PAPERFLOW LTD

Financials
Year ending
2023-12-31
Total net assets
£150.58k
£47.21k vs previous year
Total liabilities
£-381.77k
£-5.14k vs previous year
Total assets
£1.00m
£98.21k vs previous year

Annual accounts

Financial Year Ending
26 September 2024

View Document

31 December 2023

View Accounts

25 September 2023

View Document

31 December 2022

View Accounts

9 May 2022

View Document

3 August 2020

View Document

8 May 2019

View Document

24 September 2018

View Document

5 September 2017

View Document

21 April 2016

View Document

23 April 2015

View Document

20 August 2014

View Document

3 September 2013

View Document

26 June 2012

View Document

20 June 2011

View Document

17 September 2010

View Document

9 October 2009

View Document

29 July 2008

View Document

2 August 2007

View Document

2 August 2006

View Document

5 August 2005

View Document

22 October 2004

View Document

26 September 2003

View Document

19 July 2002

View Document

2 August 2001

View Document

2 August 2000

View Document

29 November 1999

View Document

27 July 1998

View Document

21 May 1997

View Document

3 November 1996

View Document

28 July 1995

View Document

1 August 1994

View Document

25 July 1993

View Document

1 December 1992

View Document

12 March 1992

View Document

10 April 1991

View Document

13 March 1990

View Document

24 February 1989

View Document

29 February 1988

View Document

5 July 1986

View Document


More Company Information


Follow Company
  • Receive an alert email on changes to financial status
  • Early indications of liquidity problems
  • Warns when company reporting is overdue
  • Free service, no spam emails
  • Follow this company