DAVE MEP ENGINEERING LTD

Executive Summary

DAVE MEP ENGINEERING LTD exhibits significant solvency and liquidity risks with negative net assets and high current liabilities relative to cash. While compliant with filings and currently active, operational and governance concerns, including dividend payments despite losses, suggest a high-risk profile. Detailed investigation into liabilities, cash flow, and governance is recommended to assess sustainability.

View Full Analysis Report →
Financials
Year ending
2024-11-30
Total net assets
£-51.81k
£-23.60k vs previous year
Total liabilities
£-55.71k
£-25.99k vs previous year
Total assets
£3.89k
£2.39k vs previous year

Annual accounts

Financial Year Ending
12 September 2025

View Document

5 June 2025

View Document

30 November 2024

View Accounts

30 November 2023

View Accounts

11 September 2023

View Document

30 November 2022

View Accounts

Want deeper financial analysis?Use our AI Assistant to calculate ratios, assess liquidity, and get plain English explanations.
See How →

More Company Information