Cherry Blossom Day Care Limited is a private limited company situated at 10-12 High Street, Dawley, Telford TF4 2ET. Its net worth is estimated to be around 1000 pounds, while the fixed assets that belong to the company come to 0 pounds. Incorporated on 2020-12-08, this 3-year-old company is run by 2 directors.
Director Samantha E., appointed on 22 November 2022. Director Jaspreet N., appointed on 08 December 2020.
The company is classified as "child day-care activities" (Standard Industrial Classification: 88910).
The latest confirmation statement was filed on 2023-07-07 and the date for the subsequent filing is 2024-07-21. Likewise, the statutory accounts were filed on 30 June 2022 and the next filing is due on 31 March 2024.
Office Address | 10-12 High Street |
Office Address2 | Dawley |
Town | Telford |
Post code | TF4 2ET |
Country of origin | United Kingdom |
Registration Number | 13069325 |
Date of Incorporation | Tue, 8th Dec 2020 |
Industry | Child day-care activities |
End of financial Year | 30th June |
Company age | 4 years old |
Account next due date | Sun, 31st Mar 2024 (76 days after) |
Account last made up date | Thu, 30th Jun 2022 |
Next confirmation statement due date | Sun, 21st Jul 2024 (2024-07-21) |
Last confirmation statement dated | Fri, 7th Jul 2023 |
Position: Director
Appointed: 22 November 2022
Position: Director
Appointed: 08 December 2020
The list of persons with significant control who own or have control over the company is made up of 1 name. As we researched, there is Jaspreet N. The abovementioned PSC has 25-50% voting rights and has 25-50% shares.
Jaspreet N.
Notified on | 8 December 2020 |
Nature of control: |
25-50% voting rights right to appoint and remove directors 25-50% shares |
Profit & Loss | ||
---|---|---|
Accounts Information Date | 2021-06-30 | 2022-06-30 |
Net Worth | 1 000 | |
Balance Sheet | ||
Cash Bank On Hand | 1 000 | 4 699 |
Current Assets | 1 000 | 32 040 |
Debtors | 27 341 | |
Property Plant Equipment | 120 058 | |
Cash Bank In Hand | 1 000 | |
Net Assets Liabilities Including Pension Asset Liability | 1 000 | |
Reserves/Capital | ||
Shareholder Funds | 1 000 | |
Other | ||
Accrued Liabilities | 1 200 | |
Accumulated Depreciation Impairment Property Plant Equipment | 2 513 | |
Average Number Employees During Period | 9 | |
Creditors | 153 330 | |
Increase From Depreciation Charge For Year Property Plant Equipment | 2 513 | |
Net Current Assets Liabilities | 1 000 | -121 290 |
Number Shares Issued Fully Paid | 1 000 | |
Other Creditors | 121 550 | |
Other Taxation Social Security Payable | 6 282 | |
Par Value Share | 1 | |
Profit Loss | -2 232 | |
Property Plant Equipment Gross Cost | 122 571 | |
Total Additions Including From Business Combinations Property Plant Equipment | 122 571 | |
Total Assets Less Current Liabilities | 1 000 | -1 232 |
Trade Creditors Trade Payables | 11 679 | |
Trade Debtors Trade Receivables | 27 341 |
Type | Category | Free download | |
---|---|---|---|
CS01 |
Confirmation statement with updates 7th July 2023 filed on: 11th, July 2023 |
confirmation statement | Free Download (4 pages) |
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