CSK WM LTD
Executive Summary
CSK WM LTD shows improving net asset value backed by significant property assets but currently operates with no turnover and negative working capital due to high short-term liabilities, mainly directors’ loans. Liquidity risk is elevated, and credit approval should be conditional on continued director support and close cash flow monitoring. The company’s financial trajectory indicates asset growth but requires improved operational cash flow or restructuring to ensure debt servicing capacity.
View Full Analysis Report →- Legal registered address
- Staffordshire Knot Pinfold Street Wednesbury West Midlands United Kingdom WS10 8TE Copied!
Latest financial results as of 27 August 2025- Cash in bank
- £4.14k
- Current creditors
- £410.86k
- Shareholders funds
- £63.87k
View full financial accounts- Cash in bank
- £4.14k
- Current creditors
- £410.86k
- Shareholders funds
- £63.87k
- Company number
- 13476360 Copied!
Accounts
Latest annual accounts were to 31 March 2024
Next annual accounts are due by 31 December 2025
Company financial year end is on 31 March 2026
Confirmation statement
Latest confirmation statement statement dated 3 April 2025
Next statement due by 17 April 2026
Nature of business (SIC)
68209 - Other letting and operating of own or leased real estate
Latest company documents
Date | Description |
---|---|
03/04/253 April 2025 | Confirmation statement made on 2025-04-03 with no updates |
30/12/2430 December 2024 | Total exemption full accounts made up to 2024-03-31 |
05/04/245 April 2024 | Confirmation statement made on 2024-04-05 with no updates |
31/03/2431 March 2024 | Annual accounts for year ending 31 Mar 2024 |
22/11/2322 November 2023 | Registration of charge 134763600004, created on 2023-11-20 |
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