COMMSMASTERS CONSULTING LTD

Company number SC613748 ·

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Net assets, total assets & total liabilities 2020 – 2025

  • Total assets
  • Net assets
  • Total liabilities
-£200k -£100k £0 £100k £200k £300k £400k £500k £600k 2020 2021 2022 2023 2024 2025 Total assets 2020: £204,132 Total assets 2021: £188,370 Total assets 2022: £216,013 Total assets 2023: £374,434 Total assets 2024: £485,247 Total assets 2025: £529,253 Total assets Net assets 2020: £138,752 Net assets 2021: £119,366 Net assets 2022: £157,120 Net assets 2023: £216,046 Net assets 2024: £278,880 Net assets 2025: £350,006 Net assets Total liabilities 2020: -£74,220 Total liabilities 2021: -£40,833 Total liabilities 2022: -£50,287 Total liabilities 2023: -£117,690 Total liabilities 2024: -£181,136 Total liabilities 2025: -£81,609 Total liabilities

Figures extracted from filed accounts. Hover a point for the exact value.

Employees 2024 – 2025

0 0 0 0 0 1 2024 2025 2024: 1 2025: 1

Average employees, from filed accounts. Hover a point for the exact figure.

Balance sheet by year 6 years

Latest accounts (2025-03-31): Audit exempt (accountant's report).

Year ending Total assets Total liabilities Net assets Cash Turnover Profit Employees
2025-03-31 £529,253 -£81,609 £350,006 £22,102 1
2024-03-31 £485,247 -£181,136 £278,880 £140,427 1
2023-03-31 £374,434 -£117,690 £216,046 £217,980
2022-03-31 £216,013 -£50,287 £157,120 £165,633
2021-03-31 £188,370 -£40,833 £119,366 £156,098
2020-03-31 £204,132 -£74,220 £138,752 £132,549

Profit and employee figures are captured from accounts filed from August 2026 onwards, where the accounts disclose them.

Debt & working capital 2025-03-31

Bank borrowings & overdrafts
£10,443
Owed by customers
£13,488
Owed to suppliers
£9,420