DREAMS AND DUAS LTD

Executive Summary

DREAMS AND DUAS LTD is currently in early-stage financial distress with negative net assets and working capital, reflecting liquidity challenges and insufficient capitalization typical of start-ups. Immediate focus on capital injection, cash flow management, and cost control is essential to restore financial health and support business growth. With careful management and strategic funding, the company can stabilize its financial condition and build a healthy foundation for future operations.

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Company Documents

DateDescription
14/05/2514 May 2025 Confirmation statement made on 2025-04-30 with no updates

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30/04/2530 April 2025 Total exemption full accounts made up to 2024-05-31

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25/06/2425 June 2024 Confirmation statement made on 2024-04-30 with no updates

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31/05/2431 May 2024 Annual accounts for year ending 31 May 2024

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01/05/231 May 2023 Incorporation

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