WINDMILL CONTENT LTD

Executive Summary

WINDMILL CONTENT LTD demonstrates stable but weakening financial health, with declining cash reserves and increased reliance on director loans indicating liquidity stress. The company should focus on improving cash flow management, cost control, and revenue growth to restore financial vitality and ensure sustainable operations.

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Company Documents

DateDescription
27/03/2527 March 2025 Confirmation statement made on 2025-03-27 with no updates

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25/03/2525 March 2025 Total exemption full accounts made up to 2024-03-31

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31/03/2431 March 2024 Annual accounts for year ending 31 Mar 2024

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27/03/2427 March 2024 Confirmation statement made on 2024-03-27 with no updates

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21/02/2421 February 2024 Total exemption full accounts made up to 2023-03-31

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26/04/2326 April 2023 Confirmation statement made on 2023-03-27 with no updates

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31/03/2331 March 2023 Annual accounts for year ending 31 Mar 2023

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28/03/2228 March 2022 Incorporation

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