CODEVALENT LTD

Executive Summary

CODEVALENT LTD demonstrates a stable financial position with adequate liquidity and positive net assets, reflecting healthy operational cash flow. However, a decline in net assets and the emergence of current liabilities such as taxes and director loans suggest caution. Proactive cash flow management and strategic reinvestment are recommended to sustain financial wellness and support future growth.

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Financials
Year ending
2024-01-31
Total net assets
£17.70k
£-22.30k vs previous year
Total liabilities
£-18.16k
£-18.16k vs previous year
Total assets
£0
£-40.00k vs previous year

Annual accounts

Financial Year Ending
30 May 2024

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31 January 2024

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27 December 2023

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31 January 2023

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22 February 2022

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31 January 2022

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