Intangible Assets
121,251 GBP2024-03-31
141,459 GBP2023-03-31
Property, Plant & Equipment
18,619 GBP2024-03-31
26,340 GBP2023-03-31
Fixed Assets
139,870 GBP2024-03-31
167,799 GBP2023-03-31
Debtors
285,013 GBP2024-03-31
278,891 GBP2023-03-31
Current assets - Investments
463,417 GBP2024-03-31
463,417 GBP2023-03-31
Cash at bank and in hand
628,350 GBP2024-03-31
439,047 GBP2023-03-31
Current Assets
1,376,780 GBP2024-03-31
1,181,355 GBP2023-03-31
Creditors
Current
146,582 GBP2024-03-31
98,612 GBP2023-03-31
Net Current Assets/Liabilities
1,230,198 GBP2024-03-31
1,082,743 GBP2023-03-31
Total Assets Less Current Liabilities
1,370,068 GBP2024-03-31
1,250,542 GBP2023-03-31
Net Assets/Liabilities
1,366,530 GBP2024-03-31
1,245,537 GBP2023-03-31
Equity
Called up share capital
104 GBP2024-03-31
104 GBP2023-03-31
Retained earnings (accumulated losses)
1,366,426 GBP2024-03-31
1,245,433 GBP2023-03-31
Equity
1,366,530 GBP2024-03-31
1,245,537 GBP2023-03-31
Average Number of Employees
22023-04-01 ~ 2024-03-31
22022-04-01 ~ 2023-03-31
Intangible Assets - Gross Cost
Net goodwill
404,165 GBP2023-03-31
Intangible Assets - Accumulated Amortisation & Impairment
Net goodwill
282,914 GBP2024-03-31
262,706 GBP2023-03-31
Intangible Assets - Increase From Amortisation Charge for Year
Net goodwill
20,208 GBP2023-04-01 ~ 2024-03-31
Intangible Assets
Net goodwill
121,251 GBP2024-03-31
141,459 GBP2023-03-31
Property, Plant & Equipment - Gross Cost
Plant and equipment
70,594 GBP2024-03-31
68,438 GBP2023-03-31
Property, Plant & Equipment - Accumulated Depreciation & Impairment
Plant and equipment
51,975 GBP2024-03-31
42,098 GBP2023-03-31
Property, Plant & Equipment - Increase From Depreciation Charge for Year
Plant and equipment
9,877 GBP2023-04-01 ~ 2024-03-31
Property, Plant & Equipment
Plant and equipment
18,619 GBP2024-03-31
26,340 GBP2023-03-31
Trade Debtors/Trade Receivables
Current, Amounts falling due within one year
17,587 GBP2024-03-31
15,889 GBP2023-03-31
Other Debtors
Current, Amounts falling due within one year
267,426 GBP2024-03-31
263,002 GBP2023-03-31
Debtors
Current, Amounts falling due within one year
285,013 GBP2024-03-31
278,891 GBP2023-03-31
Trade Creditors/Trade Payables
Current
2,999 GBP2024-03-31
3,000 GBP2023-03-31
Other Taxation & Social Security Payable
Current
109,311 GBP2024-03-31
92,498 GBP2023-03-31
Other Creditors
Current
34,272 GBP2024-03-31
3,114 GBP2023-03-31
PRADHAN HEALTHCARE LTD
InfoRegistered number 07185224
1st Floor 264 Manchester Road, Warrington, Cheshire WA1 3RB
Private Limited Company incorporated on 2010-03-10 (15 years 3 months). The company status is Active.
The last date of confirmation statement was made at 2025-03-13
CIF 0PRADHAN HEALTHCARE LIMITED
SRegistered number 07185224

First Floor, 49 Peter Street, Manchester, United Kingdom, M2 3NG
CIF 1 PRADHAN HEALTHCARE LIMITED
SRegistered number 07185224

First Floor, 49 Peter Street, Manchester, United Kingdom, M2 3NG
Limited Company in Companies House, United Kingdom
CIF 2 PRADHAN HEALTHCARE LIMITED
SRegistered number 07185224

First Floor, Peter Street, Manchester, England, M2 3NG
Private Company Limited By Shares in Uk Register Of Companies, United Kingdom
CIF 3