Par Value of Share
Class 1 ordinary share
12024-05-30 ~ 2025-05-29
Property, Plant & Equipment
62,297 GBP2025-05-29
70,432 GBP2024-05-29
Fixed Assets - Investments
260,439 GBP2025-05-29
100 GBP2024-05-29
Fixed Assets
322,736 GBP2025-05-29
70,532 GBP2024-05-29
Debtors
1,511,803 GBP2025-05-29
888,564 GBP2024-05-29
Cash at bank and in hand
3,436,453 GBP2025-05-29
2,151,700 GBP2024-05-29
Current Assets
4,948,256 GBP2025-05-29
3,040,264 GBP2024-05-29
Creditors
Current
347,423 GBP2025-05-29
146,407 GBP2024-05-29
Net Current Assets/Liabilities
4,600,833 GBP2025-05-29
2,893,857 GBP2024-05-29
Total Assets Less Current Liabilities
4,923,569 GBP2025-05-29
2,964,389 GBP2024-05-29
Net Assets/Liabilities
4,903,358 GBP2025-05-29
2,946,781 GBP2024-05-29
Equity
Called up share capital
100 GBP2025-05-29
1 GBP2024-05-29
Retained earnings (accumulated losses)
4,903,258 GBP2025-05-29
2,946,780 GBP2024-05-29
Equity
4,903,358 GBP2025-05-29
2,946,781 GBP2024-05-29
Average Number of Employees
32024-05-30 ~ 2025-05-29
32023-05-30 ~ 2024-05-29
Property, Plant & Equipment - Gross Cost
Plant and equipment
116,217 GBP2025-05-29
114,968 GBP2024-05-29
Property, Plant & Equipment - Accumulated Depreciation & Impairment
Plant and equipment
53,920 GBP2025-05-29
44,536 GBP2024-05-29
Property, Plant & Equipment - Increase From Depreciation Charge for Year
Plant and equipment
9,384 GBP2024-05-30 ~ 2025-05-29
Property, Plant & Equipment
Plant and equipment
62,297 GBP2025-05-29
70,432 GBP2024-05-29
Investments in Group Undertakings
Cost valuation
399 GBP2025-05-29
100 GBP2024-05-29
Additions to investments
299 GBP2025-05-29
Investments in Group Undertakings
399 GBP2025-05-29
100 GBP2024-05-29
Trade Debtors/Trade Receivables
Amounts falling due within one year, Current
213,801 GBP2025-05-29
10,855 GBP2024-05-29
Other Debtors
Amounts falling due within one year, Current
52,973 GBP2025-05-29
90,305 GBP2024-05-29
Debtors
Amounts falling due within one year, Current
266,774 GBP2025-05-29
101,160 GBP2024-05-29
Other Debtors
Non-current, Amounts falling due after one year
1,245,029 GBP2025-05-29
Amounts falling due after one year, Non-current
787,404 GBP2024-05-29
Bank Borrowings/Overdrafts
Current
104 GBP2024-05-29
Trade Creditors/Trade Payables
Current
4,200 GBP2025-05-29
21,223 GBP2024-05-29
Other Taxation & Social Security Payable
Current
228,866 GBP2025-05-29
76,444 GBP2024-05-29
Other Creditors
Current
114,357 GBP2025-05-29
48,636 GBP2024-05-29
Number of Shares Issued (Fully Paid)
Class 1 ordinary share
1 shares2025-05-29
ZOE SUGG LIMITED
InfoRegistered number 083996572nd Floor, National House, 60-66 Wardour Street, London W1F 0TA
PRIVATE LIMITED COMPANY incorporated on 2013-02-12 (13 years 3 months). The status of the company number is Active.
The last date of confirmation statement was made at 2026-02-07
CIF 0ZOE SUGG LIMITED
SRegistered number 08399657
2nd Floor, National House, 60-66 Wardour Street, London, United Kingdom, W1F 0TA
Gb-Eng in Gb-Eng
CIF 1 CIF 2 Limited By Shares in Companies House, England
CIF 3 ZOE SUGG LIMITED
SRegistered number 8399657
2nd Floor, National House, 60-66 Wardour Street, London, United Kingdom, W1F 0TA
Limited By Shares in Companies House, England
CIF 4 CIF 5 ZOE SUGG LTD
SRegistered number 08399657
2nd Floor, National House, 60-66 Wardour Street, London, United Kingdom, W1F 0TA
Gb-Eng in Gb-Eng, England
CIF 6 ZOE SUGG LTD
SRegistered number 08399657
48 Charlotte Street, Charlotte Street, London, England, W1T 2NS
Ltd in Companies House, England And Wales
CIF 7