THE RESET HUB LTD
Executive Summary
THE RESET HUB LTD maintains solvency but faces clear liquidity challenges, evidenced by a sharp drop in cash reserves and working capital. Immediate action to improve cash flow management and revenue generation is critical to reversing this downward trend and sustaining financial health. With attentive management and potential capital support, the company can restore stability and continue operating effectively.
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Date | Description |
---|---|
22/07/2522 July 2025 New | Confirmation statement made on 2025-06-27 with no updates |
30/06/2430 June 2024 | Annual accounts for year ending 30 Jun 2024 |
28/06/2428 June 2024 | Confirmation statement made on 2024-06-27 with no updates |
06/07/236 July 2023 | Total exemption full accounts made up to 2023-06-30 |
30/06/2330 June 2023 | Annual accounts for year ending 30 Jun 2023 |
30/06/2330 June 2023 | Confirmation statement made on 2023-06-27 with no updates |
14/02/2314 February 2023 | Director's details changed for Mrs Seren Atis on 2023-02-13 |
13/02/2313 February 2023 | Change of details for Mrs Seren Atis as a person with significant control on 2023-02-13 |
04/01/234 January 2023 | Total exemption full accounts made up to 2022-06-30 |
30/06/2230 June 2022 | Annual accounts for year ending 30 Jun 2022 |
07/07/217 July 2021 | Director's details changed for Mrs Seren Atis on 2021-07-06 |
07/07/217 July 2021 | Change of details for Mrs Seren Atis as a person with significant control on 2021-07-06 |
28/06/2128 June 2021 | Incorporation |
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