Average Number of Employees
62024-05-01 ~ 2025-04-30
82023-05-01 ~ 2024-04-30
Debtors
59,207,719 GBP2025-04-30
65,724,363 GBP2024-04-30
Cash at bank and in hand
7,309,505 GBP2025-04-30
3,482,766 GBP2024-04-30
Current Assets
66,517,224 GBP2025-04-30
69,207,129 GBP2024-04-30
Creditors
Current, Amounts falling due within one year
-28,707,133 GBP2024-04-30
Net Current Assets/Liabilities
43,136,531 GBP2025-04-30
40,499,996 GBP2024-04-30
Total Assets Less Current Liabilities
43,136,531 GBP2025-04-30
40,499,996 GBP2024-04-30
Creditors
Non-current, Amounts falling due after one year
-15,499,001 GBP2024-04-30
Net Assets/Liabilities
25,063,532 GBP2025-04-30
25,000,995 GBP2024-04-30
Equity
Called up share capital
2 GBP2025-04-30
2 GBP2024-04-30
Retained earnings (accumulated losses)
25,063,530 GBP2025-04-30
25,000,993 GBP2024-04-30
Equity
25,063,532 GBP2025-04-30
25,000,995 GBP2024-04-30
Profit/Loss
Retained earnings (accumulated losses)
1,975,537 GBP2024-05-01 ~ 2025-04-30
Profit/Loss
1,975,537 GBP2024-05-01 ~ 2025-04-30
Dividends Paid
Retained earnings (accumulated losses)
-1,913,000 GBP2024-05-01 ~ 2025-04-30
Dividends Paid
-1,913,000 GBP2024-05-01 ~ 2025-04-30
Other Debtors
Non-current
24,600,000 GBP2025-04-30
24,600,000 GBP2024-04-30
Debtors
Non-current
24,600,000 GBP2025-04-30
24,600,000 GBP2024-04-30
Trade Debtors/Trade Receivables
Current
101,790 GBP2025-04-30
9,044 GBP2024-04-30
Other Debtors
Current
34,270,124 GBP2025-04-30
40,849,360 GBP2024-04-30
Prepayments/Accrued Income
Current
235,805 GBP2025-04-30
265,959 GBP2024-04-30
Debtors
Current
59,207,719 GBP2025-04-30
65,724,363 GBP2024-04-30
Cash and Cash Equivalents
7,309,505 GBP2025-04-30
3,482,766 GBP2024-04-30
Trade Creditors/Trade Payables
Current
1,991 GBP2025-04-30
19,456 GBP2024-04-30
Corporation Tax Payable
Current
243,683 GBP2025-04-30
300,034 GBP2024-04-30
Other Creditors
Current
23,026,831 GBP2025-04-30
28,252,129 GBP2024-04-30
Accrued Liabilities/Deferred Income
Current
108,188 GBP2025-04-30
135,514 GBP2024-04-30
Creditors
Current
23,380,693 GBP2025-04-30
28,707,133 GBP2024-04-30
Amounts owed to group undertakings
Non-current
18,072,999 GBP2025-04-30
15,499,001 GBP2024-04-30
Creditors
Non-current
18,072,999 GBP2025-04-30
15,499,001 GBP2024-04-30
CSBF CAPITAL PARTNERS LTD
InfoCSBF COMMON SENSE BUSINESS FUNDING LTD - 2022-01-10
BUSINESS FINANCE DIRECT LIMITED - 2022-01-10
Registered number 03315231
3 Park Road, London NW1 6AS
PRIVATE LIMITED COMPANY incorporated on 1997-02-07 (28 years 10 months). The company status is Active.
The last date of confirmation statement was made at 2025-05-06
CIF 0CSBF CAPITAL PARTNERS LTD
SRegistered number 03315231

3 Park Road, Park Road, London, England, NW1 6AS
Private Limited Company in England And Wales, United Kingdom
CIF 1 CSBF CAPITAL PARTNERS LTD
SRegistered number 03315231

3, Park Road, London, Greater London, United Kingdom, NW1 6AS
Private Limited Company in Register Of Companies, United Kingdom
CIF 2 CSBF COMMON SENSE BUSINESS FUNDING LTD
SRegistered number 03315231

3, Park Road, London, England, NW1 6AS
Limited By Shares in England And Wales
CIF 3