Average Number of Employees
02023-09-01 ~ 2024-08-31
02022-09-01 ~ 2023-08-31
Property, Plant & Equipment
1,176 GBP2024-08-31
774 GBP2023-08-31
Investment Property
1,952,500 GBP2024-08-31
1,831,047 GBP2023-08-31
Fixed Assets
1,953,676 GBP2024-08-31
1,831,821 GBP2023-08-31
Debtors
171,523 GBP2024-08-31
60,236 GBP2023-08-31
Current assets - Investments
6,200 GBP2024-08-31
6,200 GBP2023-08-31
Cash at bank and in hand
5,102 GBP2024-08-31
2,299 GBP2023-08-31
Current Assets
182,825 GBP2024-08-31
68,735 GBP2023-08-31
Net Current Assets/Liabilities
-83,690 GBP2024-08-31
-283,994 GBP2023-08-31
Total Assets Less Current Liabilities
1,869,986 GBP2024-08-31
1,547,827 GBP2023-08-31
Net Assets/Liabilities
503,106 GBP2024-08-31
411,056 GBP2023-08-31
Equity
Called up share capital
100 GBP2024-08-31
100 GBP2023-08-31
Retained earnings (accumulated losses)
-41,373 GBP2024-08-31
-35,046 GBP2023-08-31
Equity
503,106 GBP2024-08-31
411,056 GBP2023-08-31
Property, Plant & Equipment - Gross Cost
Computers
3,257 GBP2024-08-31
1,955 GBP2023-08-31
Property, Plant & Equipment - Accumulated Depreciation & Impairment
Computers
2,081 GBP2024-08-31
1,181 GBP2023-08-31
Property, Plant & Equipment - Increase From Depreciation Charge for Year
Computers
900 GBP2023-09-01 ~ 2024-08-31
Property, Plant & Equipment
Computers
1,176 GBP2024-08-31
774 GBP2023-08-31
Investment Property - Fair Value Model
1,952,500 GBP2024-08-31
1,831,047 GBP2023-08-31
Trade Debtors/Trade Receivables
Current
239 GBP2024-08-31
Other Debtors
Current
171,284 GBP2024-08-31
60,236 GBP2023-08-31
Debtors
Current, Amounts falling due within one year
171,523 GBP2024-08-31
Amounts falling due within one year, Current
60,236 GBP2023-08-31
Bank Borrowings/Overdrafts
Current
5,645 GBP2024-08-31
5,545 GBP2023-08-31
Other Remaining Borrowings
Current
7,211 GBP2024-08-31
80,688 GBP2023-08-31
Trade Creditors/Trade Payables
Current
12,943 GBP2024-08-31
1,242 GBP2023-08-31
Other Creditors
Current
149,919 GBP2024-08-31
236,919 GBP2023-08-31
Accrued Liabilities
Current
2,029 GBP2024-08-31
1,824 GBP2023-08-31
Bank Borrowings/Overdrafts
Non-current
33,404 GBP2024-08-31
38,086 GBP2023-08-31
Other Remaining Borrowings
Non-current
1,205,782 GBP2024-08-31
994,067 GBP2023-08-31
Bank Borrowings
Current, Amounts falling due within one year
5,645 GBP2024-08-31
Total Borrowings
Current, Amounts falling due within one year
12,856 GBP2024-08-31
Bank Borrowings
Non-current, Between one and two years
5,788 GBP2024-08-31
5,685 GBP2023-08-31
Non-current, Between two and five year
18,258 GBP2024-08-31
17,933 GBP2023-08-31
Total Borrowings
Secured
1,394,366 GBP2024-08-31
1,346,502 GBP2023-08-31
Profit/Loss
Retained earnings (accumulated losses)
92,050 GBP2023-09-01 ~ 2024-08-31
Profit/Loss
92,050 GBP2023-09-01 ~ 2024-08-31
RINDE GROUP PROPERTY LTD.
InfoRINDE GROUP PROPERTIES LTD - 2019-02-22
69 MERCHANT STREET MANAGEMENT LIMITED - 2019-02-22
Registered number 108942511 Regent Street, Coventry CV1 3EP
PRIVATE LIMITED COMPANY incorporated on 2017-08-01 (8 years 9 months). The status of the company number is Active.
The last date of confirmation statement was made at 2025-07-31
CIF 0RINDE GROUP PROPERTY LIMITED
SRegistered number 10894251
The Regent Centre, 1 Regent Street, Coventry, England, CV1 3EP
CIF 1 RINDE GROUP PROPERTY LIMITED
SRegistered number 10894251
30, Yoden Way, Peterlee, England, SR8 1AL
Private Company Limited By Shares in Uk Register Of Companies, United Kingdom
CIF 2