Indian Company Master Data Made Simple
Sonal Adhesives Limited
Since 1991, Sonal Adhesives Limited has maintained a presence in the industry for 34 years. Sonal Adhesives Limited is registered with CIN L02004MH1991PLC064045 (reg. no. 64045). It falls under the category of company limited by shares. The company has an authorized share capital of ₹7.00 crore. Paid-up capital for the company equals ₹6.06 crore.
The main line of business is forestry; logging and related service activities. The company has been registered in the city of Mumbai. Sonal Adhesives Limited’s registered office is at Plot No.28/1a Takai-adoshi Road At Po Khopoli Tal Khalapur Dist Raigad Dist Raigad, Raigarh, Khopoli, Maharashtra, India, 410203. It is officially listed as an active business entity. The Permanent Account Number assigned to the company is AAACS6289A. The company’s Legal Entity Identifier (LEI) code is 9845003AAE6N842CF892. The designated company email address is [email protected]. At the helm are Ajeet Rudrapal Singh (CFO) and Ajeet Rudrapal Singh (CFO).
Company Overview
- CIN
- Date of Incorporation
- 18/11/1991
- Company Status
- Active
- RoC
- Mumbai
- Registration Number
- Balance sheet date
- 2025-03-31
- Company Category
- Company limited by shares
- Company Sub Category
- Non-government company
- Listed in Stock Exchange
- Yes
- Class of Company
- Public Limited Company
- LEI Number
- LEI Status
- Issued
- Authorized Capital
- ₹7,00,00,000.00
- Paid up Capital
- ₹6,06,10,000.00
- Activity
- Forestry; Logging And Related Service Activities
- [email protected]
- PAN
GST Numbers
| State | GST Number | Status |
|---|---|---|
| Dadra and Nagar Haveli and Daman and Diu | 26AAACS6289A1ZF | Inactive |
| Karnataka | 29AAACS6289A1Z9 | Inactive |
| Maharashtra | 27AAACS6289A1ZD | Active |
| Tamil Nadu | 33AAACS6289A1ZK | Inactive |
ISIN Numbers
| ISIN | Security | Interest Rate | Maturity Date | FISN | CFI |
|---|---|---|---|---|---|
| INE344I01017 | SONAL ADHESIVES LIMITED EQ | - | 17/02/2026 | SONAL ADHESIVES/SH VTG | ESVUFN |
Balance Sheet
| Metric | 31/03/2025 | 31/03/2024 | 31/03/2023 | 31/03/2022 | 31/03/2021 |
|---|---|---|---|---|---|
| Total Non Current Liabilities Net Minority Interest | ₹295.33L | ₹149.63L | ₹68.74L | ₹25.58L | ₹0.00L |
| Total Liabilities Net Minority Interest | ₹3,136.91L | ₹2,590.56L | ₹2,407.57L | ₹2,184.20L | ₹0.00L |
| Accumulated Depreciation | -₹999.50L | -₹926.37L | -₹856.00L | -₹793.36L | ₹0.00L |
| Tangible Book Value | ₹896.72L | ₹720.99L | ₹535.40L | ₹307.94L | ₹0.00L |
| Long Term Debt | ₹239.08L | ₹106.19L | ₹33.82L | ₹14.79L | ₹0.00L |
| Long Term Provisions | ₹15.74L | ₹12.75L | ₹11.14L | ₹10.79L | ₹0.00L |
| Current Debt And Capital Lease Obligation | ₹769.96L | ₹624.26L | ₹488.60L | ₹215.95L | ₹0.00L |
| Machinery Furniture Equipment | ₹2,015.42L | ₹1,136.91L | ₹1,047.66L | ₹982.73L | ₹0.00L |
| Total Assets | ₹4,033.63L | ₹3,311.55L | ₹2,942.97L | ₹2,492.14L | ₹0.00L |
| Total Equity Gross Minority Interest | ₹896.72L | ₹720.99L | ₹535.40L | ₹307.94L | ₹0.00L |
| Gross PPE | ₹2,273.85L | ₹1,388.46L | ₹1,241.92L | ₹1,174.83L | ₹0.00L |
| Total Capitalization | ₹1,135.80L | ₹827.18L | ₹569.22L | ₹322.73L | ₹0.00L |
| Common Stock | ₹606.10L | ₹606.10L | ₹606.10L | ₹606.10L | ₹0.00L |
| Total Debt | ₹1,009.04L | ₹730.45L | ₹522.42L | ₹230.74L | ₹0.00L |
| Other Equity Interest | ₹290.62L | ₹114.89L | -₹70.69L | -₹298.16L | ₹0.00L |
| Capital Stock | ₹606.10L | ₹606.10L | ₹606.10L | ₹606.10L | ₹0.00L |
| Total Non Current Assets | ₹1,412.98L | ₹698.66L | ₹640.65L | ₹691.41L | ₹0.00L |
| Invested Capital | ₹1,905.76L | ₹1,451.44L | ₹1,057.82L | ₹538.68L | ₹0.00L |
| Cash Cash Equivalents And Short Term Investments | ₹0.67L | ₹43.59L | ₹100.74L | ₹4.63L | ₹0.00L |
| Net Tangible Assets | ₹896.72L | ₹720.99L | ₹535.40L | ₹307.94L | ₹0.00L |
| Prepaid Assets | ₹88.73L | ₹302.99L | ₹91.10L | ₹216.49L | ₹0.00L |
| Cash And Cash Equivalents | -₹94.35L | -₹27.75L | -₹0.30L | ₹4.63L | ₹0.00L |
| Stockholders Equity | ₹896.72L | ₹720.99L | ₹535.40L | ₹307.94L | ₹0.00L |
| Other Short Term Investments | ₹95.02L | ₹71.34L | ₹101.04L | ₹2.63L | ₹0.00L |
| Share Issued | ₹60.61L | ₹60.61L | ₹60.61L | ₹60.61L | ₹0.00L |
| Current Assets | ₹2,620.65L | ₹2,612.89L | ₹2,302.32L | ₹1,800.73L | ₹0.00L |
| Working Capital | -₹220.93L | ₹171.96L | -₹36.51L | -₹357.89L | ₹0.00L |
| Net Debt | ₹1,103.39L | ₹758.20L | ₹522.72L | ₹226.11L | ₹0.00L |
| Current Debt | ₹769.96L | ₹624.26L | ₹488.60L | ₹215.95L | ₹0.00L |
| Ordinary Shares Number | ₹60.61L | ₹60.61L | ₹60.61L | ₹60.61L | ₹0.00L |
| Long Term Debt And Capital Lease Obligation | ₹239.08L | ₹106.19L | ₹33.82L | ₹14.79L | ₹0.00L |
| Current Liabilities | ₹2,841.58L | ₹2,440.93L | ₹2,338.83L | ₹2,158.62L | ₹0.00L |
| Retained Earnings | ₹276.02L | ₹99.53L | -₹85.92L | -₹312.50L | ₹0.00L |
| Net PPE | ₹1,274.35L | ₹462.09L | ₹385.92L | ₹381.47L | ₹0.00L |
| Construction In Progress | ₹0.00L | ₹0.00L | ₹0.00L | ₹0.00L | ₹0.00L |
| Common Stock Equity | ₹896.72L | ₹720.99L | ₹535.40L | ₹307.94L | ₹0.00L |
| Other Non Current Assets | -₹1.40L | ₹3.50L | -₹0.01L | -₹0.01L | ₹0.00L |
| Other Properties | ₹60.63L | ₹60.63L | ₹7.76L | ₹6.87L | ₹0.00L |
| Inventory | ₹1,291.52L | ₹1,114.73L | ₹1,312.68L | ₹1,141.13L | ₹0.00L |
Cash Flow
| Metric | 31/03/2025 | 31/03/2024 | 31/03/2023 | 31/03/2022 | 31/03/2021 |
|---|---|---|---|---|---|
| Changes In Cash | -₹66.61L | -₹27.45L | -₹4.93L | -₹0.20L | ₹0.00L |
| Financing Cash Flow | ₹149.47L | ₹141.48L | ₹289.85L | -₹2,013.19L | ₹0.00L |
| Free Cash Flow | -₹196.45L | -₹199.50L | -₹194.45L | ₹1,847.74L | ₹0.00L |
| Investing Cash Flow | -₹906.09L | -₹115.97L | -₹167.41L | ₹137.18L | ₹0.00L |
| End Cash Position | -₹94.35L | -₹27.75L | -₹0.29L | ₹4.63L | ₹0.00L |
| Other Cash Adjustment Outside Changein Cash | ₹0.01L | -₹0.01L | ₹0.01L | ₹0.00L | -₹0.01L |
| Capital Expenditure | -₹886.46L | -₹146.54L | -₹67.08L | -₹28.07L | ₹0.00L |
| Beginning Cash Position | -₹27.75L | -₹0.29L | ₹4.63L | ₹4.83L | ₹0.00L |
| Operating Cash Flow | ₹690.01L | -₹52.96L | -₹127.37L | ₹1,875.81L | ₹0.00L |
Income Statement
| Metric | 31/03/2025 | 31/03/2024 | 31/03/2023 | 31/03/2022 |
|---|---|---|---|---|
| Rent Expense Supplemental | ₹15.01L | ₹14.27L | ₹12.38L | ₹7.19L |
| Net Income From Continuing Operation Net Minority Interest | ₹176.49L | ₹185.45L | ₹226.58L | ₹560.75L |
| EBITDA | ₹445.84L | ₹386.16L | ₹384.74L | ₹840.02L |
| Basic EPS | ₹0.00L | ₹0.00L | ₹0.00L | ₹0.00L |
| Total Expenses | ₹10,763.24L | ₹9,759.68L | ₹8,080.17L | ₹5,890.59L |
| Total Unusual Items | ₹5.23L | -₹22.52L | ₹0.00L | ₹753.53L |
| Operating Revenue | ₹11,033.26L | ₹10,065.11L | ₹8,332.98L | ₹5,867.25L |
| Tax Effect Of Unusual Items | ₹1.42L | -₹5.76L | ₹0.00L | ₹206.09L |
| Total Unusual Items Excluding Goodwill | ₹5.23L | -₹22.52L | ₹0.00L | ₹753.53L |
| Interest Income Non Operating | ₹4.05L | ₹0.87L | ₹0.70L | ₹0.07L |
| Interest Income | ₹4.05L | ₹0.87L | ₹0.70L | ₹0.07L |
| Interest Expense Non Operating | ₹129.12L | ₹66.55L | ₹19.76L | ₹0.85L |
| Net Income From Continuing And Discontinued Operation | ₹176.49L | ₹185.45L | ₹226.58L | ₹560.75L |
| General And Administrative Expense | ₹25.53L | ₹17.45L | ₹19.51L | ₹11.91L |
| Reconciled Depreciation | ₹74.20L | ₹70.37L | ₹62.63L | ₹67.32L |
| Net Income Continuous Operations | ₹176.49L | ₹185.44L | ₹226.58L | ₹560.75L |
| Reconciled Cost Of Revenue | ₹10,086.10L | ₹9,257.52L | ₹7,671.77L | ₹5,587.81L |
| Net Income | ₹176.49L | ₹185.45L | ₹226.58L | ₹560.75L |
| Operating Income | ₹270.02L | ₹305.43L | ₹252.81L | -₹23.34L |
| Diluted Average Shares | ₹60.61L | ₹60.61L | ₹60.61L | ₹60.61L |
| Selling And Marketing Expense | ₹240.91L | ₹83.98L | ₹87.70L | ₹59.31L |
| Normalized Income | ₹172.68L | ₹202.21L | ₹226.58L | ₹13.31L |
| Net Non Operating Interest Income Expense | -₹125.07L | -₹65.68L | -₹19.06L | -₹0.78L |
| Gross Profit | ₹947.16L | ₹807.59L | ₹661.21L | ₹279.44L |
| EBIT | ₹371.64L | ₹315.79L | ₹322.11L | ₹772.70L |
| Cost Of Revenue | ₹10,086.10L | ₹9,257.52L | ₹7,671.77L | ₹5,587.81L |
| Diluted NIAvailto Com Stockholders | ₹176.49L | ₹185.45L | ₹226.58L | ₹560.75L |
| Net Interest Income | -₹125.07L | -₹65.68L | -₹19.06L | -₹0.78L |
| Operating Expense | ₹677.14L | ₹502.16L | ₹408.40L | ₹302.78L |
| Normalized EBITDA | ₹440.61L | ₹408.68L | ₹384.74L | ₹86.49L |
| Net Income Common Stockholders | ₹176.49L | ₹185.45L | ₹226.58L | ₹560.75L |
| Pretax Income | ₹242.52L | ₹249.24L | ₹302.35L | ₹771.85L |
| Tax Rate For Calcs | ₹0.00L | ₹0.00L | ₹0.00L | ₹0.00L |
| Total Revenue | ₹11,033.26L | ₹10,065.11L | ₹8,332.98L | ₹5,867.25L |
| Selling General And Administration | ₹266.44L | ₹101.43L | ₹107.21L | ₹71.22L |
| Other Operating Expenses | ₹300.30L | ₹342.38L | ₹200.86L | ₹125.51L |
| Diluted EPS | ₹0.00L | ₹0.00L | ₹0.00L | ₹0.00L |
| Interest Expense | ₹129.12L | ₹66.55L | ₹19.76L | ₹0.85L |
| Basic Average Shares | ₹60.61L | ₹60.61L | ₹60.61L | ₹60.61L |
| Tax Provision | ₹66.03L | ₹63.80L | ₹75.77L | ₹211.10L |
| Net Income Including Noncontrolling Interests | ₹176.49L | ₹185.44L | ₹226.58L | ₹560.75L |
| Otherunder Preferred Stock Dividend | ₹0.00L | ₹0.00L | ₹0.00L | ₹0.00L |
Directors
| Appointment | Director name | DIN | Designation | |
|---|---|---|---|---|
| 14/09/2006 | Sandeep Mohanlal Arora | 00176939 | Managing Director | View other directorships |
| 12/08/2015 | Mridu Sandeep Arora | 07260461 | Director | View other directorships |
| 25/05/2019 | Ajeet Rudrapal Singh | *****7181Q | CFO | |
| 12/08/2024 | Tejas Devendra Shah | 09592879 | Director | View other directorships |
| 12/08/2025 | Vipul Amul Desai | 02074877 | Director | View other directorships |
| 12/11/2025 | Amish Ashar | *****3277B | Company Secretary |
Latest Documents
| Date | Title | Size |
|---|---|---|
| 22/11/2024 | Form MGT-7-22112024 | - |
| 07/11/2024 | Form AOC-4(XBRL)-23102024 | - |
| 28/03/2024 | Form Addendum to AOC-4 CSR-28032024_signed | - |
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Address
Frequently Asked Questions
The current board member of Sonal Adhesives Limited are:
- Mridu Sandeep Arora
- Sandeep Mohanlal Arora
- Ajeet Rudrapal Singh
- Amish Ashar
- Vipul Amul Desai
- Tejas Devendra Shah