Property, Plant & Equipment
12,277 GBP2020-12-30
15,082 GBP2019-12-30
Total Inventories
4,248 GBP2020-12-30
6,522 GBP2019-12-30
Debtors
229,192 GBP2020-12-30
199,280 GBP2019-12-30
Cash at bank and in hand
41,878 GBP2020-12-30
10,481 GBP2019-12-30
Current Assets
275,318 GBP2020-12-30
216,283 GBP2019-12-30
Creditors
Current, Amounts falling due within one year
-239,120 GBP2020-12-30
-204,570 GBP2019-12-30
Net Current Assets/Liabilities
36,198 GBP2020-12-30
11,713 GBP2019-12-30
Total Assets Less Current Liabilities
48,475 GBP2020-12-30
26,795 GBP2019-12-30
Creditors
Non-current, Amounts falling due after one year
-51,826 GBP2020-12-30
-17,159 GBP2019-12-30
Net Assets/Liabilities
-5,090 GBP2020-12-30
7,774 GBP2019-12-30
Equity
Called up share capital
920 GBP2020-12-30
920 GBP2019-12-30
Capital redemption reserve
80 GBP2020-12-30
80 GBP2019-12-30
Retained earnings (accumulated losses)
-6,090 GBP2020-12-30
6,774 GBP2019-12-30
Equity
-5,090 GBP2020-12-30
7,774 GBP2019-12-30
Average Number of Employees
142019-12-31 ~ 2020-12-30
192018-12-31 ~ 2019-12-30
Property, Plant & Equipment - Gross Cost
Land and buildings
59,845 GBP2020-12-30
59,845 GBP2019-12-30
Other
56,036 GBP2020-12-30
53,629 GBP2019-12-30
Property, Plant & Equipment - Gross Cost
115,881 GBP2020-12-30
113,474 GBP2019-12-30
Property, Plant & Equipment - Accumulated Depreciation & Impairment
Land and buildings
56,728 GBP2020-12-30
54,570 GBP2019-12-30
Other
46,876 GBP2020-12-30
43,822 GBP2019-12-30
Property, Plant & Equipment - Accumulated Depreciation & Impairment
103,604 GBP2020-12-30
98,392 GBP2019-12-30
Property, Plant & Equipment - Increase From Depreciation Charge for Year
Land and buildings
2,158 GBP2019-12-31 ~ 2020-12-30
Other
3,054 GBP2019-12-31 ~ 2020-12-30
Property, Plant & Equipment - Increase From Depreciation Charge for Year
5,212 GBP2019-12-31 ~ 2020-12-30
Property, Plant & Equipment
Land and buildings
3,117 GBP2020-12-30
5,275 GBP2019-12-30
Other
9,160 GBP2020-12-30
9,807 GBP2019-12-30
Trade Debtors/Trade Receivables
Current
4,628 GBP2020-12-30
14,931 GBP2019-12-30
Other Debtors
Amounts falling due within one year
224,564 GBP2020-12-30
184,349 GBP2019-12-30
Debtors
Current, Amounts falling due within one year
229,192 GBP2020-12-30
199,280 GBP2019-12-30
Trade Creditors/Trade Payables
Current
29,107 GBP2020-12-30
26,920 GBP2019-12-30
Corporation Tax Payable
Current
18,119 GBP2020-12-30
18,119 GBP2019-12-30
Other Taxation & Social Security Payable
Current
64,057 GBP2020-12-30
33,841 GBP2019-12-30
Other Creditors
Current
127,837 GBP2020-12-30
125,690 GBP2019-12-30
Creditors
Current
239,120 GBP2020-12-30
204,570 GBP2019-12-30
Other Creditors
Non-current
51,826 GBP2020-12-30
17,159 GBP2019-12-30
GRAFFITI SPIRITS LTD
InfoRegistered number 06997665
7 Smithford Walk, Liverpool L35 1SF
Private Limited Company incorporated on 2009-08-21 (15 years 10 months). The company status is Liquidation.
The last date of confirmation statement was made at 2022-08-21
CIF 0GRAFFITI SPIRITS LTD
SRegistered number 06997665

James House, Yew Tree Way, Golborne, Warrington, England, WA3 3JD
Limited Company in Companies House, England
CIF 1 GRAFFITI SPIRITS LIMITED
SRegistered number 06997665

79, Seel Street, Liverpool, Merseyside, United Kingdom, L1 4BB
Limited By Shares in Companies House, England & Wales
CIF 2 GRAFFITI SPIRITS LIMITED
SRegistered number 06997665

79, Seel Street, Liverpool, United Kingdom
Limited Company in Companies House, England & Wales
CIF 3 GRAFFITI SPIRITS LIMITED
SRegistered number 06997665

James House, Yew Tree Way, Warrington, United Kingdom
Limited Company in Companies House, England & Wales
CIF 4