Property, Plant & Equipment
12,514 GBP2023-06-30
15,479 GBP2022-06-30
Investment Property
5,050,000 GBP2023-06-30
5,050,000 GBP2022-06-30
Fixed Assets - Investments
290,419 GBP2023-06-30
290,419 GBP2022-06-30
Fixed Assets
5,352,933 GBP2023-06-30
5,355,898 GBP2022-06-30
Debtors
1,839,721 GBP2023-06-30
3,850,012 GBP2022-06-30
Current assets - Investments
274,464 GBP2023-06-30
255,275 GBP2022-06-30
Cash at bank and in hand
528,384 GBP2023-06-30
698,472 GBP2022-06-30
Current Assets
2,642,569 GBP2023-06-30
4,803,759 GBP2022-06-30
Creditors
Current, Amounts falling due within one year
-2,833,167 GBP2023-06-30
-4,446,077 GBP2022-06-30
Net Current Assets/Liabilities
-190,598 GBP2023-06-30
357,682 GBP2022-06-30
Total Assets Less Current Liabilities
5,162,335 GBP2023-06-30
5,713,580 GBP2022-06-30
Creditors
Non-current, Amounts falling due after one year
-298,245 GBP2023-06-30
-1,048,245 GBP2022-06-30
Net Assets/Liabilities
4,525,956 GBP2023-06-30
4,331,998 GBP2022-06-30
Equity
Called up share capital
100 GBP2023-06-30
100 GBP2022-06-30
Other miscellaneous reserve
2,021,162 GBP2023-06-30
2,005,038 GBP2022-06-30
Retained earnings (accumulated losses)
2,504,694 GBP2023-06-30
2,326,860 GBP2022-06-30
Equity
4,525,956 GBP2023-06-30
4,331,998 GBP2022-06-30
Average Number of Employees
22022-07-01 ~ 2023-06-30
22021-07-01 ~ 2022-06-30
Property, Plant & Equipment - Gross Cost
Other
124,388 GBP2023-06-30
123,464 GBP2022-06-30
Property, Plant & Equipment - Accumulated Depreciation & Impairment
Other
111,874 GBP2023-06-30
107,985 GBP2022-06-30
Property, Plant & Equipment - Increase From Depreciation Charge for Year
Other
3,889 GBP2022-07-01 ~ 2023-06-30
Property, Plant & Equipment
Other
12,514 GBP2023-06-30
15,479 GBP2022-06-30
Investment Property - Fair Value Model
5,050,000 GBP2022-06-30
Investments in group undertakings and participating interests
290,419 GBP2023-06-30
290,419 GBP2022-06-30
Trade Debtors/Trade Receivables
Current
6,930 GBP2023-06-30
8,277 GBP2022-06-30
Amounts Owed By Related Parties
539,204 GBP2023-06-30
Current
2,546,976 GBP2022-06-30
Other Debtors
Amounts falling due within one year
1,293,587 GBP2023-06-30
1,294,759 GBP2022-06-30
Debtors
Current, Amounts falling due within one year
1,839,721 GBP2023-06-30
3,850,012 GBP2022-06-30
Trade Creditors/Trade Payables
Current
2,243 GBP2023-06-30
0 GBP2022-06-30
Other Taxation & Social Security Payable
Current
100,280 GBP2023-06-30
94,769 GBP2022-06-30
Other Creditors
Current
2,730,644 GBP2023-06-30
4,351,308 GBP2022-06-30
Creditors
Current
2,833,167 GBP2023-06-30
4,446,077 GBP2022-06-30
Bank Borrowings/Overdrafts
Non-current
0 GBP2023-06-30
750,000 GBP2022-06-30
Other Creditors
Non-current
298,245 GBP2023-06-30
298,245 GBP2022-06-30
Creditors
Non-current
298,245 GBP2023-06-30
1,048,245 GBP2022-06-30
KRT DEVELOPMENTS LIMITED
InfoINITIAL MARKETING LIMITED - 2006-06-15
Registered number 05739298
2 Leman Street, London E1W 9US
Private Limited Company incorporated on 2006-03-10 (19 years 4 months). The company status is Active.
The last date of confirmation statement was made at 2025-03-10
CIF 0KRT DEVELOPMENTS LIMITED
SRegistered number 05739298

58-60, Berners Street, London, United Kingdom, W1T 3JS
CIF 1 KRT DEVELOPMENTS LIMITED
SRegistered number 5739298

2, Leman Street, London, United Kingdom, E1W 9US
Limited By Shares in Companies House, England And Wales
CIF 2 KRT DEVELOPMENTS LIMITED
SRegistered number 05739298

30, City Road, London, England, EC1Y 2AB
Limited Company in Companies House, England
CIF 3 KRT DEVELOPMENTS LIMITED
SRegistered number 5739298

30, City Road, London, United Kingdom, EC1Y 2AB
Limited By Shares in Companies House, England And Wales
CIF 4