PACESETTERS GLOBAL LIMITED
Executive Summary
PACESETTERS GLOBAL LIMITED is currently facing liquidity challenges characterized by negative working capital and minimal cash reserves, despite maintaining a positive net asset base. Without improved cash flow management and strategic financial planning, the company risks operational disruption. Prompt actions to enhance liquidity and working capital are essential to restore financial health and support sustainable growth.
View Full Analysis Report →Financials
- Year ending
- 2024-02-29
- Total net assets
- £1.01k£-836 vs previous year
- Total liabilities
- £-650£-300 vs previous year
- Total assets
- £0£0 vs previous year
Annual accounts
Financial Year Ending | |
---|---|
18 November 2024 | |
29 February 2024 | |
30 November 2023 | |
28 February 2022 |
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