PDR-DRAUGHTING LTD

Executive Summary

PDR-DRAUGHTING LTD is currently facing liquidity challenges and has a negative net asset position, indicating financial distress despite ongoing operations. The company shows symptoms of a working capital deficit and eroded equity, requiring urgent attention to cash flow management and capital strengthening. With focused corrective actions, including improved liquidity, cost control, and potential capital injection, the company can stabilize its financial health and improve its outlook.

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Company Documents

DateDescription
08/09/258 September 2025 NewConfirmation statement made on 2025-09-06 with updates

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27/08/2527 August 2025 NewMicro company accounts made up to 2024-07-31

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23/09/2423 September 2024 Confirmation statement made on 2024-09-06 with updates

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31/07/2431 July 2024 Annual accounts for year ending 31 Jul 2024

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03/05/243 May 2024 Micro company accounts made up to 2023-07-31

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06/09/236 September 2023 Confirmation statement made on 2023-09-06 with updates

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31/07/2331 July 2023 Annual accounts for year ending 31 Jul 2023

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03/04/233 April 2023 Micro company accounts made up to 2022-07-31

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31/07/2231 July 2022 Annual accounts for year ending 31 Jul 2022

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14/07/2114 July 2021 Incorporation

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