Company Intelligence Profile
Medical Sathi Private Limited
Medical Sathi Private Limited operates in the healthcare/hospital services space, associated with the brand "Medical Sathi" and website medicalsathi.com.
Last updated 20 August 2026
AI-generated summary from public filings and may contain errors. Verify against the detailed sections below.
Company Identity
Partial / conflicting| Registered name | Medical Sathi Private Limited |
|---|---|
| CIN | U85100HR2020PTC085646 |
| PAN | Not available in the public sources reviewed. |
| Status | Active |
| Listing | Not listed (unlisted private limited company) |
| Incorporated | 28 February 2020 |
| ROC | Conflict: Tofler states RoC-Haryana |
| Sector (NIC) | Health and Social Work / Hospital Activities — NIC 85100 per CIN (Human Health Activities); described by TheCompanyCheck as "Internet/Online Healthcare Services," DPIIT-recognised startup |
| Registered address | Flat No 204, Nalanda Apartment, Sector-21C, Faridabad, Haryana - 121001 |
| Authorized capital | ₹10 lakh |
| Paid-up capital | ₹1 lakh |
Business Overview
Partial / conflicting- Medical Sathi Private Limited operates in the healthcare/hospital services space, associated with the brand "Medical Sathi" and website medicalsathi.com
- TheCompanyCheck describes its main activity as "Hospital and medical care" with a focus on hospital activities, categorized under Internet/Online Healthcare Services
- It is recognised as a DPIIT startup
- EPFO data shows approximately 23 employees as of the latest available period
Directors
Partial / conflicting| Name | DIN | Role | Appointed |
|---|---|---|---|
| Rajjan Prasad | 08713104 | Director since 28 Feb 2020 Tofler | - |
Financials
Partial / conflictingFY2023: Revenue ₹2.02 crore (~90% YoY growth). EBITDA and PAT not disclosed (locked behind premium access). Auditor for FY2023: Kumar Sonu & Co. Balance sheet date: 31 March 2025; last AGM 30 September 2025 vs Tofler's last AGM figure of 30 September 2022 — source conflict on AGM date. Per Tofler: Total Revenue -6.49%, EBITDA -6.6%, Net Profit +190.59%, Net Worth -7.96%, Total Borrowings +47.15%. Ratios: Net Profit Margin 7.03%, Gross Margin 0.27, Operating Margin -0.13%, Return on Equity 7.53%, Debt-to-Equity 0.18. No consolidated financials found (small private company, standalone only). Absolute revenue/EBITDA/PAT/net worth/borrowings figures for the latest audited FY could not be independently confirmed with exact numbers from two sources.
Charges
Partial / conflicting- 3 charge records registered — dated 17 Apr 2024, 03 Nov 2022, and 26 Sep 2022
- Open charges totaling ₹79.04 lakh
- satisfied charges ₹0
- Charge-holder identities not disclosed in the fetched content
Competitors
Partial / conflictingFrequently Asked Questions
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