C.L.A SCAFFOLDING SOLUTIONS LTD

Executive Summary

C.L.A SCAFFOLDING SOLUTIONS LTD is facing significant liquidity challenges as evidenced by its negative working capital and very low cash reserves at the year end 2025. Despite positive equity, the company’s inability to meet short-term obligations signals urgent financial distress requiring immediate cash flow management and debt restructuring. Without swift corrective action, the risk of insolvency may increase.

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Financials
Year ending
2025-03-31
Total net assets
£1.48k
£-357 vs previous year
Total liabilities
£-12.95k
£8.55k vs previous year
Total assets
£1.86k
£-8.31k vs previous year

Annual accounts

Financial Year Ending
23 July 2025

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31 March 2025

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11 December 2024

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31 March 2024

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13 December 2023

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31 March 2023

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26 January 2023

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31 March 2022

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18 January 2022

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31 March 2021

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