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EX-32.1 - CEO SECTION 906 CERTIFICAION - Texas Gulf Energy Incex32-1.txt
EX-31.2 - CFO SECTION 302 CERTIFICAION - Texas Gulf Energy Incex31-2.txt
EX-21.1 - SUBSIDIARIES - Texas Gulf Energy Incex21-1.txt
10-Q - QTRLY REPORT FOR THE QTR ENDED 3-31-11 - Texas Gulf Energy Incg5121.txt
EX-32.2 - CFO SECTION 906 CERTIFICAION - Texas Gulf Energy Incex32-2.txt

                                                                    EXHIBIT 31.1

                      CERTIFICATION PURSUANT TO SECTION 302
                        OF THE SARBANES-OXLEY ACT OF 2002

I, E.G. Marchi, certify that;

(1)  I have  reviewed  this Report on Form 10-Q of Global  NuTech,  Inc. for the
     quarter ended March 31, 2011;

(2)  Based on my knowledge, this report does not contain any untrue statement of
     a material  fact or omit to state a  material  fact  necessary  to make the
     statements made, in light of the circumstances  under which such statements
     were made,  not  misleading  with  respect  to the  period  covered by this
     report;

(3)  Based on my  knowledge,  the  financial  statements,  and  other  financial
     information  included  in  this  report,  fairly  present  in all  material
     respects the financial  condition,  results of operations and cash flows of
     the small  business  issuer as of, and for,  the periods  presented in this
     report;

(4)  I am responsible for establishing and maintaining  disclosure  controls and
     procedures  (as defined in Rules  13a-15(e) and 15d-15(e) of the Securities
     Exchange Act of 1934) and internal  control over  financial  reporting  (as
     defined in Exchange Act Rules 132-15(f) and 15(d)-15(f)) for the registrant
     and have:

     a)   Designed  such  disclosure  controls  and  procedures,  or caused such
          disclosure   controls  and   procedures   to  be  designed   under  my
          supervision, to ensure that material information relating to the small
          business  issuer is made known to me by others within those  entities,
          particularly during the period in which this report is being prepared;
     b)   Designed such internal  control over  financial  reporting,  or caused
          such internal  control over  financial  reporting to be designed under
          our  supervision,   to  provide  reasonable  assurance  regarding  the
          reliability  of financial  reporting and the  preparation of financial
          statements for external purposes in accordance with generally accepted
          accounting principles; and
     c)   Evaluated the effectiveness of the small business issuer's  disclosure
          controls and  procedures  and presented in this report my  conclusions
          about the effectiveness of the disclosure controls and procedures,  as
          of the  end of the  period  covered  by  this  report  based  on  such
          evaluation; and
     d)   Disclosed  in this  report any change in the small  business  issuer's
          internal  control over financial  reporting  that occurred  during the
          small business issuer's most recent fiscal quarter that has materially
          affected,  or is  reasonably  likely to materially  affect,  the small
          business issuer's internal control over financial reporting; and

(5)  I have  disclosed,  based  on my most  recent  evaluation  of the  internal
     control over financial  reporting,  to the small business issuer's auditors
     and the audit  committee of the small business  issuer's board of directors
     (or persons performing the equivalent functions):

     a)   All significant  deficiencies and material weaknesses in the design or
          operation  of internal  control  over  financial  reporting  which are
          reasonably  likely to  adversely  affect the small  business  issuer's
          ability   to  record,   process,   summarize   and  report   financial
          information; and
     b)   Any fraud, whether or not material,  that involves management or other
          employees who have a significant  role in the small business  issuer's
          internal control over financial reporting.

Date: May 13, 2011


/s/ E.G. Marchi
--------------------------------------
By: E.G. Marchi
Title: Chief Executive Officer
       (Principal Executive Officer