S & B RENDERING LTD
Executive Summary
S & B Rendering Ltd exhibits weakening financial strength with declining net assets and negative working capital, raising concerns about its short-term liquidity and creditworthiness. The company’s thin equity base and increasing liabilities reduce its resilience to economic fluctuations. Given these factors, credit extension is not recommended without significant improvement in financial metrics and cash flow management.
View Full Analysis Report →- Legal registered address
- 31 Craven Street Melton Mowbray Leicestershire England LE13 0QT Copied!
Latest financial results as of 11 August 2025- Cash in bank
- £4.45k
- Current assets
- £21.79k
- Current creditors
- £24.46k
- Shareholders funds
- £2.17k
View full financial accounts- Cash in bank
- £4.45k
- Current assets
- £21.79k
- Current creditors
- £24.46k
- Shareholders funds
- £2.17k
- Company number
- 13340646 Copied!
Accounts
Latest annual accounts were to 31 March 2025
Next annual accounts are due by 31 December 2026
Company financial year end is on 31 March 2026
Confirmation statement
Latest confirmation statement statement dated 8 July 2025
Next statement due by 22 July 2026
Nature of business (SIC)
43310 - Plastering
43390 - Other building completion and finishing
Latest company documents
Date | Description |
---|---|
21/07/2521 July 2025 New | Confirmation statement made on 2025-07-08 with no updates |
21/07/2521 July 2025 New | Appointment of Mr Maciej Krzyzanowski as a secretary on 2025-07-07 |
21/07/2521 July 2025 New | Termination of appointment of Anna Maria Laszewska as a secretary on 2025-07-07 |
21/05/2521 May 2025 | Total exemption full accounts made up to 2025-03-31 |
31/03/2531 March 2025 | Annual accounts for year ending 31 Mar 2025 |
More Company Information
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