Niraj Cement Structurals Limited - infrastructure and utilities in Mumbai, Maharashtra, India. FY 2026 financials & compliance.
CIN L26940MH1998PLC114307 Incorporated 01 April 1998 ROC Mumbai HQ Mumbai, Maharashtra, India
Active Listed - NSE: NIRAJ · BSE: 532986 Public Limited Company infrastructure and utilities
Data last updated
Market Cap
₹166 Cr
NIRAJ · NSE
Share Price
₹27.74
+0.29% today
Revenue
₹542 Cr
FY 2025-26 · +6.4% YoY
EBITDA
₹19.38 Cr
Margin 3.6%
Net Profit
₹21.13 Cr
FY 2025-26 · +36.0% YoY
P/E (TTM)
7.0x
P/B 0.6x

About Niraj Cement Structurals Limited

Data last updated:

Niraj Cement Structurals Limited is a public limited company based in Mumbai, Maharashtra, India. It specialises in general construction services, a part of the broader infrastructure and utilities sector. Incorporated on 01 April 1998, the company has been in operation for over 28 years.

Registered with ROC Mumbai under CIN L26940MH1998PLC114307. Listed on BSE: 532986 and NSE: NIRAJ.

Capital: an authorised share capital of ₹70 Cr and a paid-up capital of ₹59.69 Cr. Formerly known as Niraj Cement Structurals Private Limited. It is led by directors including Dimple Deepak Geruja and Vishram Pandurang Rudre.

Last AGM: 29 September 2025. Financial statements filed for year ended 31 March 2025. Office: Mumbai, Maharashtra.

As per the latest consolidated financials for FY 2025-26, the company reported a revenue of ₹542.03 Cr, a growth of 6.88% compared to the previous year. The net worth stands at ₹265.92 Cr (up 9.33% YoY). Total assets are valued at ₹342.37 Cr (up 39.29% YoY).

The company has a workforce of approximately 3 employees as per the latest available data. Its group structure includes 1 subsidiary.

The company is associated with 1 brand - Niraj Cement. As per MCA filings, the company has open charges of ₹93.83 Cr and satisfied charges of ₹590.72 Cr on record.

The current compliance status is marked as compliant by the Registrar of Companies. For more details, the company can be reached via its website niraj.co.in.

Company Details of Niraj Cement Structurals Limited
CIN L26940MH1998PLC114307
Registration Number 114307
Incorporation Date 01 April 1998
ROC Mumbai
Listing Status Listed (BSE: 532986, NSE: NIRAJ)
Company Status Active
Date of Last AGM 29 September 2025
Date of Balance Sheet 31 March 2025
Compliance Status Active Compliant
Contact Details
  • Email
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  • Telephone
    Locked
  • Social Media
  • Registered Address
    Unit No. 820 To 825 Commercial Building Wadhwa Dukes Horizon, Pepsi Company Off. Sion Trombay Road Nr. R K Studio D G Patil Road, Mumbai, Maharashtra, India – 400088
  • Industry
    Infrastructure and Utilities, General Construction Services
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Financials, compliance, directors, charges, ownership and filings for Niraj Cement Structurals Limited in one report.

10-year financials Directors & ownership Charges & compliance

CIN History of Niraj Cement Structurals

Niraj Cement Structurals has one previous CIN (Corporate Identification Number): U26940MH1998PLC114307. The current CIN is L26940MH1998PLC114307, which is the unique identifier assigned by the Registrar of Companies.

CINStatus
L26940MH1998PLC114307Current
U26940MH1998PLC114307Previous

Associated Brands with Niraj Cement Structurals

Niraj Cement Structurals operates one associated brand: Niraj cement. Each brand links to its own profile.

BrandDescriptionWebsite
Provider of roads infrastructure development servicesniraj.co.in

Competitors & Alternatives of Niraj Cement Structurals

Brands and companies operating in the same space as Niraj Cement Structurals Limited include Construction Partners, Transurban, G R Infraprojects and 6 more.

CompetitorDescriptionLocationFounded
Construction Partners Construction Partners Provider of construction servicesDothan, United States, United States2001
Transurban Transurban Road infrastructure development and management services are provided internationally.Melbourne, Australia, Australia1995
G R Infraprojects G R Infraprojects EPC provider for infrastructure projects and manufacturer of related materialsUdaipur, India, India1995
IL&FS Transportation IL&FS Transportation Developer and operator of transportation infrastructure projects, including highways and tunnelsMumbai, India, India2000
Hazoor Hazoor Road infrastructure development is managed by Hazoor.Mumbai, India, India1992
Colas Colas Road infrastructure development services are provided worldwide.Paris, France, France1929
SMEC SMEC Provider of road infrastructure development servicesBrisbane, Australia, Australia1970
American Track American Track Railroad infrastructure development services are provided by American Track.Fort Worth, United States, United States2021
FCC Construccion FCC Construccion Developer of highways infrastructureMadrid, Spain, Spain1900

Business Activity of Niraj Cement Structurals

The main business activity of Niraj Cement Structurals is construction. In detail, this covers roads, railways, utility projects.

Main Activity Group CodeDescription of Main ActivityBusiness Activity CodeDescription of Business ActivityTurnover Percentage
FConstructionF2Roads, railways, Utility projectsLocked
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Business activity turnover details for Niraj Cement Structurals Limited

Turnover share and past changes in activity are in the company report.

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Auditor Details of Niraj Cement Structurals

Niraj Cement Structurals Limited is audited by Chaturvedi Sohan & Co for the financial year 2023.

NameStatusAppointment DateCessation Date
Chaturvedi Sohan & CoLockedLockedLocked
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Complete auditor history for Niraj Cement Structurals Limited

Appointment and cessation dates and past auditor changes are in the company report.

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Board of Directors of Niraj Cement Structurals Limited

Niraj Cement Structurals has 6 current directors and 18 former directors. Current directors are listed first, with their designation and appointment date.

Current Directors
NameDesignationAppointment DateTenureStatus
Dimple Deepak GerujaDirector19 Apr 20179 Years 5 MonthsCurrent
Vishram Pandurang RudreManaging Director13 Feb 20215 Years 7 MonthsCurrent
Ratan Umesh SanilDirector14 Dec 20178 Years 9 MonthsCurrent
Sudhakar Balu TandaleWhole-Time Director13 Feb 20215 Years 7 MonthsCurrent
Partha Sarathi RautDirector02 Jul 20215 Years 3 MonthsCurrent
Kavita Suresh HindiaDirector25 Aug 20233 Years 1 MonthsCurrent

Financials of Niraj Cement Structurals Limited FY 2025-26 filings available

Niraj Cement Structurals Limited reported revenue of ₹542.03 Cr (up 6.88% YoY) for FY 2025-26.

Financial Highlights

FY 2025-26 · Consolidated
Revenue
₹542 Cr
+6.9% YoY
EBITDA
₹19.38 Cr
+20.8% YoY
Profit After Tax
₹21.13 Cr
+36.0% YoY
Net Worth
₹266 Cr
+9.3% YoY
Total Assets
₹342 Cr
+39.3% YoY
Total Debt
₹76.02 Cr
+3324.3% YoY

Revenue vs Net Profit ₹ Cr

Margin trends

Financial summary ₹ Cr

MetricsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21
Income statement
Revenue542507471606356175
Revenue growth+6.4%+5.9%-22.9%+69.1%+103.5%+9997.0%
EBITDA19.3816.047.204.630.66(0.06)
EBITDA margin+3.6%+3.2%+1.5%+0.8%+0.2%-0.0%
Profit before tax28.5320.0713.026.833.221.97
Net profit21.1315.5415.757.175.541.89
Net profit margin+3.9%+3.1%+3.4%+1.2%+1.6%+1.1%
EPS (₹)3.542.532.421.000.560.31
Balance sheet
Total assets342246154203193207
Net worth266243152176179177
Total debt76.022.220.7225.9313.4630.32
Cash & bank31.8841.3322.9422.8137.195.66
Net working capital27117095.38151141147
Cash flow
Cash from operations(98.00)(72.87)26.91(29.85)38.52(5.17)
Cash from investing17.07(18.86)(4.86)14.55(11.04)(9.32)
Cash from financing70.79105(25.71)4.82(16.99)9.34
ParticularsJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024
Revenue10513614017294.54167120138
Revenue growth (YoY)+10.6%-18.7%+16.8%+24.4%+14.4%+24.7%-5.4%+24.3%
Other income6.996.383.082.282.883.171.380.99
EBITDA1.174.406.339.63(0.98)8.222.094.75
EBITDA margin+1.1%+3.2%+4.5%+5.6%-1.0%+4.9%+1.7%+3.4%
Depreciation0.550.670.580.630.570.610.530.56
Interest2.642.010.910.060.040.020.020.02
Profit before tax4.978.107.9211.221.2910.762.925.16
Tax1.402.452.252.410.302.300.751.24
Net profit3.575.655.678.810.998.462.173.92
EPS (₹)0.600.950.951.480.171.350.500.98
MetricsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Income statement
Revenue540507470605356175124
Revenue growth+6.1%+6.1%-23.1%+69.0%+103.5%+45.8%-5.8%
EBITDA19.6215.967.764.230.74(0.06)3.74
EBITDA margin+3.6%+3.2%+1.7%+0.7%+0.2%-0.0%+3.0%
Profit before tax29.0020.2113.586.433.301.971.95
Net profit21.6015.7616.406.825.621.892.80
Net profit margin+4.0%+3.1%+3.5%+1.1%+1.6%+1.1%+2.3%
EPS (₹)3.622.552.560.930.580.310.73
Balance sheet
Total assets335245153202193207195
Net worth267244153176179177175
Total debt68.050.580.1525.9313.4630.3219.35
Cash & bank30.1230.3022.9222.7437.185.6611.26
Net working capital27016995.22151141147148
Cash flow
Cash from operations(85.66)(82.90)27.95(30.45)38.59(5.17)(18.01)
Cash from investing20.33(18.77)(5.51)15.08(11.12)(9.32)8.73
Cash from financing64.45104(26.05)4.82(16.99)9.3418.47
ParticularsJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024
Revenue10413514017294.44167120138
Revenue growth (YoY)+10.4%-19.2%+16.8%+24.3%+14.6%+24.4%-5.1%+24.4%
Other income7.076.543.102.292.883.291.380.99
Total expenses10313113316295.32158118133
EBITDA1.523.766.759.99(0.88)8.252.144.88
EBITDA margin+1.5%+2.8%+4.8%+5.8%-0.9%+5.0%+1.8%+3.5%
Depreciation0.490.630.580.630.570.610.530.56
Interest2.642.010.910.060.040.020.020.02
Profit before tax5.467.668.3611.591.3910.912.975.29
Tax1.402.432.252.410.302.760.751.24

Financial Statements

Figures in ₹ Cr; negatives in brackets. Updated 03 Oct 2026
ParticularsJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024
Revenue10513614017294.54167120138
Revenue growth (YoY)+10.6%-18.7%+16.8%+24.4%+14.4%+24.7%-5.4%+24.3%
Other income6.996.383.082.282.883.171.380.99
EBITDA1.174.406.339.63(0.98)8.222.094.75
EBITDA margin+1.1%+3.2%+4.5%+5.6%-1.0%+4.9%+1.7%+3.4%
Depreciation0.550.670.580.630.570.610.530.56
Interest2.642.010.910.060.040.020.020.02
Profit before tax4.978.107.9211.221.2910.762.925.16
Tax1.402.452.252.410.302.300.751.24
Net profit3.575.655.678.810.998.462.173.92
EPS (₹)0.600.950.951.480.171.350.500.98
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21
Revenue542507471606356175
Revenue growth+6.4%+5.9%-22.9%+69.1%+103.5%+9997.0%
Other income14.616.337.754.054.123.68
Total expenses523491464601356175
Employee cost0.001.531.711.370.870.96
EBITDA19.3816.047.204.630.66(0.06)
EBITDA margin+3.6%+3.2%+1.5%+0.8%+0.2%-0.0%
Depreciation2.452.221.661.371.421.43
Interest3.010.080.270.480.140.22
Profit before tax28.5320.0713.026.833.221.97
Tax7.405.003.302.490.770.65
Net profit21.1315.5415.757.175.541.89
Net profit margin+3.9%+3.1%+3.4%+1.2%+1.6%+1.1%
EPS (₹)3.542.532.421.000.560.31
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21
Equity & liabilities
Share capital59.6959.6940.1643.1143.1143.11
Reserves & surplus206184112133136134
Shareholders' funds (net worth)266243152176179177
Minority interest0.000.000.000.06(0.01)0.00
Secured loans5.582.220.7225.9313.4626.06
Unsecured loans70.440.000.000.000.004.26
Total debt76.022.220.7225.9313.4630.32
Total liabilities342246154203193207
Assets
Gross block45.0639.0435.4731.5731.5631.52
Net block14.2711.579.357.108.479.85
Capital work in progress0.000.000.000.000.000.00
Investments15.0422.8715.2014.4614.0013.84
Inventories5.646.866.342.665.576.53
Sundry debtors72.6068.9857.1710277.5466.11
Cash & bank balances31.8841.3322.9422.8137.195.66
Loans & advances286193112135140138
Total current assets396310199263260217
Total current liabilities12513910311212069.47
Net working capital27117095.38151141147
Total assets342246154203193207
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21
Opening cash14.631.395.0515.535.0410.17
Net cash from operating activities(98.00)(72.87)26.91(29.85)38.52(5.17)
Net cash from investing activities17.07(18.86)(4.86)14.55(11.04)(9.32)
Net cash from financing activities70.79105(25.71)4.82(16.99)9.34
Net change in cash(10.14)13.24(3.66)(10.48)10.49(5.15)
Closing cash31.8841.3322.9422.8137.195.66
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21
Growth
Sales growth+6.9%+7.7%-22.3%+70.1%+103.9%+9997.0%
EBITDA growth+20.8%+122.8%+55.5%+601.5%+9998.0%+9997.0%
PBT growth+42.2%+54.2%+90.6%+112.1%+63.5%+9997.0%
Net income growth+36.0%-1.3%+119.7%+29.4%+193.1%+9997.0%
Revenue CAGR (3Y)-3.7%+12.5%+39.2%---
EBITDA CAGR (3Y)+61.2%+189.7%----
Profitability & leverage
Net income margin+3.9%+3.0%+2.1%+0.7%+0.7%+0.8%
Return on capital employed-+10.1%+12.0%+6.0%+3.8%+1.5%
Return on net worth-+7.6%+9.6%+4.0%+3.1%+1.1%
Debt / equity-0.010.080.110.120.17
Long-term debt / equity-0.010.000.020.040.06
Interest cover17.780.584.8714.72-18.42-14.77
Efficiency & per share
Fixed asset turnover-13.6114.0519.2011.305.54
Inventory turnover-76.84104.63147.3058.9126.76
Debtors turnover-8.045.916.754.962.64
EPS (₹)3.542.532.421.000.560.31
Dividend per share (₹)0.000.000.000.000.000.00
Book value per share (₹)0.0040.7537.9740.9341.6141.03
ParticularsJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024
Revenue10413514017294.44167120138
Revenue growth (YoY)+10.4%-19.2%+16.8%+24.3%+14.6%+24.4%-5.1%+24.4%
Other income7.076.543.102.292.883.291.380.99
Total expenses10313113316295.32158118133
EBITDA1.523.766.759.99(0.88)8.252.144.88
EBITDA margin+1.5%+2.8%+4.8%+5.8%-0.9%+5.0%+1.8%+3.5%
Depreciation0.490.630.580.630.570.610.530.56
Interest2.642.010.910.060.040.020.020.02
Profit before tax5.467.668.3611.591.3910.912.975.29
Tax1.402.432.252.410.302.760.751.24
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Revenue540507470605356175124
Revenue growth+6.1%+6.1%-23.1%+69.0%+103.5%+45.8%-5.8%
Other income14.806.557.754.054.123.680.39
Total expenses521491462601356175120
Employee cost0.001.481.661.310.860.961.02
EBITDA19.6215.967.764.230.74(0.06)3.74
EBITDA margin+3.6%+3.2%+1.7%+0.7%+0.2%-0.0%+3.0%
Depreciation2.412.221.661.371.421.431.97
Interest3.010.080.270.480.140.220.21
Profit before tax29.0020.2113.586.433.301.971.95
Tax7.405.003.302.390.790.650.36
Net profit21.6015.7616.406.825.621.892.80
Net profit margin+4.0%+3.1%+3.5%+1.1%+1.6%+1.1%+2.3%
EPS (₹)3.622.552.560.930.580.310.73
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Equity & liabilities
Share capital59.6959.6940.1643.1143.1143.1121.61
Reserves & surplus207184113133136134137
Shareholders' funds (net worth)267244153176179177175
Secured loans0.380.000.1525.9313.4626.0616.59
Unsecured loans67.670.580.000.000.004.262.76
Total debt68.050.580.1525.9313.4630.3219.35
Total liabilities335245153202193207195
Assets
Gross block42.4939.0435.4731.5731.5631.5231.47
Net block11.7411.579.357.108.479.8511.23
Capital work in progress0.000.000.000.000.000.000.00
Investments14.4122.8915.1614.4714.0113.840.04
Inventories5.346.866.342.665.576.537.57
Sundry debtors70.7668.4556.5510277.5366.1163.78
Cash & bank balances30.1230.3022.9222.7437.185.6611.26
Loans & advances28820311213514013899.77
Total current assets394308198263260217182
Total current liabilities12413910311212069.4734.88
Net working capital27016995.22151141147148
Total assets335245153202193207195
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Opening cash3.601.374.9715.525.0410.170.97
Net cash from operating activities(85.66)(82.90)27.95(30.45)38.59(5.17)(18.01)
Net cash from investing activities20.33(18.77)(5.51)15.08(11.12)(9.32)8.73
Net cash from financing activities64.45104(26.05)4.82(16.99)9.3418.47
Net change in cash(0.87)2.24(3.61)(10.55)10.48(5.15)9.20
Closing cash30.1230.3022.9222.7437.185.6611.26
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Growth
Sales growth+6.7%+7.8%-22.3%+69.8%+103.9%+41.4%+13.1%
EBITDA growth+22.9%+105.7%+83.5%+471.6%+9998.0%-+9998.0%
PBT growth+43.5%+48.8%+111.2%+94.9%+67.5%+1.0%+68.1%
Net income growth+37.1%-3.9%+140.5%+21.4%+197.4%-32.5%+191.7%
Revenue CAGR (3Y)-3.7%+12.4%+39.1%+69.8%+48.3%+17.5%+4.6%
EBITDA CAGR (3Y)+66.8%+178.4%-+4.2%--90.3%+12.6%
Profitability & leverage
Net income margin+4.0%+3.0%+2.2%+0.7%+0.7%+0.8%+1.3%
Return on capital employed-+10.2%+12.3%+5.8%+3.8%+1.5%+1.9%
Return on net worth-+7.7%+10.0%+3.8%+3.1%+1.1%+1.7%
Debt / equity-0.000.080.110.120.140.12
Long-term debt / equity-0.000.000.020.040.070.09
Interest cover17.490.584.4316.78-20.59-14.7711.86
Efficiency & per share
Fixed asset turnover-13.6014.0319.1811.305.553.93
Inventory turnover-76.78104.49147.1058.9124.7914.01
Debtors turnover-8.115.936.744.962.691.64
EPS (₹)3.622.552.560.930.580.310.73
Dividend per share (₹)0.000.000.000.000.000.000.00
Book value per share (₹)0.0040.8238.0440.8941.6241.0373.20
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Shareholding Pattern of Niraj Cement Structurals Limited

Shareholding for the quarter ended Sep 2026: promoters hold 24.90%, foreign institutional investors hold 0.00%, domestic institutional investors hold 0.10% and retail and other public shareholders hold 75.00%.

Promoters: 24.90%DII (Domestic Institutional): 0.10%Retail & Others: 75.00%
Sep 2026
QUARTER
24.90% Promoters
0.10% DII (Domestic Institutional)
75.00% Retail & Others
Promoter holding - history
Now 24.90% · Sep 2026High 24.90% · Dec 2025Low 24.90% · Dec 2025
23%23.8%24.5%25.3%26%Dec 2025Mar 2026Jun 2026Sep 2026Dec 2025: 24.90%Mar 2026: 24.90%Jun 2026: 24.90%Sep 2026: 24.90%24.90%24.90%
Shareholding trend - last 6 quarters
Sep 2026Jun 2026Mar 2026Dec 2025
Promoters24.90%24.90%24.90%24.90%
Public75.10%75.10%75.10%75.10%

Group Structure of Niraj Cement Structurals Limited

Niraj Cement Structurals has 1 subsidiary company. This group structure data is as of FY 2023. The table lists each entity with its relationship and holding.

1
Subsidiary companies
Key Subsidiaries
Company NameCINShares Held
Niraj Consulting Group LimitedU74999MH2021PLC367045-

Showing major subsidiaries. Total: 1.

Charges & Borrowings of Niraj Cement Structurals

Open charges
₹93.83 Cr
Satisfied charges
₹590.72 Cr
Breakdown by lending institutions
Others₹89.64 Cr
Larsen & Toubro Ltd₹4.19 Cr
Latest charge details
DateLenderAmountStatus
05 Jun 2026Others₹2.4 CrOpen
20 May 2026Others₹5.63 CrOpen
19 May 2026Others₹1.14 CrOpen
30 Apr 2026Others₹7.77 CrOpen
28 Apr 2026Others₹4.9 CrOpen

Total charge records: 51 View all charges

Employees and EPFO Compliance at Niraj Cement Structurals

Niraj Cement Structurals Limited has a workforce of 3 employees as of Apr 06, 2024.

Employee count
3
Active EPFO establishments
1
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Employee and EPFO history for Niraj Cement Structurals Limited

Monthly headcount, contribution history and filing status are in the company report.

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GST Compliance of Niraj Cement Structurals

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GST registrations and filing compliance for Niraj Cement Structurals Limited

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Credit Ratings, Litigation & Regulatory Alerts for Niraj Cement Structurals

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Credit ratings, litigation, and regulatory alerts for Niraj Cement Structurals Limited

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MSME Payment Delays by Niraj Cement Structurals

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MSME payment history for Niraj Cement Structurals Limited

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Subsidiaries & Group Companies of Niraj Cement Structurals

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Corporate group structure for Niraj Cement Structurals Limited

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MCA Filings & Documents of Niraj Cement Structurals

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MCA filings and documents for Niraj Cement Structurals Limited

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Recent Activity on Niraj Cement Structurals

Charges
05 Jun 2026
A charge with Others amounted to Rs. 2.40 Cr with Charge ID 101308624 was registered on 05 Jun 2026.
Charges
20 May 2026
A charge with Others amounted to Rs. 5.63 Cr with Charge ID 101299171 was registered on 20 May 2026.
Charges
19 May 2026
A charge with Others amounted to Rs. 1.14 Cr with Charge ID 101299163 was registered on 19 May 2026.
Charges
30 Apr 2026
A charge with Others amounted to Rs. 7.77 Cr with Charge ID 101293492 was registered on 30 Apr 2026.
Charges
28 Apr 2026
A charge with Others amounted to Rs. 4.90 Cr with Charge ID 101293491 was registered on 28 Apr 2026.
Charges
24 Mar 2026
A charge with Others amounted to Rs. 5.00 Cr with Charge ID 101269180 was registered on 24 Mar 2026.

Frequently Asked Questions about Niraj Cement Structurals Limited

Niraj Cement Structurals is an active public limited company in the infrastructure and utilities sector based in Mumbai, Maharashtra, India. It was incorporated on 01 April 1998 (28+ years old) and is registered under CIN L26940MH1998PLC114307. Listed on BSE: 532986 and NSE: NIRAJ. The company has 3 employees.

Niraj Cement Structurals reported revenue of ₹542.03 Cr for FY 2025-26 (up 6.88% YoY) based on consolidated financials.

The current directors of Niraj Cement Structurals are:

The primary industry of Niraj Cement Structurals is infrastructure and utilities. The company specifically operates in general construction services. The company is currently active in this sector.

Yes. Niraj Cement Structurals is listed on both BSE (code: 532986) and NSE (symbol: NIRAJ).

Niraj Cement Structurals can be reached at the registered office: Unit No. 820 To 825 Commercial Building Wadhwa Dukes Horizon, Pepsi Company Off. Sion Trombay Road Nr. R K Studio D G Patil Road, Mumbai, Maharashtra, India – 400088, or through the website niraj.co.in.

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