Intangible Assets
414,407 GBP2023-07-31
411,151 GBP2022-07-31
Property, Plant & Equipment
6,523 GBP2023-07-31
9,538 GBP2022-07-31
Fixed Assets
420,930 GBP2023-07-31
420,689 GBP2022-07-31
Total Inventories
58,771 GBP2023-07-31
59,955 GBP2022-07-31
Debtors
68,279 GBP2023-07-31
56,862 GBP2022-07-31
Cash at bank and in hand
3,948 GBP2023-07-31
7,576 GBP2022-07-31
Current Assets
130,998 GBP2023-07-31
124,393 GBP2022-07-31
Creditors
Current
205,311 GBP2023-07-31
205,349 GBP2022-07-31
Net Current Assets/Liabilities
-74,313 GBP2023-07-31
-80,956 GBP2022-07-31
Total Assets Less Current Liabilities
346,617 GBP2023-07-31
339,733 GBP2022-07-31
Creditors
Non-current
18,333 GBP2023-07-31
28,333 GBP2022-07-31
Net Assets/Liabilities
328,284 GBP2023-07-31
311,400 GBP2022-07-31
Equity
Called up share capital
101 GBP2023-07-31
101 GBP2022-07-31
Retained earnings (accumulated losses)
328,183 GBP2023-07-31
311,299 GBP2022-07-31
Equity
328,284 GBP2023-07-31
311,400 GBP2022-07-31
Average Number of Employees
52022-08-01 ~ 2023-07-31
42021-08-01 ~ 2022-07-31
Intangible Assets - Gross Cost
Net goodwill
414,407 GBP2023-07-31
411,151 GBP2022-07-31
Intangible Assets
Net goodwill
414,407 GBP2023-07-31
411,151 GBP2022-07-31
Property, Plant & Equipment - Gross Cost
Plant and equipment
43,681 GBP2023-07-31
46,760 GBP2022-07-31
Property, Plant & Equipment - Disposals
Plant and equipment
-5,227 GBP2022-08-01 ~ 2023-07-31
Property, Plant & Equipment - Accumulated Depreciation & Impairment
Plant and equipment
37,158 GBP2023-07-31
37,222 GBP2022-07-31
Property, Plant & Equipment - Increase From Depreciation Charge for Year
Plant and equipment
5,163 GBP2022-08-01 ~ 2023-07-31
Property, Plant & Equipment - Decrease in depreciation and impairment related to disposals
Plant and equipment
-5,227 GBP2022-08-01 ~ 2023-07-31
Property, Plant & Equipment
Plant and equipment
6,523 GBP2023-07-31
9,538 GBP2022-07-31
Trade Debtors/Trade Receivables
Current, Amounts falling due within one year
43,640 GBP2023-07-31
34,201 GBP2022-07-31
Other Debtors
Current, Amounts falling due within one year
24,639 GBP2023-07-31
22,661 GBP2022-07-31
Debtors
Current, Amounts falling due within one year
68,279 GBP2023-07-31
56,862 GBP2022-07-31
Bank Borrowings/Overdrafts
Current
10,000 GBP2023-07-31
10,000 GBP2022-07-31
Trade Creditors/Trade Payables
Current
11,614 GBP2023-07-31
12,995 GBP2022-07-31
Other Taxation & Social Security Payable
Current
35,516 GBP2023-07-31
29,528 GBP2022-07-31
Other Creditors
Current
148,181 GBP2023-07-31
152,826 GBP2022-07-31
Bank Borrowings/Overdrafts
Non-current
18,333 GBP2023-07-31
28,333 GBP2022-07-31
HARDCASTLE BURTON (NEWMARKET) LIMITED
InfoRegistered number 07317831
3b Rosemary House Lanwades Business Park, Kennett, Newmarket CB8 7PN
Private Limited Company incorporated on 2010-07-16 (14 years 11 months). The company status is Active.
The last date of confirmation statement was made at 2024-07-16
CIF 0HARDCASTLE BURTON (NEWMARKET) LIMITED
SRegistered number 07317831

3b, Lanwades Business Park, Kennett, Kentford, Newmarket, England, CB8 7PN
CIF 1 CIF 2 HARDCASTLE BURTON (NEWMARKET) LIMITED
SRegistered number 7317831

90, High Street, Newmarket, Suffolk, England, CB8 8FE
CIF 3 HARDCASTLE BURTON (NEWMARKET) LIMITED
SRegistered number 07317831

90, High Street, Newmarket, Suffolk, England, CB8 8FE
CIF 4 HARDCASTLE BURTON (NEWMARKET) LTD
SRegistered number 0731831

90, High Street, Newmarket, Suffolk, England, CB8 8FE
CIF 5 HARDCASTLE BURTON (NEWMARKET) LTD
SRegistered number 07317831

90, High Street, Newmarket, Suffolk, England, CB8 8FE
CIF 6 CIF 7 CIF 8