Conffi Sanitaryware Private Limited is a Private Non-govt company company incorporated in 2014 and based in Gujarat, India. It was founded by Chamanbhai. Conffi Sanitaryware Private Limited operates in Ceramic baths, manufacturing (NIC 26914) with authorized capital of ₹7.50 Cr and paid-up capital of ₹7.50 Cr. For 2021-22, the company reported revenue of ₹87.19 Cr and profit after tax of ₹5.37 Cr. The board has 1 active director. RegisterKaro's provisional Compliance Health Score for the company is 67/100 (grade C), based on 4 of 9 signals — full scoring is pending extraction of the company's MCA filing history.
Map position is derived from the address on the MCA register and may point to the locality rather than the exact door number. Verify against the company's own filings before relying on it for service of notice.
The filing report for Conffi Sanitaryware Private Limited covers its AOC-4 and MGT-7 record with the Registrar of Companies — form types, filing dates, due dates and delay in days.
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Get financial statements & other filing documents
Full MCA filing history for Conffi Sanitaryware Private Limited.
₹499₹169(excl. taxes)
What you'll get
Incorporation Documents
Change in Directors & Designated Partner
Board Resolutions
Financial Statements & Annual Filings
Charge Documents (Summary)
Charges
Registered charges & encumbrancesLocked
The filing report for Conffi Sanitaryware Private Limited covers its CHG-1 / CHG-4 record with the Registrar of Companies — charge IDs, lenders, secured amounts and open or satisfied status.
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See registered charges & lenders
Charge IDs, lenders & amounts for Conffi Sanitaryware Private Limited.
₹499₹169(excl. taxes)
What you'll get
Incorporation Documents
Change in Directors & Designated Partner
Board Resolutions
Financial Statements & Annual Filings
Charge Documents (Summary)
Financial Performance
MCA7 reporting years
Revenue (bars) vs PAT (line) by FY
Revenue PAT
FY
Revenue
PAT
Net Worth
Total Assets
Employees
2021-22
₹65.15 Cr
₹1.65 Cr
₹79.82 Cr
₹76.92 Cr
—
2020-21
₹39.28 Cr
₹2.79 Cr
₹33.01 Cr
₹59.20 Cr
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2019-20
₹52.71 Cr
₹6.41 Cr
₹91.81 Cr
₹78.34 Cr
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2018-19
₹49.64 Cr
₹4.32 Cr
₹84.84 Cr
₹42.80 Cr
—
2017-18
₹57.60 Cr
₹5.26 Cr
₹94.88 Cr
₹72.78 Cr
—
2016-17
₹36.46 Cr
₹4.43 Cr
₹1.69 Cr
₹64.94 Cr
—
2015-16
₹88.79 Cr
₹4.27 Cr
₹2.54 Cr
₹79.69 Cr
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Detailed Financials
4 FYsIncome statement + balance sheet
Line item
2021-22
2020-21
2019-20
2018-19
Income statement
Revenue from operations
₹65.15 Cr
₹39.28 Cr
₹52.71 Cr
₹49.64 Cr
Other income
₹85.01 L
₹53.32 L
₹31.33 L
₹55.04 L
Total income
₹66.00 Cr
₹39.81 Cr
₹53.02 Cr
₹50.19 Cr
Total expenses
₹25.33 Cr
₹54.63 Cr
₹13.07 Cr
₹79.14 Cr
Profit before tax
₹6.04 Cr
₹1.33 Cr
₹7.36 Cr
₹1.32 Cr
Profit / (Loss) after tax
₹1.65 Cr
₹2.79 Cr
₹6.41 Cr
₹4.32 Cr
Balance sheet
Equity / Net worth
₹79.82 Cr
₹33.01 Cr
₹91.81 Cr
₹84.84 Cr
Borrowings
₹4.36 Cr
₹3.50 Cr
₹11.10 Cr
₹97.84 Cr
Current liabilities
₹32.75 Cr
₹21.73 Cr
₹67.98 Cr
₹34.21 Cr
Total liabilities
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Current assets
₹68.14 Cr
₹25.08 Cr
₹33.54 Cr
₹71.79 Cr
Cash & equivalents
₹64.80 L
₹96.73 L
₹39.67 L
₹13.88 L
Total assets
₹76.92 Cr
₹59.20 Cr
₹78.34 Cr
₹42.80 Cr
Employees
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Cash-flow statement renders when the AOC-4 XBRL Cash Flow context is parsed during the extract phase.
Compounded Annual Growth Rate
Derived from multi-FY filings
Metric
Latest value
1Y CAGR
3Y CAGR
5Y CAGR
Revenue2021-22
₹84.81 Cr
+13.0%
+0.0%
+30.0%
Profit after Tax2021-22
₹1.82 Cr
+8.0%
+9.0%
+19.0%
Net Worth2021-22
₹76.42 Cr
+53.0%
+20.0%
+60.0%
Financial Ratios
Profitability · leverage · efficiency
FY
Revenue
PAT
PAT margin
Rev growth
ROE
ROA
D/E
Rev/emp
2015-16
₹23.23 Cr
₹4.28 Cr
+3.21%
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+12.04%
+3.14%
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2016-17
₹18.65 Cr
₹6.77 Cr
+2.55%
+56.25%
+12.98%
+3.28%
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2017-18
₹22.18 Cr
₹2.27 Cr
+3.48%
+32.29%
+19.00%
+4.80%
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2018-19
₹14.15 Cr
₹1.73 Cr
+5.31%
+32.67%
+27.78%
+7.69%
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2019-20
₹56.34 Cr
₹6.79 Cr
+4.45%
-18.19%
+15.99%
+4.86%
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2020-21
₹57.99 Cr
₹9.46 Cr
+6.88%
+4.47%
+20.54%
+8.99%
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2021-22
₹80.71 Cr
₹7.47 Cr
+6.16%
+19.05%
+17.97%
+8.73%
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Cap Table & Shareholding
Promoter · institutional · publicLocked
The filing report for Conffi Sanitaryware Private Limited covers its MGT-7 record with the Registrar of Companies — promoter, institutional and public holdings with share counts.
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See the full shareholding pattern
Promoter, institutional & public holding for Conffi Sanitaryware Private Limited.
Long-term + short-term ratings, with rationale on rating actions.
Trademarks
Planned
IP India Trademark Registry
Applied, registered, opposed. Class numbers + status.
Patents
Planned
IP India Patent Registry
Applications and grants. Inventor names + filing dates.
Legal Cases
Planned
eCourts + Indian Kanoon
Ongoing + past litigations the entity is party to.
Each source is wired as a separate ingestion adapter behind the scraper. Live status flips per CIN as records land.
FAQs about Conffi Sanitaryware Private Limited
When was Conffi Sanitaryware Private Limited incorporated?
Conffi Sanitaryware Private Limited was incorporated in 2014 (around 03 Jan 2014). Its CIN is U26914GJ2014PTC078139 and it is registered with RoC-Ahmedabad.
Where is Conffi Sanitaryware Private Limited located?
Conffi Sanitaryware Private Limited is headquartered in Gujarat, at: SURVEY NO. 177/1p1 & 177/1p2 VILLAGE: RATAVIRDA WANKANER Rajkot GJ 363621 IN .
What sector does Conffi Sanitaryware Private Limited operate in?
Conffi Sanitaryware Private Limited operates in the Ceramic baths, manufacturing sector (NIC code 26914), classified as Non-govt company.
Who are the directors of Conffi Sanitaryware Private Limited?
Conffi Sanitaryware Private Limited has 1 active director: Chamanbhai (Director).
What is the paid-up capital of Conffi Sanitaryware Private Limited?
Conffi Sanitaryware Private Limited has authorized capital of ₹7.50 Cr and paid-up capital of ₹7.50 Cr.
Does Conffi Sanitaryware Private Limited have any open charges?
Conffi Sanitaryware Private Limited has no open MCA-registered charges on record.
What is Conffi Sanitaryware Private Limited's Compliance Health Score?
RegisterKaro's Compliance Health Score for Conffi Sanitaryware Private Limited is 67/100 (grade C). It is a weighted assessment of the company's MCA record across charges, directors, capital and overall status, and is shown as provisional because it is assessed on the company master data currently on record.
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