Average Number of Employees
32023-10-01 ~ 2024-11-30
32022-10-01 ~ 2023-09-30
Property, Plant & Equipment
381 GBP2023-09-30
Fixed Assets
381 GBP2023-09-30
Debtors
Non-current
25,971 GBP2024-11-30
25,971 GBP2023-09-30
Current
698,150 GBP2024-11-30
136,510 GBP2023-09-30
Cash at bank and in hand
410,005 GBP2024-11-30
681,791 GBP2023-09-30
Current Assets
1,134,126 GBP2024-11-30
844,272 GBP2023-09-30
Creditors
Current, Amounts falling due within one year
-122,345 GBP2024-11-30
Net Current Assets/Liabilities
1,011,781 GBP2024-11-30
682,256 GBP2023-09-30
Total Assets Less Current Liabilities
1,011,781 GBP2024-11-30
682,637 GBP2023-09-30
Net Assets/Liabilities
1,011,781 GBP2024-11-30
682,637 GBP2023-09-30
Equity
Called up share capital
100 GBP2024-11-30
100 GBP2023-09-30
Share premium
499,949 GBP2023-09-30
Retained earnings (accumulated losses)
1,011,681 GBP2024-11-30
182,588 GBP2023-09-30
Equity
1,011,781 GBP2024-11-30
682,637 GBP2023-09-30
Property, Plant & Equipment - Depreciation rate used
Plant and equipment
252023-10-01 ~ 2024-11-30
Property, Plant & Equipment - Gross Cost
Plant and equipment
4,857 GBP2024-11-30
4,857 GBP2023-09-30
Property, Plant & Equipment - Accumulated Depreciation (Not Including Impairment)
Plant and equipment
4,476 GBP2023-09-30
Property, Plant & Equipment - Accumulated Depreciation & Impairment
Plant and equipment
4,857 GBP2024-11-30
Property, Plant & Equipment
Plant and equipment
381 GBP2023-09-30
Other Debtors
Non-current
25,971 GBP2024-11-30
25,971 GBP2023-09-30
Trade Debtors/Trade Receivables
Current
2,136 GBP2024-11-30
8,376 GBP2023-09-30
Other Debtors
Current
93,937 GBP2024-11-30
128,134 GBP2023-09-30
Prepayments/Accrued Income
Current
602,077 GBP2024-11-30
Cash and Cash Equivalents
410,005 GBP2024-11-30
681,791 GBP2023-09-30
Trade Creditors/Trade Payables
Current
2,651 GBP2024-11-30
1,460 GBP2023-09-30
Corporation Tax Payable
Current
82,253 GBP2023-09-30
Taxation/Social Security Payable
Current
64,383 GBP2024-11-30
62,714 GBP2023-09-30
Other Creditors
Current
38,193 GBP2024-11-30
2,721 GBP2023-09-30
Accrued Liabilities/Deferred Income
Current
17,118 GBP2024-11-30
12,868 GBP2023-09-30
Creditors
Current
122,345 GBP2024-11-30
162,016 GBP2023-09-30
INTHEATRE PRODUCTIONS LIMITED
Info4THWALL THEATRE PRODUCTIONS LIMITED - 2018-05-22
Registered number 11320260Unit 14 Archer Street Studios, 10-11 Archer Street, London W1D 7AZ
PRIVATE LIMITED COMPANY incorporated on 2018-04-20 (7 years 11 months). The status of the company number is Active.
The last date of confirmation statement was made at 2026-01-13
CIF 0INTHEATRE PRODUCTIONS LIMITED
SRegistered number 11320260
124, Finchley Road, London, England, NW3 5JS
Limited By Shares in Companies House, England
CIF 1 INTHEATRE PRODUCTIONS LIMITED
SRegistered number 11320260
124, Finchley Road, London, United Kingdom, NW3 5JS
Limited Company in Companies House, United Kingdom
CIF 2 INTHEATRE PRODUCTIONS LIMITED
SRegistered number 11320260
Unit 10, Archer Street Studios, 10 - 11 Archer Street, London, England, W1D 7AZ
Limited By Shares in Companies House, England And Wales
CIF 3 INTHEATRE PRODUCTIONS LIMITED
SRegistered number 11320260
Unit 10, Archer Street Studios, 10-11 Archer Street, London, England, England, W1D 7AZ
Limited By Shares in Companies House, England And Wales
CIF 4 INTHEATRE PRODUCTIONS LIMITED
SRegistered number 11320260
Unit 10, Archer Street Studios, 10-11 Archer Street, London, United Kingdom
Private Limited Company in Companies House, England & Wales
CIF 5 INTHEATRE PRODUCTIONS LIMITED
SRegistered number 11320260
Unit 10, Archer Street Studios, 10-11 Archer Street, London, United Kingdom, W1D 7AZ
Private Limited Company in Companies House, United Kingdom
CIF 6 CIF 7 INTHEATRE PRODUCTIONS LIMITED
SRegistered number 11320260
Unit 14, Archer Street Studios, 10-11 Archer Street, London, United Kingdom, W1D 7AZ
Private Limited Company in Companies House, United Kingdom
CIF 8