ॲक्टच्या कलम १३(२) अन्वये तुमच्याकडुन याद्वारे मागणी करित आहेत. पुढे, तुमच्या लक्षात आणुन देण्यात येते की, तुम्ही १७.८५% दराने पुढील व्याजसह एकत्रित तिच्या थकबाकीच्या वसुलीकरिता तारण धनकोंकडून हाती घेण्यात आलेल्या उपाययोजनांशी संबंधित सर्व खर्च, आकार, परिव्यय आणि अनुषंगिक परिव्यय यांचे प्रदान करण्यासाठी सुध्दा बांधील

कृपया ही सत्य परिस्थिती ध्यानात घ्यावी की, जर तुम्ही ॲक्टच्या कलम १३(२) अन्वये सदर सूचनेच्य बाबतीत वरीलप्रमाणे पृढील व्याज आणि प्रभार आणि अनुषंगिक खर्च आणि परिव्यय यास

रु. १०,२३,५७,९०३.९० (रुपये दहा कोटी तेवीस लाख सत्तावण्ण हजार नऊशे तीन आणि पैसे

नव्वद् मात्र) च्या उपरोक्त रकमेची बँकेला परतफेड करण्यात कसूर केली तर तारण धनको कलम १३ च्या पोट-कलम (४)(ए) व (बी) अंतर्गत तपशिलात दिलेल्या कोणत्याही किंवा सर्व अधिकारांचा वापर

१३(४) -पोट-कलम (२) मध्ये विनिर्दिष्ट केलेल्या कालावधीत जर संपूर्ण दायित्व चुकते करण्यात

कर्जदारांनी कसूर केली तर तारण धनको त्यांच्या कर्जाची वसुली करण्याकरिता खालीलपैकी कोणत्यार्ह

(ए) तारण मत्तेची रोकड करण्याकरिता भाडेपट्टा, अभिहस्तांतरण किंवा विक्रीद्वारे हस्तांतरण करण्याच्य

(बी) तारण मत्तांची रोकड करण्याकरिता भाडेपट्टा, अभिहस्तांकन किंवा विक्रीद्वारे हस्तांतरण करण्याच्य

.तथापि, भाडेपट्टा, अभिहस्तांकन किंवा विक्रीद्वारे हस्तांतरण करण्याचा अधिकार तेव्हाच वापरला जाईल

तथापि पुढे की, जेव्हा व्यवसायाचे संपूर्ण व्यवस्थापन किंवा व्यवसायाचा भाग वेगळा करता येण्यासारख

आहे तेव्हा तारणी धनको कर्जासाठी तारणाकरिता संबंधित असलेल्या कर्जदाराच्या अशा व्यवसायाचे

तुम्हाला ही सूचना देखील देण्यात येते की, कलम १३(१३) च्या बाबतीत तुम्ही बँकेकडून लेखी संमती

.घेतल्याखेरीज येथे खालील परिशिष्ट बी मध्ये तपशिलात दिलेल्या सदर तारण मत्तांचे विक्री, भाडेपट्टा .किंवा अन्य प्रकारे हस्तांतरण करू शकत नाहीत. पुढे हे तुमच्या ध्यानात आणून देण्यात येते की, सद

.मागणीची ही सूचना तारण धनकोंच्या अधिकारांना बाधा न आणता जारी केली आहे व तुमच्याकडून थकीत व देय असतील अशा रकमांसाठी पुढे मागणी करण्यासह बँकेला असलेल्या अन्य कोणत्यार्ह

ॲक्ट आणि/किंवा प्रचलित अन्य कोणत्याही कायद्यान्वये आम्हाला उपलब्ध असलेल्या अन्य

कपया सदर सचनेअंतर्गत केलेल्या मागणीचे पालन करावे आणि अप्रिय घटना टाळाव्यात. पालन न केल्यास, पुढील आवश्यक कारवाई केली जाईल ज्याच्या सर्व खर्च आणि परिणांमासाठी सर्वस्वी तुम्ही

तारण मत्तांचे विमोचन करण्याकरिता उपलब्ध असलेल्या वेळेच्या संबंधात ॲक्टच्या कलम १:

.जेव्हा कर्जदारांच्या व्यवसायाचा बराचसा हिस्सा कर्जासाठी तारण म्हणून धारण केला असेल.

व्यवस्थापन हाती घेईल. आणि सदर ॲक्टच्या अन्य प्रयोग्य तरतुर्दीअन्वयेचे अधिकार.

करेल ज्यांचा सारांश तुम्हाला प्रकरणाचे गांभीर्य कळावे म्हणून येथे खाली नमूद केला आहे:

एका किंवा जास्त उपाययोजना करू शकतात म्हणजेच

अधिकारासह कर्जदारांच्या तारण मत्तांचा कब्जा घेणे.

अधिकारासह कर्जदारांच्या व्यवसायाचे व्यवस्थापन हाती घेणे.

.पोट-कलम (८) च्या तरतदींकडे तमचे लक्ष वेधण्यात येत आहे.

बाबतीत तुम्हाला अशा रोकड/उत्पन्नाचे योग्य हिशोब द्यावे लागतील.

अधिकार किंवा उपाययोजनेला सोडून दिले असे समजू नये.

कोणत्याही अधिकाराला बाधा न आणता हे आहे.

जबाबदार असाल. तुमचे हितचिंतक,

.प्राधिकृत अधिकारी

केली. वरील वित्तीय सहाय्य/पतसुविधेचे प्रचालन आणि वर्तन थांबलेले आहे आणि मुद्दल कर्ज आणि त्यावरील हप्ते आणि व्याजाचा परतावा करण्यास कसूर केल्यामुळे तारण धनकोंना रिझर्व्ह बँक ऑफ .इंडियाने जारी केलेल्या मत्ता वर्गीकरणाशी संबंधित निर्देश /मार्गदर्शक तत्त्वांनुसार २९.०१.२०२० (तारीख

नमुद) रोजीस नॉन-परफॉर्मिंग ॲसेट (एनपीए) म्हणुन कर्ज वर्गीकृत करणे भाग पडले आहे.

.येथील खालील परिशिष्ट बी ३ मध्ये नमद केलेला आहे.

(c) Items to be reclassified to Profit or Loss )Income Tax relating to item to be reclassified to Profit or Loss Total other comprehensive income /(Loss) Other Comprehensive Income/(loss) for the period (Net of Tax Expenses) Total Comprehensive Income/(loss) (8-9) Paid-up equity share Capital (Face Value of Rs 10/- each) 500.00 500.00 500.00 500.00 Reserves excluding Revaluation Reserves as per Balance $(6,064.38)$ Sheet of Previous Accounting Year Earning Per share before and after Extraordinary Items (of Rs. 10/- each) (not annualised) $-0.82$ a) Basic (Rs.) $-0.44$ $-30.28$ $-2.30$ $-0.82$ $-0.44$ $-30.28$ $-2.30$ b) Diluted (Rs)

Notes:

Place: New Delhi

Date: 26th June, 2020

(a) Items not to be realised to Profit or Loss

b) Income tax relating to item not to be reclassified to Profit or Loss

l The above Standalone Financial Results have been approved by the Audit Committee at meeting held on 26th June, 2020 thereafter approved by th Board of Directors and taken on record, at the meeting held on 26th June, 2020.

The Statutory Auditors of the Company have carried out a Review of the Standalone Financial Results for the Quarter and the Year ended 31st March, 2020.

3 The Company has only area of Operation and Business Activity of Company is non Operational and hence segment Reporting is not required. The Statement has been prepared in accordance with the Companies (Indian Accounting Standard) Rules, 2015 (Ind AS) prescribed under section 133 of the Companies Act, 2013 and other recognised accounting pratices and policies to the extent applicable

As on date, the Company is no longer a NBFC, consequent upon cancellation of Certificate of Registration by RBI, which is already notified to Bomba Stock Exchange (BSE).

$\delta$ Other than Fixed Deposit in Nationalised Bank, the Company does not have any other investment.

The Figures for the corresponding period have been regrouped or reclassified, wherever necessary.

STANDALONE STATEMENT OF ASSETS AND LIABILITIES (All amounts in Rs. Unless stated otherwise)
Particulars As at 31st March, 2020 As at 31st March, 2019
ASSETS
1 Non - Current Assets
(a) Property, Plant and Equipment 28,17,159 29,04,190
(b) Investment property
(c) Financial Assets
(i) Investments 2,00,000 2,00,000
(ii) Long-term loans and advances 68,75,292 68,75,299
(d) Deferred Tax Assets (Net) 3,36,385 3,36,385
1,02,28,836 1,03,15,874
2 Current Assets
(a) Inventories
(b) Financial Assets
(i) Trade Receivables
(ii) Cash and Cash Equivalents 29,048 23,256
(iii) Other bank Balances 2,78,659 3,07,112
(iv) Other Financial Assets
(c) Current Tax Assets (Net)
(d) Other Current Assets 2,32,339 2,05,743
TOTAL CURRENT ASSETS 5,40,046 5,36,111
TOTAL ASSETS 1,07,68,882 1,08,51,985
EQUITY AND LIABILITIES
1 Equity
(a) Equity Share Capital 5,00,00,000 5,00,00,000
(b) Other Equity (60, 64, 38, 543) (59, 49, 33, 856)
Total Equity (55, 64, 38, 543) (54, 49, 33, 856)
2 Liabilities
Non-Current Liabilities
(a) Financial Liabilities
(i) Borrowings
(ii) Other financial Liabilities 56,28,37,000 55,22,07,000
(b) Other Non Current Liabilities
(c) Provisions
Total Non - Current Liabilities 56,28,37,000 55,22,07,000
Current Liabilities
(a) Financial Liabilities
(i) Borrowings
(ii) Trade Payable
(A) Total outstanding dues of micro enterprises
and small enterprises
(B) Total outstanding dues of creditors other
than micro enterprisies and small enterprises
(iii) Other Financial Liabilities
(b) Other Current Liabilities 24.23.623 16.18.632
(c) Provisions 19,46,802 19,60,209
Total Current Liabilities 43,70,425 35,78,841
TOTAL EQUITY AND LIABILITIES 1,07,68,882 1,08,51,985