PLOTIFY GLOBAL LIMITED
Executive Summary
Plotify Global Limited is a dormant company with no trading history or financial activity beyond nominal share capital. Its financial position is extremely weak, lacking assets, revenues, and cash flows to support credit. Credit facilities are not recommended until the company demonstrates operational activity and improved financial metrics.
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This analysis is opinion only and should not be interpreted as financial advice.
PLOTIFY GLOBAL LIMITED - Analysis Report
Credit Opinion: DECLINE. Plotify Global Limited is currently classified as a dormant company with minimal financial activity and no trading history reflected in its accounts. The company has no revenue, negligible assets, and only £1 in share capital reported consistently over the last three years. There is no evidence of operational cash flow or balance sheet strength to support servicing any debt or credit facility. The absence of trading results and financial progression severely limits the ability to assess creditworthiness or repayment capacity.
Financial Strength: The balance sheet shows net assets and shareholders' funds of just £1, consisting solely of one £1 ordinary share. There are no fixed or current assets, no liabilities, and no retained earnings or reserves. The company’s financial position is effectively non-existent, reflecting its dormant status and lack of business activity. This weak financial footing indicates no cushion or resources to draw upon in adverse conditions.
Cash Flow Assessment: No cash flow is reported beyond the nominal £1 cash balance. Without operating income, receivables, or working capital, the company lacks liquidity and the means to meet any financial obligations. There is no evidence of cash generation or financial transactions that would support ongoing operations or debt servicing.
Monitoring Points:
- Confirmation of change from dormant to active trading status and timely filing of accounts reflecting operational performance.
- Development of a positive net asset base and working capital.
- Evidence of revenue generation and positive cash flows from operations.
- Any changes in director or ownership structure that might impact financial management.
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