Indian Company Master Data Made Simple
Navi Finserv Limited
The company, Navi Finserv Limited, was incorporated on 13 Feb 2012 and is now 14 years old. Corporate Identification Number is U65923KA2012PLC062537 and its registration number is 62537. It falls under the category of company limited by shares. The company has an authorized share capital of ₹600.00 crore. It has a paid-up capital totaling ₹285.24 crore.
Mainly engaged in other financial intermediation. [this group includes financial intermediation other than that conducted by monetary institutions.]. It is registered in Bangalore. Navi Finserv Limited’s registered office is at 2nd Floor, Vaishnavi Tech Square, Iballur Village, Begur Hobli, Hsr Layout, Bangalore, Bangalore South, Karnataka, India, 560102. The company is currently active. The company’s Legal Entity Identifier (LEI) code is 335800S5TPKIBASK5P24. The firm’s registered email for correspondence is secretarial@navi.com. The company’s top executive team comprises Sachin Bansal (CEO) and Ankit Surana (CFO).
Company Overview
- CIN
- Date of Incorporation
- 13/02/2012
- Company Status
- Active
- RoC
- Bangalore
- Registration Number
- Balance sheet date
- 31/03/2024
- Company Category
- Company limited by shares
- Company Sub Category
- Non-government company
- Listed in Stock Exchange
- No
- Class of Company
- Public Limited Company
- LEI Number
- LEI Status
- Issued
- Authorized Capital
- ₹6,00,00,00,000.00
- Paid up Capital
- ₹2,85,24,03,530.00
- Activity
- Other financial intermediation. [This group includes financial intermediation other than that conducted by monetary institutions.]
- secretarial@navi.com
- PAN
GST Numbers
| State | GST Number | Status |
|---|---|---|
| Delhi | 07AAECC7456R1ZX | Active |
| Karnataka | 29AAECC7456R1ZR | Active |
| 29AAECC7456R2ZQ | Inactive | |
| 29AAECC7456R3ZP | Active | |
| Maharashtra | 27AAECC7456R1ZV | Active |
| Tamil Nadu | 33AAECC7456R1Z2 | Active |
| Telangana | 36AAECC7456R1ZW | Active |
| West Bengal | 19AAECC7456R1ZS | Active |
ISIN Numbers
| ISIN | Security | Interest Rate | Maturity Date | FISN | CFI |
|---|---|---|---|---|---|
| INE342T03022 | NAVI FINSERV LIMITED 0.0001% PREF 27FB36 | - | 27/02/2036 | NAVI FINSERV/0.0001 NCUM PREF | EFNRFN |
| INE342T03014 | NAVI FINSERV LIMITED 0.0001% PREF 10DC35 | - | 10/12/2035 | NAVI FINSERV/0.0001 NCUM PREF | EFNRFN |
| INE342T08070 | NAVI FINSERV LIMITED 11.90 NCD 31DC30 FVRS1LAC | 11.9% | 31/12/2030 | NAVI FINSERV/11.9 DEB UNSEC | DBFUFN |
| IN8342T07105 | NAVI FINSERV LIMITED SR B 10.75 NCD 31DC28 FVRS10000 | 10.75% | 31/12/2028 | NAVI FINSERV/10.75 DEB 20281231 | DBFSFN |
| INE342T07668 | NAVI FINSERV LIMITED SR B 10.75 NCD 31DC28 FVRS10000 | 10.75% | 31/12/2028 | NAVI FINSERV/10.75 DEB SECD | DBFSFN |
| INE342T07692 | NAVI FINSERV LIMITED 11 NCD 27OT28 FVRS1LAC | 11% | 27/10/2028 | NAVI FINSERV/11 DEB SECD | DBFSAN |
| IN8342T07048 | NAVI FINSERV LIMITED 10.75 NCD 19AG28 FVRS10000 | 10.75% | 19/08/2028 | NAVI FINSERV/10.75 DEB 20280819 | DBFSFN |
| INE342T07601 | NAVI FINSERV LIMITED 10.75 NCD 19AG28 FVRS10000 | 10.75% | 19/08/2028 | NAVI FINSERV/10.75 DEB SECD | DBFSFN |
| INE342T07684 | NAVI FINSERV LIMITED SR C 10.30 NCD 31MY28 FVRS10000 | 10.3% | 31/05/2028 | NAVI FINSERV/10.3 DEB SECD | DBFSFN |
| IN8342T07022 | NAVI FINSERV LIMITED 10.75 NCD 31DC27 FVRS10000 | 10.75% | 31/12/2027 | NAVI FINSERV/DEB | DBFSFN |
| INE342T07544 | NAVI FINSERV LIMITED 10.75 NCD 31DC27 FVRS10000 | 10.75% | 31/12/2027 | NAVI FINSERV/10.75 DEB SECD | DBFSFN |
| INE342T07676 | NAVI FINSERV LIMITED 9.80 NCD 08OT27 FVRS1LAC | 9.8% | 08/10/2027 | NAVI FINSERV/9.8 DEB SECD | DBFSFN |
| IN8342T07063 | NAVI FINSERV LIMITED 10.3 NCD 30SP27 FVRS10000 | 10.3% | 30/09/2027 | NAVI FINSERV/10.3 DEB 20270930 | DBFSFN |
| INE342T07635 | NAVI FINSERV LIMITED 10.3 NCD 30SP27 FVRS10000 | 10.3% | 30/09/2027 | NAVI FINSERV/10.3 DEB SECD | DBFSFN |
| IN8342T07089 | NAVI FINSERV LIMITED 10.50 NCD 27AG27 FVRS1LAC | 10.5% | 27/08/2027 | NAVI FINSERV/10.50 DEB 20240828 | DBFSFN |
| INE342T07536 | NAVI FINSERV LIMITED 10.50 NCD 27AG27 FVRS1LAC | 10.5% | 27/08/2027 | NAVI FINSERV/10.5 DEB SECD | DBFSFN |
| INE342T07627 | NAVI FINSERV LIMITED 10.20 NCD 05AG27 FVRS10000 | 10.2% | 05/08/2027 | NAVI FINSERV/10.2 DEB SECD | DBFSFN |
| IN8342T07097 | NAVI FINSERV LIMITED 10.20 NCD 05AG27 FVRS10000 | 10.2% | 05/08/2027 | NAVI FINSERV/10.20 DEB 20270805 | DBFSFN |
| INE342T07585 | NAVI FINSERV LIMITED 11.16 NCD 27JU27 FVRS10000 | 11.16% | 27/06/2027 | NAVI FINSERV/11.16 DEB SECD | DBFSAN |
| IN8342T07071 | NAVI FINSERV LIMITED 10.50 NCD 18JU27 FVRS1LAC | 10.5% | 18/06/2027 | NAVI FINSERV/10.50 DEB 20270618 | DBFSFN |
| INE342T07494 | NAVI FINSERV LIMITED 10.50 NCD 18JU27 FVRS1LAC | 10.5% | 18/06/2027 | NAVI FINSERV/10.5 DEB SECD | DBFSFN |
| INE342T07569 | NAVI FINSERV LIMITED 10.6 NCD 21MY27 FVRS10000 | 10.6% | 21/05/2027 | NAVI FINSERV/10.6 DEB SECD | DBFSFN |
| IN8342T07014 | NAVI FINSERV LIMITED 10.6 NCD 21MY27 FVRS10000 | 10.6% | 21/05/2027 | NAVI FINSERV/DEB | DBFSFN |
| INE342T07619 | NAVI FINSERV LIMITED 10 NCD 25MR27 FVRS1LAC | 10% | 25/03/2027 | NAVI FINSERV/10 DEB SECD | DBFSFN |
| IN8342T07055 | NAVI FINSERV LIMITED 10 NCD 25MR27 FVRS1LAC | 10% | 25/03/2027 | NAVI FINSERV/DEB | DBFSFN |
| INE342T07460 | NAVI FINSERV LIMITED SR IV 10.65 NCD 13MR27 FVRS1000 | 10.65% | 13/03/2027 | NAVI FINSERV/10.65 DEB SNR | DBFSFN |
| INE342T07445 | NAVI FINSERV LIMITED SR V 11.19 NCD 13MR27 FVRS1000 | 11.19% | 13/03/2027 | NAVI FINSERV/11.19 DEB SNR | DBFSFN |
| INE342T07650 | NAVI FINSERV LIMITED SR C 10 NCD 31JN27 FVRS10000 | 10% | 31/01/2027 | NAVI FINSERV/10 DEB SECD | DBFSFN |
| INE342T07551 | NAVI FINSERV LIMITED 10.40 NCD 29JN27 FVRS1LAC | 10.4% | 29/01/2027 | NAVI FINSERV/10.4 DEB SECD | DBFSFN |
| INE342T07429 | NAVI FINSERV LIMITED 10.25 NCD 31DC26 FVRS1LAC | 10.25% | 31/12/2026 | NAVI FINSERV/10.25 DEB SECD | DBFSFN |
| INE342T07510 | NAVI FINSERV LIMITED TR A 10.40 NCD 13NV26 FVRS1LAC | 10.4% | 13/11/2026 | NAVI FINSERV/10.4 DEB SNR | DBFSFN |
| INE342T07643 | NAVI FINSERV LIMITED 10 NCD 30OT26 FVRS10000 | 10% | 30/10/2026 | NAVI FINSERV/10 DEB SECD | DBFSFN |
| INE342T14GK7 | NAVI FINSERV LIMITED 182D CP 26OCT26 | - | 26/10/2026 | NAVI FINSERV/CP 20261026 | DYZUXN |
| INE342T14GJ9 | NAVI FINSERV LIMITED 182D CP 23OCT26 | - | 23/10/2026 | NAVI FINSERV/CP 20261023 | DYZUXN |
| INE342T14GI1 | NAVI FINSERV LIMITED 182D CP 22OCT26 | - | 22/10/2026 | NAVI FINSERV/CP 20261022 | DYZUXN |
| INE342T14GF7 | NAVI FINSERV LIMITED 182D CP 19OCT26 | - | 19/10/2026 | NAVI FINSERV/CP 20261019 | DYZUXN |
| INE342T14EQ9 | NAVI FINSERV LIMITED 364D CP 16OCT26 | - | 16/10/2026 | NAVI FINSERV/CP 20261016 | DYZUXN |
| INE342T14FJ1 | NAVI FINSERV LIMITED 271D CP 12OCT26 | - | 12/10/2026 | NAVI FINSERV/CP 20261012 | DYZUXN |
| INE342T14GC4 | NAVI FINSERV LIMITED 183D CP 29SEP26 | - | 29/09/2026 | NAVI FINSERV/CP 20260929 | DYZUXN |
| INE342T07577 | NAVI FINSERV LIMITED 10.60 NCD 10SP26 FVRS10000 | 10.6% | 10/09/2026 | NAVI FINSERV/10.6 DEB SECD | DBFSFN |
| INE342T14FX2 | NAVI FINSERV LIMITED 180D CP 01SEP26 | - | 01/09/2026 | NAVI FINSERV/CP 20260901 | DYZUXN |
| INE342T14FW4 | NAVI FINSERV LIMITED 182D CP 31AUG26 | - | 31/08/2026 | NAVI FINSERV/CP 20260831 | DYZUXN |
| INE342T14FT0 | NAVI FINSERV LIMITED 180D CP 25AUG26 | - | 25/08/2026 | NAVI FINSERV/CP 20260825 | DYZUXN |
| INE342T14EC9 | NAVI FINSERV LIMITED 349D CP 24AUG26 | - | 24/08/2026 | NAVI FINSERV/CP 20260824 | DYZUXN |
| INE342T14GG5 | NAVI FINSERV LIMITED 123D CP 21AUG26 | - | 21/08/2026 | NAVI FINSERV/CP 20260821 | DYZUXN |
| INE342T14EA3 | NAVI FINSERV LIMITED 364D CP 18AUG26 | - | 18/08/2026 | NAVI FINSERV/CP 20260818 | DYZUXN |
| INE342T14FO1 | NAVI FINSERV LIMITED 180D CP 29JUL26 | - | 29/07/2026 | NAVI FINSERV/CP 20260729 | DYZUXN |
| INE342T14GL5 | NAVI FINSERV LIMITED 90D CP 27JUL26 | - | 27/07/2026 | NAVI FINSERV/CP 20260727 | DYZUXN |
| INE342T14GH3 | NAVI FINSERV LIMITED 92D CP 21JUL26 | - | 21/07/2026 | NAVI FINSERV/CP 20260721 | DYZUXN |
| INE342T14FM5 | NAVI FINSERV LIMITED 182D CP 20JUL26 | - | 20/07/2026 | NAVI FINSERV/CP 20260720 | DYZUXN |
| INE342T07387 | NAVI FINSERV LIMITED SR IV 10.50 NCD 18JL26 FVRS1000 | 10.5% | 18/07/2026 | NAVI FINSERV/10.5 DEB SNR | DBFSFN |
| INE342T07403 | NAVI FINSERV LIMITED SR V 11.02 NCD 18JL26 FVRS1000 | 11.02% | 18/07/2026 | NAVI FINSERV/11.02 DEB SNR | DBFSFN |
| INE342T14FG7 | NAVI FINSERV LIMITED 211D CP 17JUL26 | - | 17/07/2026 | NAVI FINSERV/CP 20260717 | DYZUXN |
| INE342T14FK9 | NAVI FINSERV LIMITED 181D CP 16JUL26 | - | 16/07/2026 | NAVI FINSERV/CP 20260716 | DYZUXN |
| INE342T14DQ1 | NAVI FINSERV LIMITED 360D CP 13JUL26 | - | 13/07/2026 | NAVI FINSERV/CP 20260713 | DYZUXN |
| INE342T14GE0 | NAVI FINSERV LIMITED 91D CP 10JUL26 | - | 10/07/2026 | NAVI FINSERV/CP 20260710 | DYZUXN |
| INE342T14GD2 | NAVI FINSERV LIMITED 90D CP 09JUL26 | - | 09/07/2026 | NAVI FINSERV/CP 20260709 | DYZUXN |
| INE342T14GB6 | NAVI FINSERV LIMITED 90D CP 25JUN26 | - | 25/06/2026 | NAVI FINSERV/CP 20260625 | DYZUXN |
| INE342T14GA8 | NAVI FINSERV LIMITED 91D CP 19JUN26 | - | 19/06/2026 | NAVI FINSERV/CP 20260619 | DYZUXN |
| INE342T14FH5 | NAVI FINSERV LIMITED 179D CP 16JUN26 | - | 16/06/2026 | NAVI FINSERV/CP 20260616 | DYZUXN |
| INE342T14FF9 | NAVI FINSERV LIMITED 181D CP 15JUN26 | - | 15/06/2026 | NAVI FINSERV/CP 20260615 | DYZUXN |
| INE342T07437 | NAVI FINSERV LIMITED SR II 10.40 NCD 13JU26 FVRS1000 | 10.4% | 13/06/2026 | NAVI FINSERV/10.4 DEB SNR | DBFSFN |
| INE342T07452 | NAVI FINSERV LIMITED SR III 10.90 NCD 13JU26 FVRS1000 | 10.9% | 13/06/2026 | NAVI FINSERV/10.9 DEB SNR | DBFSFN |
| INE342T14FY0 | NAVI FINSERV LIMITED 90D CP 09JUN26 | - | 09/06/2026 | NAVI FINSERV/CP 20260609 | DYZUXN |
| INE342T14FZ7 | NAVI FINSERV LIMITED 84D CP 05JUN26 | - | 05/06/2026 | NAVI FINSERV/CP 20260605 | DYZUXN |
| INE342T07593 | NAVI FINSERV LIMITED 10.48 NCD 01JU26 FVRS10000 | 10.48% | 01/06/2026 | NAVI FINSERV/10.48 DEB SECD | DBFSFN |
| IN8342T07030 | NAVI FINSERV LIMITED 10.48 NCD 01JU26 FVRS10000 | 10.48% | 01/06/2026 | NAVI FINSERV/10.48 DEB 20260601 | DBFSFN |
| INE342T14FU8 | NAVI FINSERV LIMITED 91D CP 01JUN26 | - | 01/06/2026 | NAVI FINSERV/CP 20260601 | DYZUXN |
| INE342T14FV6 | NAVI FINSERV LIMITED 88D CP 29MAY26 | - | 29/05/2026 | NAVI FINSERV/CP 20260529 | DYZUXN |
| INE342T14FE2 | NAVI FINSERV LIMITED 178D CP 25MAY26 | - | 25/05/2026 | NAVI FINSERV/CP 20260525 | DYZUXN |
| INE342T14FS2 | NAVI FINSERV LIMITED 86D CP 22MAY26 | - | 22/05/2026 | NAVI FINSERV/CP 20260522 | DYZUXN |
| INE342T14FR4 | NAVI FINSERV LIMITED 90D CP 21MAY26 | - | 21/05/2026 | NAVI FINSERV/CP 20260521 | DYZUXN |
| INE342T14FQ6 | NAVI FINSERV LIMITED 90D CP 14MAY26 | - | 14/05/2026 | NAVI FINSERV/CP 20260514 | DYZUXN |
| INE342T14FP8 | NAVI FINSERV LIMITED 89D CP 13MAY26 | - | 13/05/2026 | NAVI FINSERV/CP 20260513 | DYZUXN |
| INE342T14EX5 | NAVI FINSERV LIMITED 181D CP 12MAY26 | - | 12/05/2026 | NAVI FINSERV/CP 20260512 | DYZUXN |
| INE342T14EY3 | NAVI FINSERV LIMITED 180D CP 11MAY26 | - | 11/05/2026 | NAVI FINSERV/CP 20260511 | DYZUXN |
| INE342T01018 | NAVI FINSERV LIMITED EQ | - | 28/04/2026 | NAVI FINSERV/SH VTG | ESVUFN |
| INE342T14EV9 | NAVI FINSERV LIMITED 180D CP 27APR26 | - | 27/04/2026 | NAVI FINSERV/CP 20260427 | DYZUXN |
| INE342T07528 | NAVI FINSERV LIMITED TR B 10.40 NCD 13FB26 FVRS1LAC | 10.4% | 13/02/2026 | NAVI FINSERV/10.4 DEB SECD | DBFSFN |
| INE342T07254 | NAVI FINSERV LIMITED BR NCD 30JN26 FVRS10LAC | 5% | 30/01/2026 | NAVI FINSERV/Var DEB SNR | DBVSCN |
| INE342T14DW9 | NAVI FINSERV LIMITED 92D CP 29OCT25 | - | 29/10/2025 | NAVI FINSERV/CP 20251029 | DYZUXN |
| INE342T07395 | NAVI FINSERV LIMITED SR III 10.75 NCD 18OT25 FVRS1000 | 10.75% | 18/10/2025 | NAVI FINSERV/10.75 DEB SNR | DBFSFN |
| INE342T07379 | NAVI FINSERV LIMITED SR II 10.25 NCD 18OT25 FVRS1000 | 10.25% | 18/10/2025 | NAVI FINSERV/10.25 DEB SNR | DBFSFN |
| INE342T07486 | NAVI FINSERV LIMITED 10.25 NCD 15SP25 FVRS1LAC | 10.25% | 15/09/2025 | NAVI FINSERV/10.25 DEB SECD | DBFSFN |
| INE342T07478 | NAVI FINSERV LIMITED SR I 10 NCD 13SP25 FVRS1000 | 10% | 13/09/2025 | NAVI FINSERV/10 DEB SNR | DBFSFN |
| INE342T14DE7 | NAVI FINSERV LIMITED 94D CP 01SEP25 | - | 01/09/2025 | NAVI FINSERV/CP 20250901 | DYZUXN |
| INE342T14DB3 | NAVI FINSERV LIMITED 91D CP 28JUL25 | - | 28/07/2025 | NAVI FINSERV/CP 20250728 | DYZUXN |
| INE342T07411 | NAVI FINSERV LIMITED SR I 9.75 NCD 18JN25 FVRS1000 | 9.75% | 18/01/2025 | NAVI FINSERV/9.75 DEB SNR | DBFSFN |
| INE342T14CD1 | NAVI FINSERV LIMITED 90D CP 09JAN25 | - | 09/01/2025 | NAVI FINSERV/CP 20250109 | DYZUXN |
| INE342T08062 | NAVI FINSERV LIMITED 9.50 NCD 31DC24 FVRS1000 | 9.5% | 31/12/2024 | NAVI FINSERV/9.5 DEB SNR | DBFUFN |
| INE342T14CA7 | NAVI FINSERV LIMITED 83D CP 26DEC24 | - | 26/12/2024 | NAVI FINSERV/CP 20241226 | DYZUXN |
| INE342T07361 | NAVI FINSERV LIMITED 2 NCD 29NV24 FVRS1LAC | 2% | 29/11/2024 | NAVI FINSERV/2 DEB SNR | DBFSFN |
| INE342T14BK8 | NAVI FINSERV LIMITED 105D CP 06NOV24 | - | 06/11/2024 | NAVI FINSERV/CP 20241106 | DYZUXN |
| INE342T14BH4 | NAVI FINSERV LIMITED 96D CP 22OCT24 | - | 22/10/2024 | NAVI FINSERV/CP 20241022 | DYZUXN |
| INE342T14AS3 | NAVI FINSERV LIMITED 139D CP 23SEP24 | - | 23/09/2024 | NAVI FINSERV/CP 20240923 | DYZUXN |
| INE342T07213 | NAVI FINSERV LIMITED SR IV 9.75 NCD 08SP24 FVRS1000 | 9.75% | 08/09/2024 | NAVI FINSERV/9.75 DEB 20240908 | DBFSFN |
| INE342T07205 | NAVI FINSERV LIMITED ST III 9.40 NCD 08SP24 FVRS1000 | 9.4% | 08/09/2024 | NAVI FINSERV/9.40 DEB 20240916 | DBFSFN |
| INE342T14AG8 | NAVI FINSERV LIMITED 125D CP 18JUL24 | - | 18/07/2024 | NAVI FINSERV/CP 20240718 | DYZUXN |
| INE342T07262 | NAVI FINSERV LIMITED BR NCD 27MR24 FVRS10LAC | 5% | 27/03/2024 | NAVI FINSERV/Var DEB SNR | DBVSCN |
| INE342T07155 | NAVI FINSERV LIMITED BR LOA 15MR24 FVRS10LAC | 5% | 15/03/2024 | NAVI FINSERV/VARI DEB 20240315 | DSMVVI |
| INE342T07197 | NAVI FINSERV LIMITED SR II 9.50 NCD 08DC23 FVRS1000 | 9.5% | 08/12/2023 | NAVI FINSERV/9.50 DEB 20231216 | DBFSFN |
| INE342T07189 | NAVI FINSERV LIMITED SR I 9.20 NCD 08DC23 FVRS1000 | 9.2% | 08/12/2023 | NAVI FINSERV/9.20 DEB 20231216 | DBFSFN |
| INE342T08039 | NAVI FINSERV LIMITED 9.5 NCD 15NV23 FVRS10LAC | 9.5% | 15/11/2023 | NAVI FINSERV/9.5 DEB UNSEC | DBFSAN |
| INE342T14698 | NAVI FINSERV LIMITED 94D CP 05OCT23 | - | 05/10/2023 | NAVI FINSERV/CP 20231005 | DYZUXN |
| INE342T14656 | NAVI FINSERV LIMITED 90D CP 20SEP23 | - | 20/09/2023 | NAVI FINSERV/CP 20230920 | DYZUXN |
Directors
| Appointment | Director name | DIN | Designation | |
|---|---|---|---|---|
| 23/10/2019 | Ankit Agarwal | 08299808 | Managing Director | View other directorships |
| 23/10/2019 | Sachin Bansal | 02356346 | Director | View other directorships |
| 06/07/2020 | Usha A Narayanan | 06939539 | Director | View other directorships |
| 31/08/2020 | Ranganathan Sridharan | 00868787 | Director | View other directorships |
| 11/02/2022 | Sachin Bansal | *****7970K | CEO | |
| 01/04/2022 | Arindam Haraprasad Ghosh | 01423589 | Director | View other directorships |
| 26/04/2023 | Ankit Surana | *****9781B | CFO | |
| 23/08/2024 | Anil Kumar Misra | 08066460 | Director | View other directorships |
| 14/11/2024 | Prachi Mathur | *****9967P | Company Secretary |
Latest Documents
| Date | Title | Size |
|---|---|---|
| 02/12/2024 | Form MGT-7-02122024_signed | - |
| 01/12/2024 | Form AOC-4 CFS NBFC(Ind AS)-26112024 | - |
| 07/11/2024 | Form AOC-4 NBFC(IND AS)-07112024_signed | - |
| 29/03/2024 | Form Addendum to AOC-4 CSR-29032024 | - |
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Address
Frequently Asked Questions
The current board member of Navi Finserv Limited are:
- Usha A Narayanan
- Ankit Agarwal
- Sachin Bansal
- Ranganathan Sridharan
- Arindam Haraprasad Ghosh
- Anil Kumar Misra