A-71, FIEE COMPLEX , OKHLA INDUSTRIAL AREA , PHASE-II, NEW DELHI-110020
01146015840
9811154531 (Number Shared by Promoter in Public)
AJAYMADAN@SLF.IN
HTTP://SLF.IN
XXXX849N
U74899DL1962PTC003792
INDRAPRASTHA GREENS
VILLAGE KHERI KALAN, SECTOR 97, FARIDABAD
TIGAON ST
FARIDABAD
9811154531
9811154531 (Number Shared by Promoter in Public)
AJAYMADAN@SLF.IN
AJAY MADAN
9811154531
9811154531 (Number Shared by Promoter in Public)
AJAYMADAN@SLF.IN
As per sub-rule(2) of rule 3 of the Haryana Real Estate (Regulation and Development) Rules,2017, the fee for registration of the project as has been calculated as follows:
2. The aforesaid fees is hereby deposited vide following Drafts/ Banker’s Cheques:-
Sr No.
Draft/Cheque No.
Draft Date
Amount
Payee Bank
Payable To
1
0
15-02-2020
256930
INDIAN OVERSEAS BANK
HRERA Panchkula
5.775 (Acre)
Not Applicable
0
5.775 (Acre)
License no. 135 of 2019 dated 27.12.2019 vide memo no. LC-3882-JE (SK)-2019/129 dated 01.01.2020
Yes
2663.20 Lakhs
1184.65 Lakhs
0 Lakhs
1024.07 Lakhs
454.48 Lakhs
Sr. No.
Land area under usage
Area of land (Square Meters)
1
PLOTS TO BE SOLD
12560.4278
2
LAND AREA TO BE USED FOR CONSTRUCTION OF APARTMENTS
0
3
CONSTRUCTION OF ROADS
3364.4299
4
PAVEMENTS
1655.2379
5
PARKS AND PLAYGROUNDS
1753.0186
6
GREEN BELTS
0
7
VEHICLE PARKINGS
0
8
ELECTRICITY SUB-STATION
24.0639
9
CLUB HOUSE
0
10
SEWAGE AND SOLID WASTE TREATMENT FACILITY
149.0434
11
AREA TO BE LEFT FOR TRANSFERRING TO THE GOVERNMENT FOR COMMUNITY SERVICES
2337.8399
12
ANY OTHER
0
13
MILK AND VEGETABLE BOOTH
27.5000
14
COMMERCIAL AREA
928.9376
15
UGT
100.4550
16
AREA UNDER TWELVE METER WIDE PROPOSED ROAD
469.5256
Total
23370.4796
Facility
External/ connecting service to be provided by (Name the agency)
Whether Approval taken from the agency concerned. Yes/No (Annex details in folder C)
ROADS
HARYANA SHEHRI VIKAS PRADHIKARAN
No
WATER SUPPLY
HARYANA SHEHRI VIKAS PRADHIKARAN
No
ELECTRICITY
DAKSHIN HARYANA BIJLI VITRAN NIGAM
No
SEWAGE DISPOSAL
HARYANA SHEHRI VIKAS PRADHIKARAN
No
STORM WATER DRAINAGE
HARYANA SHEHRI VIKAS PRADHIKARAN
No
Sr. No.
Name of the facility
Estimated cost (In Lakhs)(Within the project area only)
Remarks: Yet to be prepared / Submitted to HUDA, Town & Country Planning Department/ as per project report etc. (Annex relevant documents showing costing details etc. in folder C)
1
INTERNAL ROADS AND PAVEMENTS
82
AS PER PROJECT REPORT
2
WATER SUPPLY SYSTEM
87
AS PER PROJECT REPORT
3
STORM WATER DRAINAGE
24
AS PER PROJECT REPORT
4
ELECTRICITY SUPPLY SYSTEM
82
AS PER PROJECT REPORT
5
SEWAGE TREATMENT & GARBAGE DISPOSAL
89
AS PER PROJECT REPORT
6
STREET LIGHTING
9
AS PER PROJECT REPORT
7
SECURITY AND FIRE FIGHTING
0
AS PER PROJECT REPORT
8
PLAYGROUNDS AND PARKS
11
AS PER PROJECT REPORT
9
CLUB HOUSE/COMMUNITY CENTRE
0
AS PER PROJECT REPORT
10
SHOPPING AREA
0
AS PER PROJECT REPORT
11
RENEWABLE ENERGY SYSTEM
0
AS PER PROJECT REPORT
12
SCHOOL
0
AS PER PROJECT REPORT
13
HOSPITAL/DISPENSARY
0
AS PER PROJECT REPORT
14
ANY OTHER
0
AS PER PROJECT REPORT
27-12-2019 (date)
NA (date)
01-03-2020
31-03-2023
Plot Area(In Square Meter)
Number of plots in the project
121.6
1
120
55
90
20
86.85
2
133.625
22
140.0882
4
94.350
4
928.9376
1
Type
Carpet area(In Square Meter)
Number of apartments
Number of towers
Apartment/Shops/Other Buildings
0
0
0
Expenditure incurred till the date of application (In Lakhs)
Particulars
Expenditure
Apartments
0
Shops
0
Plots
0
Expenditure to be made in each quarter (In Lakhs)
Particulars
Expenditure to be made in each quarter ()
Apr-June
July-Sep
Oct-Dec
Jan-Mar
Expenditure incurred till the date of application (In Lakhs)
Particulars
Expenditure
Roads & Pavements
0
Water Supply System
0
Sewerage treatment & garbage disposal
0
Electricity Supply System
0
Storm Water Drainage
0
Parks and Playgrounds
0
Clubhouse/community centres
0
Shopping area
0
Other
1400
Expenditure to be made in each quarter (In Lakhs)
Particulars
Year-2020
Jan-Mar
Apr-June
July-Sep
Oct-Dec
Roads & Pavements
0
25
20
20
Water Supply System
10
35
35
35
Sewerage treatment & garbage disposal
5
10
6.42
10
Electricity Supply System
0
20
20
20
Storm Water Drainage
5
7
7
3
Parks and Playgrounds
0
5
3
3
Clubhouse/community centres
0
0
0
0
Shopping area
0
0
0
0
Other
0
0
0
0
Boundary Wall
8
28
Particulars
Year-2021
Jan-Mar
Apr-June
July-Sep
Oct-Dec
Roads & Pavements
10
7
0
0
Water Supply System
22
0
0
0
Sewerage treatment & garbage disposal
10
10
10
10
Electricity Supply System
20
20
16
0
Storm Water Drainage
3
3
3
0
Parks and Playgrounds
0
0
0
0
Clubhouse/community centres
0
0
0
0
Shopping area
0
0
0
0
Other
0
0
0
0
Milk Booth
5.50
Particulars
Year-2022
Jan-Mar
Apr-June
July-Sep
Oct-Dec
Roads & Pavements
0
0
0
0
Water Supply System
0
0
0
0
Sewerage treatment & garbage disposal
10
10
10
9
Electricity Supply System
0
0
0
0
Storm Water Drainage
0
0
0
0
Parks and Playgrounds
0
0
0
0
Clubhouse/community centres
0
0
0
0
Shopping area
0
0
0
0
Other
0
0
0
0
Milk Booth
5.50
4
Yes
No
INDIAN OVERSEAS BANK
072502000001371
IOBA0000725
110020019
0725
Ajay Madan and Reshma Madan
CA Certificate attached
Yes
No
No
No
No
No
No
No
Yes
Yes
No
No
No
No
No
Yes
No
No
Statutory Approvals
Statutory Approvals Status
Date
I. LICENCE NO. 135 OF 2019 DATED 27.12.2019 VIDE MEMO NO. LC-3882-JE (SK)-2019/129 DATED 01.01.2020 ISSUED BY DIRECTORATE OF TOWN & COUNTRY PLANNING , HARYANA, CHANDIGARH
CERTIFICATE FROM A CHARTERED ACCOUNTANT CERTIFYING THAT THE INFORMSTION PROVIDED BY THE APPLICANT IN FORM REP-1-C-X IS CORRECT AS PER THE BOOKS OF ACCOUNTS/ BALANCE SHEET OF THE APPLICANT