Par Value of Share
Class 2 ordinary share
12024-07-01 ~ 2025-06-30
Class 3 ordinary share
12024-07-01 ~ 2025-06-30
Class 4 ordinary share
12024-07-01 ~ 2025-06-30
Fixed Assets - Investments
268 GBP2025-06-30
275 GBP2024-06-30
Investment Property
1,414,933 GBP2025-06-30
1,414,933 GBP2024-06-30
Fixed Assets
1,415,201 GBP2025-06-30
1,415,208 GBP2024-06-30
Debtors
242,260 GBP2025-06-30
352,137 GBP2024-06-30
Cash at bank and in hand
2,581 GBP2025-06-30
4,857 GBP2024-06-30
Current Assets
244,841 GBP2025-06-30
356,994 GBP2024-06-30
Creditors
Current
405,770 GBP2025-06-30
144,036 GBP2024-06-30
Net Current Assets/Liabilities
-160,929 GBP2025-06-30
212,958 GBP2024-06-30
Total Assets Less Current Liabilities
1,254,272 GBP2025-06-30
1,628,166 GBP2024-06-30
Creditors
Non-current
413,723 GBP2025-06-30
769,635 GBP2024-06-30
Net Assets/Liabilities
840,549 GBP2025-06-30
858,531 GBP2024-06-30
Equity
Called up share capital
800 GBP2025-06-30
800 GBP2024-06-30
Retained earnings (accumulated losses)
839,749 GBP2025-06-30
857,731 GBP2024-06-30
Equity
840,549 GBP2025-06-30
858,531 GBP2024-06-30
Average Number of Employees
22024-07-01 ~ 2025-06-30
32023-07-01 ~ 2024-06-30
Investments in Group Undertakings
Cost valuation
268 GBP2025-06-30
275 GBP2024-06-30
Investments in Group Undertakings
268 GBP2025-06-30
275 GBP2024-06-30
Investment Property - Fair Value Model
1,414,933 GBP2024-06-30
Trade Debtors/Trade Receivables
Current
788 GBP2025-06-30
12,193 GBP2024-06-30
Amounts Owed by Group Undertakings
Current
16,087 GBP2025-06-30
107,044 GBP2024-06-30
Prepayments
Current
6,218 GBP2025-06-30
1,400 GBP2024-06-30
Debtors
Amounts falling due within one year, Current
23,093 GBP2025-06-30
Current, Amounts falling due within one year
120,637 GBP2024-06-30
Other Debtors
Non-current
219,167 GBP2025-06-30
231,500 GBP2024-06-30
Bank Borrowings/Overdrafts
Current
344,682 GBP2025-06-30
69,987 GBP2024-06-30
Trade Creditors/Trade Payables
Current
19,217 GBP2025-06-30
9,273 GBP2024-06-30
Amounts received in advance for goods or services to be provided in the future
7,610 GBP2025-06-30
7,735 GBP2024-06-30
Corporation Tax Payable
Current
4,554 GBP2025-06-30
1,071 GBP2024-06-30
Other Taxation & Social Security Payable
Current
50 GBP2025-06-30
Other Creditors
Current
3,191 GBP2025-06-30
3,175 GBP2024-06-30
Amounts owed to directors
6,866 GBP2025-06-30
12,160 GBP2024-06-30
Accrued Liabilities
Current
4,425 GBP2025-06-30
3,910 GBP2024-06-30
Other Remaining Borrowings
Non-current
413,723 GBP2025-06-30
769,635 GBP2024-06-30
More than five year, Non-current
120,000 GBP2025-06-30
135,000 GBP2024-06-30
Number of Shares Issued (Fully Paid)
Class 2 ordinary share
200 shares2025-06-30
Class 3 ordinary share
200 shares2025-06-30
Class 4 ordinary share
200 shares2025-06-30
Profit/Loss
Retained earnings (accumulated losses)
12,018 GBP2024-07-01 ~ 2025-06-30
Dividends Paid
Retained earnings (accumulated losses)
-30,000 GBP2024-07-01 ~ 2025-06-30
CAMMISH & COMPANY LIMITED
InfoRegistered number 0577803518 North Bar Within, Beverley, East Yorkshire HU17 8AX
PRIVATE LIMITED COMPANY incorporated on 2006-04-11 (20 years 1 month). The status of the company number is Active.
The last date of confirmation statement was made at 2026-04-11
CIF 0CAMMISH & COMPANY LTD
SRegistered number 05778035
18, North Bar Within, Beverley, England, HU17 8AX
Limited Company in England & Wales, England
CIF 1 Limited Company in England & Wales, United Kingdom
CIF 2 Private Limited Company in England & Wales, England
CIF 3 CAMMISH & COMPANY LTD
SRegistered number 05778035
18, North Bar Within, Beverley, England, HU17 8AX
Private Limited Company in England & Wales, England
CIF 4 CAMMISH AND COMPANY LTD
SRegistered number 05778035
18, North Bar Within, Beverley, England, HU17 8AX
Private Limited Company in England & Wales, England
CIF 5