Fixed Assets - Investments
861,744 GBP2021-06-30
861,744 GBP2020-06-30
Debtors
3,638,228 GBP2021-06-30
1,645,789 GBP2020-06-30
Cash at bank and in hand
1,996,942 GBP2021-06-30
3,006,091 GBP2020-06-30
Current Assets
5,635,170 GBP2021-06-30
4,651,880 GBP2020-06-30
Net Assets/Liabilities
1,526,876 GBP2021-06-30
911,673 GBP2020-06-30
Equity
Called up share capital
4,069 GBP2021-06-30
4,069 GBP2020-06-30
Share premium
855,816 GBP2021-06-30
855,816 GBP2020-06-30
855,816 GBP2019-06-30
Profit/Loss
1,415,203 GBP2020-07-01 ~ 2021-06-30
726,879 GBP2019-07-01 ~ 2020-06-30
Equity
1,526,876 GBP2021-06-30
Cash and Cash Equivalents
1,996,942 GBP2021-06-30
3,006,091 GBP2020-06-30
3,064,530 GBP2019-06-30
Average Number of Employees
12020-07-01 ~ 2021-06-30
12019-07-01 ~ 2020-06-30
Wages/Salaries
0 GBP2020-07-01 ~ 2021-06-30
0 GBP2019-07-01 ~ 2020-06-30
Social Security Costs
0 GBP2020-07-01 ~ 2021-06-30
0 GBP2019-07-01 ~ 2020-06-30
Pension & Other Post-employment Benefit Costs/Other Pension Costs
0 GBP2020-07-01 ~ 2021-06-30
0 GBP2019-07-01 ~ 2020-06-30
Staff Costs/Employee Benefits Expense
0 GBP2020-07-01 ~ 2021-06-30
0 GBP2019-07-01 ~ 2020-06-30
Investments in Subsidiaries
861,744 GBP2021-06-30
861,744 GBP2020-06-30
Amounts invested in assets
861,744 GBP2021-06-30
861,744 GBP2020-06-30
Trade Debtors/Trade Receivables
0 GBP2021-06-30
0 GBP2020-06-30
Amount of corporation tax that is recoverable
0 GBP2021-06-30
0 GBP2020-06-30
Other Debtors
Current
925,478 GBP2021-06-30
356,020 GBP2020-06-30
Prepayments/Accrued Income
Current
0 GBP2021-06-30
0 GBP2020-06-30
Bank Borrowings/Overdrafts
Current
1,000,000 GBP2021-06-30
0 GBP2020-06-30
Other Remaining Borrowings
Current
0 GBP2021-06-30
0 GBP2020-06-30
Trade Creditors/Trade Payables
Current
241 GBP2021-06-30
0 GBP2020-06-30
Amounts owed to group undertakings
Current
3,274,258 GBP2021-06-30
4,060,248 GBP2020-06-30
Corporation Tax Payable
Current
0 GBP2021-06-30
0 GBP2020-06-30
Other Creditors
Current
0 GBP2021-06-30
223 GBP2020-06-30
Accrued Liabilities/Deferred Income
Current
17,940 GBP2021-06-30
13,440 GBP2020-06-30
Creditors
Current
4,834,321 GBP2021-06-30
4,601,951 GBP2020-06-30
Bank Borrowings/Overdrafts
Non-current
135,717 GBP2021-06-30
0 GBP2020-06-30
Other Remaining Borrowings
Non-current
0 GBP2021-06-30
0 GBP2020-06-30
Bank Borrowings
1,135,717 GBP2021-06-30
0 GBP2020-06-30
RGB GROUP SHREWSBURY LIMITED
InfoRGB GROUP LIMITED - 2013-12-23
Registered number 08704261
6th Floor 2 London Wall Place, London EC2Y 5AU
Private Limited Company incorporated on 2013-09-24 (11 years 9 months). The company status is Liquidation.
The last date of confirmation statement was made at 2022-04-26
CIF 0RGB GROUP SHREWSBURY LIMITED
SRegistered number missing

1, Brassey Road, Shrewsbury, England, SY3 7FA
Limited Company
CIF 1 RGB GROUP SHREWSBURY LIMITED
SRegistered number missing

Bank House, 66 High Street, Dawley, Telford, England, TF4 2HD
Limited Company
CIF 2 CIF 3 RGB GROUP SHREWSBURY LTD
SRegistered number missing

Bank House, 66 High Street, Dawley, Telford, England, TF4 2HD
Limited Company
CIF 4 RGB GROUP SHREWSBURY LTD
SRegistered number 08704261

292, Monkmoor Construction Village, Monkmoor Road, Shrewsbury, England, SY2 5TF
Limited Company in Registrar Of Companies For England & Wales, England
CIF 5 RGB GROUP SHREWSBURY LTD
SRegistered number 08704261

Bank House, 66 High Street, Dawley, Telford, England, TF4 2HD
Limited Company in England & Wales, England
CIF 6 RGB GROUP SHREWSBURY LTD
SRegistered number 08704261

Unit 3 Monkmoor Construction Village, 292 Monkmoor Road, Shrewsbury, Shropshire, United Kingdom, SY2 5TF
Limited Company in England & Wales, England
CIF 7