8D, HANSALAYA 15, BARAKHAMBA ROAD, NEW DELHI-110001
01123358617
9718832507 (Number Shared by Promoter in Public)
shalini@onecity.in
http://onecity.in
XXXX529B
U70101DL2005PTC137209
ONE CITY
ONE CITY,SECTOR-37, GOHANA ROAD
ROHTAK
ROHTAK
9718832507 (Number Shared by Promoter in Public)
shalini@onecity.in
UDIT JAIN
9891500335 (Number Shared by Promoter in Public)
udit@onecity.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
646333
29-07-2017
164000
KOTAK MAHINDRA BANK
HRERA Panchkula
5.390625 (Acre)
NA
0
5.390625 (Acre)
LICENCE NO. 101 OF 2012
MIGRATION ORDER DATED 19.06.2017
No
Address 8-D,
HANSALAYA 15
BARAKHAMBA
ROAD, NEW
DELHI
Address 8-D,
HANSALAYA 15
BARAKHAMBA
ROAD, NEW
DELHI
Address 8-D,
HANSALAYA 15
BARAKHAMBA
ROAD, NEW
DELHI
Annexure-B- ANNEXURE-B- COLLABORATION
AGREEMENT
COLLABORATION AGREEMENT
WAS MADE BEFORE GRANT OF
LICENSE BUT REGISTERED
LATER.
Yes
COLLABORATION AGREEMENT
FILED
No
Yes
Yes
937.62 Lakhs
140.91 Lakhs
0 Lakhs
169.46 Lakhs
995.47 Lakhs
Sr. No.
Land area under usage
Area of land (Square Meters)
1
PLOTS TO BE SOLD
9503.721
2
LAND AREA TO BE USED FOR CONSTRUCTION OF APARTMENTS
0
3
CONSTRUCTION OF ROADS
2443.14
4
PAVEMENTS
2551.59
5
PARKS AND PLAYGROUNDS
3325
6
GREEN BELTS
0
7
VEHICLE PARKINGS
0
8
ELECTRICITY SUB-STATION
0
9
CLUB HOUSE
0
10
SEWAGE AND SOLID WASTE TREATMENT FACILITY
0
11
AREA TO BE LEFT FOR TRANSFERRING TO THE GOVERNMENT FOR COMMUNITY SERVICES
0
12
ANY OTHER
185.24
Total
18008.691
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
HSVP
Yes
WATER SUPPLY
HSVP
Yes
ELECTRICITY
UHBVNL
Yes
SEWAGE DISPOSAL
STP
No
STORM WATER DRAINAGE
PIT
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
46.79086
SUBMITTED TO TOWN & COUNTRY PLANNING
2
WATER SUPPLY SYSTEM
36.55802
SUBMITTED TO TOWN & COUNTRY PLANNING
3
STORM WATER DRAINAGE
20.23811
SUBMITTED TO TOWN & COUNTRY PLANNING
4
ELECTRICITY SUPPLY SYSTEM
35.66636
AS PER PROJECT REPORT
5
SEWAGE TREATMENT & GARBAGE DISPOSAL
24.46542
SUBMITTED TO TOWN & COUNTRY PLANNING
6
STREET LIGHTING
2.71998
SUBMITTED TO TOWN & COUNTRY PLANNING
7
SECURITY AND FIRE FIGHTING
0
YET TO BE PREPARED
8
PLAYGROUNDS AND PARKS
3.01975
SUBMITTED TO TOWN & COUNTRY PLANNING
9
CLUB HOUSE/COMMUNITY CENTRE
0
YET TO BE PREPARED
10
SHOPPING AREA
0
AS PER PROJECT REPORT
11
RENEWABLE ENERGY SYSTEM
0
YET TO BE PREPARED
12
SCHOOL
0
YET TO BE PREPARED
13
HOSPITAL/DISPENSARY
0
YET TO BE PREPARED
14
ANY OTHER
0
YET TO BE PREPARED
01-06-2017 (date)
NA (date)
Sr. No.
Plot/ apartment type
Size of the plot/carpet area of the apartments
Total number of plots/apartments in the project
Plots/apartments booked/ sold upto the date of application
Yet to be sold/ booked
No. of towers to be/ being constructed for booked apartments
1
PLOT Type B
336
8
6
2
0
2
PLOT Type C
250
5
3
2
0
3
PLOT Type D
225
24
24
0
0
4
PLOT Type F
50
20
20
0
0
Type
Number of apartments booked/ sold
Write or Annex the stage of construction of the booked/ sold apartments in folder C
0
0
N/A
N/A
N/A
06-09-2012
90
31-07-2021
Plots
Booked/sold
Stage of handing over the possession (Write or Annex details)
PLOT
53
POSSESSION IS TO BE HANDED OVER ON WATER, ELECTRICITY SUPPLY AND SEWER AND STORM WATER CONNECTION AVAILABILITY
06-09-2012
90
31-07-2021
ANNEX
ANNEX
0
0
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
35.67
Water Supply System
21.77
Sewerage treatment & garbage disposal
2.55
Electricity Supply System
16.88
Storm Water Drainage
15.90
Parks and Playgrounds
1.40
Clubhouse/community centres
0
Shopping area
0
Other
0.68
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
Particulars
Remarks, if any
i. No. of Flats/Apartments constructed
57
ii. No. of Flats/ Apartments booked
53
iii. Total amount sale value of booked Flats, on the date of application/end of last quarter
532.39 Lakhs
iv. Total amount received from the allottees (booked Flats), on the date of application/end of last quarter
491.30 Lakhs
v. Balance amount to be received from the allottees (booked Flats, after completion), on the date of application/end of last quarter
41.08 Lakhs
vi. Balance amount due and recoverable from the allottees (booked Flats) as on the date of application /end of last quarter
41.08 Lakhs
vii. Amount invested in the project upto the date of application
878.26 Lakhs
Land cost (If any)
140.90 Lakhs
Apartments
0 Lakhs
Infrastructure
101.82 Lakhs
EDC/ Taxes Etc.
682.468 Lakhs
viii. Balance cost to be incurred for completion of the project and delivery of possession
59.36 Lakhs
(a) In respect of existing allottees
59.36 Lakhs
(b) In respect of rest of the project
0 Lakhs
ix. The amount of loan raised from the banks/ financial institutions/ private persons against the project Annex detail of the securities furnished to the banks/ financial institutions against the aforesaid loans in folder C
0 Lakhs
x. Total liabilities against the project up-to-date. (Annex details in folder C)
0 Lakhs
Particulars
Estimated expenditure planned to be incurred as per service plan estimates or the project report. (In Lakhs)
Actual expenditure incurred upto the date of application. (In Lakhs)
I. INTERNAL ROADS AND PAVEMENTS
46.79
35.67
II. WATER SUPPLY SYSTEM
36.56
21.77
III. STORM WATER DRAINAGE
24.46
15.90
IV. ELECTRICITY SUPPLY SYSTEM
20.24
16.87
V. SEWAGE TREATMENT & GARBAGE DISPOSAL
35.66
2.55
VI. CLUB HOUSE/COMMUNITY CENTRE
0
0
VII. SCHOOL
0
0
VIII. ANY OTHER
0
0
IX. SOLID WASTE COLLECTION & MGMT SYSTEM
0
0
X. CLUBHOUSE
0
0
XI. NEIGHBOURHOOD SHOPPING
0
0
XII. GREEN AREAS,PARKS,PLAYGROUNDS ETC.
3.0
1.40
XIII. COVERED PARKING
0
0
XIV. OPEN PARKING
0
0
XV. GARAGES
0
0
XVI. SECURITY SYSTEM
0
0
XVII. OTHER FACILITIES AS PER PROJECT REPORT
2.72
0.68
Yes
Yes
KOTAK MAHINDRA BANK LTD, MODEL TOWN, ROHTAK, HARYANA
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