93290 - Other Amusement And Recreation Activities N.e.c.
Intangible Assets
444,765 GBP2025-03-31
499,225 GBP2024-03-31
Fixed Assets - Investments
200 GBP2025-03-31
300 GBP2024-03-31
Fixed Assets
444,965 GBP2025-03-31
499,525 GBP2024-03-31
Debtors
406,996 GBP2025-03-31
142,000 GBP2024-03-31
Cash at bank and in hand
37,025 GBP2025-03-31
166,908 GBP2024-03-31
Current Assets
444,021 GBP2025-03-31
308,908 GBP2024-03-31
Net Current Assets/Liabilities
-343,808 GBP2025-03-31
-856,990 GBP2024-03-31
Total Assets Less Current Liabilities
101,157 GBP2025-03-31
-357,465 GBP2024-03-31
Net Assets/Liabilities
157 GBP2025-03-31
-357,465 GBP2024-03-31
Equity
Called up share capital
100 GBP2025-03-31
100 GBP2024-03-31
100 GBP2023-03-22
Retained earnings (accumulated losses)
57 GBP2025-03-31
-357,565 GBP2024-03-31
0 GBP2023-03-22
Equity
157 GBP2025-03-31
-357,465 GBP2024-03-31
Profit/Loss
Retained earnings (accumulated losses)
357,622 GBP2024-04-01 ~ 2025-03-31
-357,565 GBP2023-03-23 ~ 2024-03-31
Profit/Loss
357,622 GBP2024-04-01 ~ 2025-03-31
-357,565 GBP2023-03-23 ~ 2024-03-31
Average Number of Employees
92024-04-01 ~ 2025-03-31
92023-03-23 ~ 2024-03-31
Intangible Assets - Gross Cost
Net goodwill
544,608 GBP2024-03-31
Intangible Assets - Accumulated Amortisation & Impairment
Net goodwill
99,843 GBP2025-03-31
45,383 GBP2024-03-31
Intangible Assets - Increase From Amortisation Charge for Year
Net goodwill
54,460 GBP2024-04-01 ~ 2025-03-31
Intangible Assets
Net goodwill
444,765 GBP2025-03-31
499,225 GBP2024-03-31
Investments in group undertakings and participating interests
200 GBP2025-03-31
300 GBP2024-03-31
Amounts Owed By Related Parties
100,000 GBP2025-03-31
Current
0 GBP2024-03-31
Other Debtors
Amounts falling due within one year
306,996 GBP2025-03-31
142,000 GBP2024-03-31
Debtors
Current, Amounts falling due within one year
406,996 GBP2025-03-31
142,000 GBP2024-03-31
Bank Borrowings/Overdrafts
Current
54,803 GBP2025-03-31
145,919 GBP2024-03-31
Trade Creditors/Trade Payables
Current
13,433 GBP2025-03-31
9,911 GBP2024-03-31
Amounts owed to group undertakings
Current
593,822 GBP2025-03-31
793,790 GBP2024-03-31
Other Taxation & Social Security Payable
Current
114,527 GBP2025-03-31
53,679 GBP2024-03-31
Other Creditors
Current
11,244 GBP2025-03-31
162,599 GBP2024-03-31
Creditors
Current
787,829 GBP2025-03-31
1,165,898 GBP2024-03-31
Bank Borrowings/Overdrafts
Non-current
101,000 GBP2025-03-31
0 GBP2024-03-31
Par Value of Share
Class 1 ordinary share
1 GBP2024-04-01 ~ 2025-03-31
Number of Shares Issued (Fully Paid)
Class 1 ordinary share
100 shares2025-03-31
100 shares2024-03-31
Trade Creditors/Trade Payables
-966,300 GBP2024-03-31
POINT BLANK GROUP LIMITED
InfoRegistered number 14752646
C/o Jamieson Alexander Legal Temple Chambers, 3-7 Temple Avenue, London EC4Y 0DB
Private Limited Company incorporated on 2023-03-23 (2 years 7 months). The company status is Active.
The last date of confirmation statement was made at 2025-04-03
CIF 0POINT BLANK GROUP LIMITED
SRegistered number 14752646

3a, Blue Sky Way, Monkton Business Park South, Hebburn, Tyne And Wear, England, NE31 2EQ
Limited Company in Companies House Crown Way Wales, England
CIF 1 POINT BLANK GROUP LIMITED
SRegistered number 14752646

C/o Jamieson Alexander Legal, Temple Chambers, 3-7 Temple Avenue, London, United Kingdom, EC4Y 0DB
Limited Company in Companies House, United Kingdom
CIF 2 Limited Company in Company Register Of England And Wales, United Kingdom
CIF 3 POINT BLANK GROUP LIMITED
SRegistered number 14752646

C/o Jamieson Alexander Legal, Temple Chambers, 3-7 Temple Avenue, London, United Kingdom, EC4Y 0DB
Limited Company in Company Register Of England And Wales, United Kingdom
CIF 4