Intangible Assets
370,886 GBP2025-04-30
436,389 GBP2024-04-30
Property, Plant & Equipment
7,604,702 GBP2025-04-30
7,698,596 GBP2024-04-30
Investment Property
8,649,739 GBP2025-04-30
8,160,179 GBP2024-04-30
Fixed Assets - Investments
64 GBP2025-04-30
64 GBP2024-04-30
Fixed Assets
16,625,391 GBP2025-04-30
16,295,228 GBP2024-04-30
Debtors
Current
340,030 GBP2025-04-30
333,941 GBP2024-04-30
Cash at bank and in hand
143 GBP2025-04-30
Current Assets
340,173 GBP2025-04-30
333,941 GBP2024-04-30
Net Current Assets/Liabilities
-4,460,577 GBP2025-04-30
-3,574,156 GBP2024-04-30
Total Assets Less Current Liabilities
12,164,814 GBP2025-04-30
12,721,072 GBP2024-04-30
Creditors
Non-current, Amounts falling due after one year
-4,271,052 GBP2025-04-30
-4,733,257 GBP2024-04-30
Net Assets/Liabilities
7,104,367 GBP2025-04-30
7,229,403 GBP2024-04-30
Equity
Called up share capital
1,102 GBP2025-04-30
1,102 GBP2024-04-30
1,102 GBP2023-04-30
Revaluation reserve
2,446,252 GBP2025-04-30
2,426,196 GBP2024-04-30
1,899,760 GBP2023-04-30
Retained earnings (accumulated losses)
4,657,013 GBP2025-04-30
4,802,105 GBP2024-04-30
5,196,872 GBP2023-04-30
Equity
7,104,367 GBP2025-04-30
7,229,403 GBP2024-04-30
7,097,734 GBP2023-04-30
Profit/Loss
Retained earnings (accumulated losses)
-145,092 GBP2024-05-01 ~ 2025-04-30
-394,767 GBP2023-05-01 ~ 2024-04-30
Profit/Loss
-145,092 GBP2024-05-01 ~ 2025-04-30
-394,767 GBP2023-05-01 ~ 2024-04-30
Comprehensive Income/Expense
Retained earnings (accumulated losses)
-145,092 GBP2024-05-01 ~ 2025-04-30
-394,767 GBP2023-05-01 ~ 2024-04-30
Comprehensive Income/Expense
-125,036 GBP2024-05-01 ~ 2025-04-30
131,669 GBP2023-05-01 ~ 2024-04-30
Deferred Tax Liabilities
789,395 GBP2025-04-30
758,412 GBP2024-04-30
Intangible Assets - Gross Cost
Goodwill
436,389 GBP2025-04-30
436,389 GBP2024-04-30
Intangible Assets - Gross Cost
436,389 GBP2025-04-30
436,389 GBP2024-04-30
Intangible Assets - Increase From Amortisation Charge for Year
Goodwill
65,503 GBP2024-05-01 ~ 2025-04-30
Intangible Assets - Increase From Amortisation Charge for Year
65,503 GBP2024-05-01 ~ 2025-04-30
Intangible Assets - Accumulated Amortisation & Impairment
Goodwill
65,503 GBP2025-04-30
Intangible Assets - Accumulated Amortisation & Impairment
65,503 GBP2025-04-30
Intangible Assets
Goodwill
370,886 GBP2025-04-30
436,389 GBP2024-04-30
Property, Plant & Equipment - Gross Cost
Land and buildings
7,754,525 GBP2025-04-30
7,740,807 GBP2024-04-30
Other
200,000 GBP2025-04-30
200,000 GBP2024-04-30
Property, Plant & Equipment - Gross Cost
7,954,525 GBP2025-04-30
7,940,807 GBP2024-04-30
Property, Plant & Equipment - Accumulated Depreciation & Impairment
Land and buildings
169,807 GBP2025-04-30
82,199 GBP2024-04-30
Other
180,016 GBP2025-04-30
160,012 GBP2024-04-30
Property, Plant & Equipment - Accumulated Depreciation & Impairment
349,823 GBP2025-04-30
242,211 GBP2024-04-30
Property, Plant & Equipment - Increase From Depreciation Charge for Year
Land and buildings
87,608 GBP2024-05-01 ~ 2025-04-30
Other
20,004 GBP2024-05-01 ~ 2025-04-30
Property, Plant & Equipment - Increase From Depreciation Charge for Year
107,612 GBP2024-05-01 ~ 2025-04-30
Property, Plant & Equipment
Land and buildings
7,584,718 GBP2025-04-30
7,658,608 GBP2024-04-30
Other
19,984 GBP2025-04-30
39,988 GBP2024-04-30
Investments in Subsidiaries
64 GBP2025-04-30
64 GBP2024-04-30
Cost valuation
64 GBP2024-04-30
Trade Debtors/Trade Receivables
812 GBP2025-04-30
2,560 GBP2024-04-30
Amounts Owed By Related Parties
46,786 GBP2025-04-30
46,786 GBP2024-04-30
Prepayments
292,432 GBP2025-04-30
284,595 GBP2024-04-30
Debtors
Current, Amounts falling due within one year
340,030 GBP2025-04-30
Amounts falling due within one year, Current
333,941 GBP2024-04-30
Total Borrowings
Current, Amounts falling due within one year
834,364 GBP2025-04-30
Non-current, Amounts falling due after one year
4,271,052 GBP2025-04-30
4,733,257 GBP2024-04-30
Bank Borrowings
Non-current
4,271,052 GBP2025-04-30
4,733,257 GBP2024-04-30
Total Borrowings
Non-current
4,271,052 GBP2025-04-30
4,733,257 GBP2024-04-30
Bank Borrowings
Current
834,364 GBP2025-04-30
865,298 GBP2024-04-30
Total Borrowings
Current
834,364 GBP2025-04-30
865,298 GBP2024-04-30
Future Minimum Lease Payments Under Non-cancellable Operating Leases
Amounts falling due within one year
40,000 GBP2024-04-30
Amounts set aside to cover potential liabilities or losses
Deferred taxation
789,395 GBP2025-04-30
758,412 GBP2024-04-30
GRIST GROUP LIMITED
InfoN.G. HOLDINGS LIMITED - 2006-03-30
GOART LIMITED - 2006-03-30
Registered number 02347267William Road, Devizes, Wiltshire SN10 3EW
PRIVATE LIMITED COMPANY incorporated on 1989-02-13 (37 years 3 months). The status of the company number is Active.
The last date of confirmation statement was made at 2025-11-22
CIF 0GRIST GROUP LIMITED
SRegistered number 02347267
William Road, Devizes, Wiltshire, United Kingdom, SN10 3EW
Ltd in Companies House, United Kingdom
CIF 1 CIF 2 CIF 3 GRIST GROUP LIMITED
SRegistered number 02347267
William Road, Devizes, Wiltshire, United Kingdom, SN10 3EW
Ltd in Companies House, United Kingdom
CIF 4 CIF 5 GRIST GROUP LIMITED
SRegistered number 02347267
William Road, William Road, Devizes, England, SN10 3EW
Private Limited Company in Companies House, England
CIF 6