POST MAGIC LTD
Executive Summary
POST MAGIC LTD is currently experiencing significant financial distress, characterized by negative net assets and insufficient liquidity to meet short-term obligations. Without urgent capital support and debt restructuring, the company faces ongoing solvency challenges. Immediate actions to improve cash flow, renegotiate debts, and optimize asset use are critical to restore financial health and ensure sustainable operations.
View Full Analysis Report →Financials
- Year ending
- 2024-07-31
- Total net assets
- £-20.04k£-1.25k vs previous year
- Total liabilities
- £-85.55k£0 vs previous year
- Total assets
- £66.21k£-899 vs previous year
Annual accounts
Financial Year Ending | |
---|---|
19 July 2025 | |
31 July 2024 | |
31 July 2023 | |
10 May 2023 | |
31 July 2022 |
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