47110 - Retail Sale In Non-specialised Stores With Food, Beverages Or Tobacco Predominating
Intangible Assets
17,259 GBP2024-10-31
17,259 GBP2023-07-31
Property, Plant & Equipment
19,069 GBP2024-10-31
22,263 GBP2023-07-31
Fixed Assets
36,328 GBP2024-10-31
39,522 GBP2023-07-31
Total Inventories
190,000 GBP2024-10-31
215,000 GBP2023-07-31
Debtors
239,638 GBP2024-10-31
106,774 GBP2023-07-31
Cash at bank and in hand
15,874 GBP2024-10-31
72,810 GBP2023-07-31
Current Assets
445,512 GBP2024-10-31
394,584 GBP2023-07-31
Creditors
Current
254,248 GBP2024-10-31
153,007 GBP2023-07-31
Net Current Assets/Liabilities
191,264 GBP2024-10-31
241,577 GBP2023-07-31
Total Assets Less Current Liabilities
227,592 GBP2024-10-31
281,099 GBP2023-07-31
Creditors
Non-current
96,364 GBP2024-10-31
120,988 GBP2023-07-31
Net Assets/Liabilities
131,228 GBP2024-10-31
160,111 GBP2023-07-31
Equity
Called up share capital
100 GBP2024-10-31
100 GBP2023-07-31
Retained earnings (accumulated losses)
131,128 GBP2024-10-31
160,011 GBP2023-07-31
Equity
131,228 GBP2024-10-31
160,111 GBP2023-07-31
Average Number of Employees
172023-08-01 ~ 2024-10-31
172022-08-01 ~ 2023-07-31
Intangible Assets - Gross Cost
Net goodwill
17,259 GBP2023-07-31
Intangible Assets
Net goodwill
17,259 GBP2024-10-31
17,259 GBP2023-07-31
Property, Plant & Equipment - Gross Cost
Plant and equipment
128,944 GBP2024-10-31
115,343 GBP2023-07-31
Property, Plant & Equipment - Disposals
Plant and equipment
-7,000 GBP2023-08-01 ~ 2024-10-31
Property, Plant & Equipment - Accumulated Depreciation & Impairment
Plant and equipment
109,875 GBP2024-10-31
93,080 GBP2023-07-31
Property, Plant & Equipment - Increase From Depreciation Charge for Year
Plant and equipment
20,295 GBP2023-08-01 ~ 2024-10-31
Property, Plant & Equipment - Decrease in depreciation and impairment related to disposals
Plant and equipment
-3,500 GBP2023-08-01 ~ 2024-10-31
Property, Plant & Equipment
Plant and equipment
19,069 GBP2024-10-31
22,263 GBP2023-07-31
Trade Debtors/Trade Receivables
Amounts falling due within one year, Current
18 GBP2024-10-31
89 GBP2023-07-31
Other Debtors
Amounts falling due within one year, Current
139,079 GBP2024-10-31
6,144 GBP2023-07-31
Debtors
Amounts falling due within one year, Current
139,097 GBP2024-10-31
6,233 GBP2023-07-31
Other Debtors
Non-current, Amounts falling due after one year
100,541 GBP2024-10-31
100,541 GBP2023-07-31
Trade Creditors/Trade Payables
Current
66,007 GBP2024-10-31
68,650 GBP2023-07-31
Other Taxation & Social Security Payable
Current
6,381 GBP2024-10-31
3,726 GBP2023-07-31
Other Creditors
Current
181,860 GBP2024-10-31
80,631 GBP2023-07-31
Non-current
92,979 GBP2024-10-31
117,423 GBP2023-07-31
STEJARUL LTD
Info12 CEASURI LTD - 2018-07-10
Registered number 114509533 Kenton Park Parade, Kenton Road, Harrow HA3 8DQ
PRIVATE LIMITED COMPANY incorporated on 2018-07-05 (7 years 8 months). The status of the company number is Active.
The last date of confirmation statement was made at 2025-07-04
CIF 0STEJARUL LTD
SRegistered number 11450953
3, 3 Kenton Park Parade, Kenton Road, Harrow, England, HA3 8DQ
Private Company Limited By Shares in Uk Register Of Companies, United Kingdom
CIF 1 STEJARUL LTD
SRegistered number 11450953
3, Kenton Park Parade, Kenton Lane, Harrow, United Kingdom, HA3 8DQ
Private Company Limited By Shares in Uk Register Of Companies, United Kingdom
CIF 2 STEJARUL LTD
SRegistered number 11450953
3, Kenton Road, Harrow, England, HA3 8DQ
Private Company Limited By Shares in Uk Register Of Companies, United Kingdom
CIF 3