Property, Plant & Equipment
2,199,604 GBP2025-03-31
1,624,189 GBP2024-03-31
1,624,189 GBP2024-03-30
Total Inventories
455,414 GBP2024-03-30
Debtors
295,741 GBP2025-03-31
143,516 GBP2024-03-30
Cash at bank and in hand
84,096 GBP2025-03-31
366,339 GBP2024-03-30
Current Assets
379,837 GBP2025-03-31
965,269 GBP2024-03-30
Net Current Assets/Liabilities
270,582 GBP2025-03-31
857,546 GBP2024-03-30
Total Assets Less Current Liabilities
2,470,186 GBP2025-03-31
2,481,735 GBP2024-03-30
Net Assets/Liabilities
491,753 GBP2025-03-31
545,759 GBP2024-03-30
Equity
Called up share capital
2 GBP2025-03-31
2 GBP2024-03-30
Retained earnings (accumulated losses)
-77,229 GBP2025-03-31
-23,223 GBP2024-03-30
Equity
491,753 GBP2025-03-31
545,759 GBP2024-03-30
Average Number of Employees
02024-04-01 ~ 2025-03-31
02023-04-01 ~ 2024-03-30
Property, Plant & Equipment - Gross Cost
Land and buildings
2,175,414 GBP2025-03-31
1,620,000 GBP2024-03-31
Plant and equipment
17,124 GBP2025-03-31
17,124 GBP2024-03-31
Vehicles
85,945 GBP2025-03-31
54,710 GBP2024-03-31
Property, Plant & Equipment - Gross Cost
2,278,483 GBP2025-03-31
1,691,834 GBP2024-03-31
Property, Plant & Equipment - Accumulated Depreciation & Impairment
Plant and equipment
16,360 GBP2025-03-31
12,935 GBP2024-03-31
Vehicles
62,519 GBP2025-03-31
54,710 GBP2024-03-31
Property, Plant & Equipment - Accumulated Depreciation & Impairment
78,879 GBP2025-03-31
67,645 GBP2024-03-31
Property, Plant & Equipment - Increase From Depreciation Charge for Year
Plant and equipment
3,425 GBP2024-04-01 ~ 2025-03-31
Vehicles
7,809 GBP2024-04-01 ~ 2025-03-31
Property, Plant & Equipment - Increase From Depreciation Charge for Year
11,234 GBP2024-04-01 ~ 2025-03-31
Property, Plant & Equipment
Land and buildings
2,175,414 GBP2025-03-31
1,620,000 GBP2024-03-31
Plant and equipment
764 GBP2025-03-31
4,189 GBP2024-03-31
Vehicles
23,426 GBP2025-03-31
Other Debtors
295,741 GBP2025-03-31
143,516 GBP2024-03-30
Bank Overdrafts
Amounts falling due within one year
87,911 GBP2025-03-31
82,348 GBP2024-03-30
Finance Lease Liabilities - Total Present Value
Amounts falling due within one year
3,354 GBP2025-03-31
Trade Creditors/Trade Payables
Amounts falling due within one year
1,517 GBP2025-03-31
185 GBP2024-03-30
Other Creditors
Amounts falling due within one year
16,473 GBP2025-03-31
25,190 GBP2024-03-30
Bank Borrowings
Amounts falling due after one year
1,430,034 GBP2025-03-31
1,422,002 GBP2024-03-30
Finance Lease Liabilities - Total Present Value
Amounts falling due after one year
17,425 GBP2025-03-31
Other Creditors
Amounts falling due after one year
483,338 GBP2025-03-31
466,338 GBP2024-03-30
Equity
Revaluation reserve
568,980 GBP2025-03-31
568,980 GBP2024-03-31
568,980 GBP2024-03-30
568,980 GBP2023-03-31
MULBERRY R E LTD.
InfoCHRAMA LIMITED - 2016-01-28
DOMAIN HOMES LIMITED - 2016-01-28
CHRAMA LTD - 2016-01-28
LIQUID PUB COMPANY LIMITED - 2016-01-28
Registered number 04005979Cambridge House, 32 Padwell Road, Southampton SO14 6QZ
PRIVATE LIMITED COMPANY incorporated on 2000-06-01 (25 years 11 months). The status of the company number is Active.
The last date of confirmation statement was made at 2025-05-31
CIF 0MULBERRY R E LTD.
SRegistered number 04005979
Cambridge House, 32 Padwell Road, Southampton, Hampshire, United Kingdom, SO14 6QZ
Limited Company in Companies House, England And Wales
CIF 1 MULBERRY R E LTD.
SRegistered number 04005979
C/o Hjs Chartered Accountants, 12-14 Carlton Place, Southampton, Hampshire, England, SO15 2EA
Limited in England And Wales
CIF 2