64929 - Other Credit Granting N.e.c.
Intangible Assets
445,480 GBP2025-02-28
556,850 GBP2024-02-29
Property, Plant & Equipment
741 GBP2025-02-28
Fixed Assets
446,221 GBP2025-02-28
556,850 GBP2024-02-29
Debtors
3,544 GBP2025-02-28
Cash at bank and in hand
4,427 GBP2025-02-28
20,601 GBP2024-02-29
Current Assets
7,971 GBP2025-02-28
20,601 GBP2024-02-29
Net Current Assets/Liabilities
-429,973 GBP2025-02-28
-507,319 GBP2024-02-29
Total Assets Less Current Liabilities
16,248 GBP2025-02-28
49,531 GBP2024-02-29
Net Assets/Liabilities
-15,598 GBP2025-02-28
-76,578 GBP2024-02-29
Intangible Assets - Gross Cost
Other than goodwill
556,850 GBP2025-02-28
556,850 GBP2024-02-29
Intangible Assets - Increase From Amortisation Charge for Year
Other than goodwill
111,370 GBP2024-03-01 ~ 2025-02-28
Intangible Assets - Accumulated Amortisation & Impairment
Other than goodwill
111,370 GBP2025-02-28
Intangible Assets
Other than goodwill
445,480 GBP2025-02-28
556,850 GBP2024-02-29
Property, Plant & Equipment - Gross Cost
Computers
790 GBP2025-02-28
Property, Plant & Equipment - Increase From Depreciation Charge for Year
Computers
49 GBP2024-03-01 ~ 2025-02-28
Property, Plant & Equipment - Accumulated Depreciation & Impairment
Computers
49 GBP2025-02-28
Property, Plant & Equipment
Computers
741 GBP2025-02-28
Amount of value-added tax that is recoverable
Amounts falling due within one year
3,044 GBP2025-02-28
Debtors
Amounts falling due within one year
3,544 GBP2025-02-28
Bank Borrowings/Overdrafts
Amounts falling due within one year
6,948 GBP2025-02-28
Amount of value-added tax that is payable
Amounts falling due within one year
17,006 GBP2024-02-29
Trade Creditors/Trade Payables
Amounts falling due within one year
3,240 GBP2025-02-28
2,398 GBP2024-02-29
Amounts owed to group undertakings and participating interests
Amounts falling due within one year
5,200 GBP2025-02-28
-3,100 GBP2024-02-29
Taxation/Social Security Payable
Amounts falling due within one year
8,588 GBP2025-02-28
8,588 GBP2024-02-29
Loans received from directors
Amounts falling due within one year
412,213 GBP2025-02-28
502,729 GBP2024-02-29
Accrued Liabilities
Amounts falling due within one year
1,755 GBP2025-02-28
299 GBP2024-02-29
Bank Borrowings
Amounts falling due after one year
31,846 GBP2025-02-28
41,690 GBP2024-02-29
Other Creditors
Amounts falling due after one year
84,419 GBP2024-02-29
Number of shares allotted
Class 1 ordinary share
1,000 shares2024-03-01 ~ 2025-02-28
Par Value of Share
Class 1 ordinary share
1 GBP2024-03-01 ~ 2025-02-28
Nominal value of allotted share capital
Class 1 ordinary share
1,000 GBP2024-03-01 ~ 2025-02-28
1,000 GBP2023-03-01 ~ 2024-02-29
Average Number of Employees
02024-03-01 ~ 2025-02-28
02023-03-01 ~ 2024-02-29
CREATIVE FINANCE CORP LTD
Info09463062 LTD - 2016-10-25
Registered number 0946306220-22 Wenlock Road, London N1 7GU
PRIVATE LIMITED COMPANY incorporated on 2015-02-27 (11 years 2 months). The status of the company number is Active.
The last date of confirmation statement was made at 2025-06-26
CIF 0CREATIVE FINANCE CORP LTD
SRegistered number 09463062
1 Parkshot, Richmond, Surrey, England, TW9 2RD
Limited Company in Companies House, England
CIF 1 CREATIVE FINANCE CORP LIMITED
SRegistered number 09463062
80, Crown Road, St Margarets, United Kingdom, TW1 3ER
Limited in Companies House, United Kingdom
CIF 2