PLOT 61 LTD

Executive Summary

PLOT 61 LTD is facing significant liquidity and solvency challenges, reflected in negative working capital and shareholders' funds. The company’s financial health is fragile, primarily due to high short-term liabilities dominated by a directors’ loan. Immediate action to improve cash flow, reduce liabilities, and strengthen equity is essential to avoid further deterioration.

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Financials
Year ending
2023-11-30
Total net assets
£-15.38k
Total liabilities
£-45.74k
Total assets
£4.33k

Annual accounts

Financial Year Ending
14 May 2024

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30 November 2023

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More Company Information


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