HUXTER & DAVY LTD

Executive Summary

Huxter & Davy Ltd is profitable and solvent with a solid asset base but currently faces liquidity strain due to negative working capital and limited cash reserves. Focused efforts on cash flow management, debt repayment, and cost control are essential to improve financial health and ensure sustainable growth. Early intervention can prevent these symptoms from developing into more serious financial distress.

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Company Documents

DateDescription
09/12/249 December 2024 Total exemption full accounts made up to 2024-06-30

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30/06/2430 June 2024 Annual accounts for year ending 30 Jun 2024

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21/06/2421 June 2024 Confirmation statement made on 2024-06-14 with no updates

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15/06/2315 June 2023 Incorporation

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