DC WORKFLOW LTD
Executive Summary
DC Workflow Ltd exhibits a high-risk financial profile with negative net assets and working capital deficits, compounded by zero cash balances and reliance on director loans. While regulatory compliance is maintained and ownership is concentrated, liquidity and solvency challenges present significant concerns for creditors and investors. Further due diligence on cash flow and debtor quality is essential to evaluate the company’s viability.
View Full Analysis Report →- Legal registered address
- First Floor, Copper House 88 Snakes Lane East Woodford Green Essex England IG8 7HX Copied!
Latest financial results as of 2 August 2025- Cash in bank
- £0
- Current assets
- £20.17k
- Fixed assets
- £7.34k
- Current creditors
- £30.85k
- Shareholders funds
- £-3.34k
View full financial accounts- Cash in bank
- £0
- Current assets
- £20.17k
- Fixed assets
- £7.34k
- Current creditors
- £30.85k
- Shareholders funds
- £-3.34k
- Company number
- 13296412 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 27 March 2025
Next statement due by 10 April 2026
Nature of business (SIC)
43999 - Other specialised construction activities not elsewhere classified
Latest company documents
Date | Description |
---|---|
02/04/252 April 2025 | Confirmation statement made on 2025-03-27 with updates |
23/12/2423 December 2024 | Total exemption full accounts made up to 2024-03-31 |
08/04/248 April 2024 | Confirmation statement made on 2024-03-27 with updates |
31/03/2431 March 2024 | Annual accounts for year ending 31 Mar 2024 |
27/12/2327 December 2023 | Total exemption full accounts made up to 2023-03-31 |
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