PARMAR-CEUTICS LTD
Executive Summary
Parmar-Ceutics Ltd exhibits weak financial health with significant negative net assets and poor liquidity driven by high creditor balances. The company’s ability to meet debt obligations is doubtful, and credit approval is not recommended without substantial security. Close monitoring of cash flows and creditor management is essential going forward.
View Full Analysis Report →- Legal registered address
- 1 Tudor Gardens London England NW9 8RL Copied!
Latest financial results as of 1 September 2025- Current assets
- £2.37k
- Fixed assets
- £1.65m
- Current creditors
- £1.27m
- Shareholders funds
- £-10.82k
View full financial accounts- Current assets
- £2.37k
- Fixed assets
- £1.65m
- Current creditors
- £1.27m
- Shareholders funds
- £-10.82k
- Company number
- 13125629 Copied!
Accounts
Latest annual accounts were to 31 January 2024
Next annual accounts are due by 31 October 2025
Company financial year end is on 31 January 2026
Confirmation statement
Latest confirmation statement statement dated 12 December 2024
Next statement due by 26 December 2025
Nature of business (SIC)
68209 - Other letting and operating of own or leased real estate
Latest company documents
Date | Description |
---|---|
13/01/2513 January 2025 | Confirmation statement made on 2024-12-12 with no updates |
17/10/2417 October 2024 | Micro company accounts made up to 2024-01-31 |
31/01/2431 January 2024 | Annual accounts for year ending 31 Jan 2024 |
25/01/2425 January 2024 | Confirmation statement made on 2023-12-12 with no updates |
27/10/2327 October 2023 | Micro company accounts made up to 2023-01-31 |
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