DREAM WORKS CUSTOMZ LTD

Executive Summary

Dream Works Customz Ltd is in a weak financial position with negative net assets and limited liquidity, supported mainly by a director loan. The company shows no operational activity or cash flow capacity to meet liabilities, posing high credit risk. Credit approval is not recommended until significant business progress and financial stabilization occur.

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Legal registered address
Arch 119 Chapman Street London England E1 2PH Copied!

Latest financial results as of 11 November 2025
Cash in bank
£101
Current creditors
£6.40k
Shareholders funds
£6.78k
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Company number
14070813 Copied!
Company status
Active
Company type
Private Limited Company
Accounts category
Total Exemption Full
Incorporated on
26 April 2022
Accounts

Latest annual accounts were to 30 April 2024

Next annual accounts are due by 31 January 2026

Company financial year end is on 30 April 2026

Confirmation statement

Latest confirmation statement statement dated 25 April 2025

Next statement due by 9 May 2026

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Nature of business (SIC)

45200 - Maintenance and repair of motor vehicles

Latest company documents
DateDescription
30/05/2530 May 2025 Confirmation statement made on 2025-04-25 with updates

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22/01/2522 January 2025 Total exemption full accounts made up to 2024-04-30

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30/04/2430 April 2024 Annual accounts for year ending 30 Apr 2024

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30/04/2430 April 2024 Confirmation statement made on 2024-04-25 with updates

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15/02/2415 February 2024 Total exemption full accounts made up to 2023-04-30

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