Intangible Assets
321,182 GBP2025-03-31
321,182 GBP2024-03-31
Property, Plant & Equipment
6,373 GBP2025-03-31
11,650 GBP2024-03-31
Fixed Assets
327,555 GBP2025-03-31
332,832 GBP2024-03-31
Total Inventories
30,000 GBP2024-03-31
Debtors
240,658 GBP2025-03-31
335,548 GBP2024-03-31
Cash at bank and in hand
59,072 GBP2025-03-31
73,200 GBP2024-03-31
Current Assets
299,730 GBP2025-03-31
438,748 GBP2024-03-31
Net Current Assets/Liabilities
-34,413 GBP2025-03-31
107,559 GBP2024-03-31
Total Assets Less Current Liabilities
293,142 GBP2025-03-31
440,391 GBP2024-03-31
Creditors
Non-current
-111,537 GBP2025-03-31
-193,171 GBP2024-03-31
Net Assets/Liabilities
181,605 GBP2025-03-31
247,220 GBP2024-03-31
Equity
Called up share capital
100 GBP2025-03-31
100 GBP2024-03-31
Retained earnings (accumulated losses)
181,505 GBP2025-03-31
247,120 GBP2024-03-31
Equity
181,605 GBP2025-03-31
247,220 GBP2024-03-31
Average Number of Employees
72024-04-01 ~ 2025-03-31
72023-04-01 ~ 2024-03-31
Intangible Assets - Gross Cost
Net goodwill
747,224 GBP2024-03-31
Intangible Assets - Accumulated Amortisation & Impairment
Net goodwill
426,042 GBP2024-03-31
Intangible Assets
Net goodwill
321,182 GBP2025-03-31
321,182 GBP2024-03-31
Property, Plant & Equipment - Gross Cost
Plant and equipment
26,725 GBP2024-03-31
Property, Plant & Equipment - Accumulated Depreciation & Impairment
Plant and equipment
20,352 GBP2025-03-31
15,075 GBP2024-03-31
Property, Plant & Equipment - Increase From Depreciation Charge for Year
Plant and equipment
5,277 GBP2024-04-01 ~ 2025-03-31
Property, Plant & Equipment
Plant and equipment
6,373 GBP2025-03-31
11,650 GBP2024-03-31
Trade Debtors/Trade Receivables
Amounts falling due within one year, Current
204,749 GBP2025-03-31
Current, Amounts falling due within one year
308,500 GBP2024-03-31
Other Debtors
Amounts falling due within one year, Current
35,909 GBP2025-03-31
Current, Amounts falling due within one year
27,048 GBP2024-03-31
Debtors
Amounts falling due within one year, Current
240,658 GBP2025-03-31
Current, Amounts falling due within one year
335,548 GBP2024-03-31
Bank Borrowings/Overdrafts
Current
81,633 GBP2025-03-31
92,633 GBP2024-03-31
Trade Creditors/Trade Payables
Current
39,450 GBP2025-03-31
34,796 GBP2024-03-31
Other Taxation & Social Security Payable
Current
199,272 GBP2025-03-31
203,760 GBP2024-03-31
Other Creditors
Current
13,788 GBP2025-03-31
Bank Borrowings/Overdrafts
Non-current
111,537 GBP2025-03-31
193,171 GBP2024-03-31
CITYCAS LIMITED
InfoCITYCA'S LIMITED - 2000-12-20
ARIANNE COMMUNICATIONS LTD - 2000-12-20
Registered number 04087418540 Linen Hall 162-168 Regent Street, Piccadilly, London W1B 5TF
PRIVATE LIMITED COMPANY incorporated on 2000-10-10 (25 years 7 months). The status of the company number is Active.
The last date of confirmation statement was made at 2025-10-04
CIF 0CITYCAS LIMITED
SRegistered number 04087418
540, Linen Hall 162-168 Regent Street, London, Great Britain, W1B 5TF
REGISTERED OFFICE
CIF 1 CITYCAS SECRETARIES LIMITED
SRegistered number 04087418
540, Linen Hall, 162-168 Regent Street, London, United Kingdom, W1B 5TF
CITY, CHARTERED ACCOUNTANTS
CIF 2 CITY CAS SECRETARIES LIMITED
SRegistered number 04087418
Suite 540, 5th Floor Linen Hall, 162-168 Regent Street, London, United Kingdom, W1B 5TF
C/O CITYCAS LTD
CIF 3 CITY CAS SECRETARIES LIMITED
SRegistered number 04087418
Suite 540, 5th Floor Linen Hall, 162-168 Regent Street, London, United Kingdom, W1B 5TF
CITYCAS LTD
CIF 4 UNITED KINGDOM
CIF 5 CITY CAS SECRETARIES LIMITED
SRegistered number 04087418
Suite 540, 5th Floor Linen Hall, 162-168 Regent Street, London, W1B 5TF
CITYCAS LTD
CIF 6