Turnover/Revenue
467,775 GBP2024-07-01 ~ 2025-06-30
85,486 GBP2023-04-17 ~ 2024-06-30
Cost of Sales
-515,860 GBP2024-07-01 ~ 2025-06-30
-241,775 GBP2023-04-17 ~ 2024-06-30
Gross Profit/Loss
-48,085 GBP2024-07-01 ~ 2025-06-30
-156,289 GBP2023-04-17 ~ 2024-06-30
Administrative Expenses
-135,835 GBP2024-07-01 ~ 2025-06-30
-36,450 GBP2023-04-17 ~ 2024-06-30
Operating Profit/Loss
-183,920 GBP2024-07-01 ~ 2025-06-30
-192,739 GBP2023-04-17 ~ 2024-06-30
Profit/Loss on Ordinary Activities Before Tax
-183,920 GBP2024-07-01 ~ 2025-06-30
-192,739 GBP2023-04-17 ~ 2024-06-30
Tax/Tax Credit on Profit or Loss on Ordinary Activities
0 GBP2024-07-01 ~ 2025-06-30
0 GBP2023-04-17 ~ 2024-06-30
Called-up share capital not yet paid and not classified as a current asset
0 GBP2025-06-30
0 GBP2024-06-30
Intangible Assets
0 GBP2025-06-30
0 GBP2024-06-30
Property, Plant & Equipment
3,310 GBP2025-06-30
205 GBP2024-06-30
Fixed Assets - Investments
0 GBP2025-06-30
0 GBP2024-06-30
Fixed Assets
3,310 GBP2025-06-30
205 GBP2024-06-30
Total Inventories
0 GBP2025-06-30
0 GBP2024-06-30
Debtors
156,618 GBP2025-06-30
40,348 GBP2024-06-30
Cash at bank and in hand
0 GBP2025-06-30
0 GBP2024-06-30
Current assets - Investments
0 GBP2025-06-30
0 GBP2024-06-30
Current Assets
156,618 GBP2025-06-30
40,348 GBP2024-06-30
Net Current Assets/Liabilities
-379,968 GBP2025-06-30
-192,943 GBP2024-06-30
Total Assets Less Current Liabilities
-376,658 GBP2025-06-30
-192,738 GBP2024-06-30
Creditors
Amounts falling due after one year
0 GBP2025-06-30
0 GBP2024-06-30
Net Assets/Liabilities
-376,658 GBP2025-06-30
-192,738 GBP2024-06-30
Equity
Called up share capital
1 GBP2025-06-30
1 GBP2024-06-30
Share premium
0 GBP2025-06-30
0 GBP2024-06-30
Retained earnings (accumulated losses)
-376,659 GBP2025-06-30
-192,739 GBP2024-06-30
Equity
-376,658 GBP2025-06-30
-192,738 GBP2024-06-30
Average Number of Employees
52024-07-01 ~ 2025-06-30
32023-04-17 ~ 2024-06-30
Property, Plant & Equipment - Gross Cost
Office equipment
3,951 GBP2025-06-30
205 GBP2024-06-30
Property, Plant & Equipment - Gross Cost
3,951 GBP2025-06-30
205 GBP2024-06-30
Property, Plant & Equipment - Accumulated Depreciation & Impairment
Office equipment
641 GBP2025-06-30
0 GBP2024-06-30
Property, Plant & Equipment - Accumulated Depreciation & Impairment
641 GBP2025-06-30
0 GBP2024-06-30
Property, Plant & Equipment - Increase From Depreciation Charge for Year
Office equipment
641 GBP2024-07-01 ~ 2025-06-30
Property, Plant & Equipment - Increase From Depreciation Charge for Year
641 GBP2024-07-01 ~ 2025-06-30
Property, Plant & Equipment
Office equipment
3,310 GBP2025-06-30
205 GBP2024-06-30
Trade Debtors/Trade Receivables
156,618 GBP2025-06-30
40,348 GBP2024-06-30
Trade Creditors/Trade Payables
Amounts falling due within one year
6,000 GBP2025-06-30
6,000 GBP2024-06-30
Taxation/Social Security Payable
Amounts falling due within one year
98,965 GBP2025-06-30
22,861 GBP2024-06-30
Accrued Liabilities/Deferred Income
Amounts falling due within one year
11,545 GBP2024-06-30
Other Creditors
Amounts falling due within one year
431,621 GBP2025-06-30
192,885 GBP2024-06-30
NSM FUNDS (UK) LIMITED
InfoRegistered number 1480779846-48 James Street, London W1U 1EZ
PRIVATE LIMITED COMPANY incorporated on 2023-04-17 (3 years). The status of the company number is Active.
The last date of confirmation statement was made at 2025-04-16
CIF 0NSM FUNDS (UK) LIMITED
SRegistered number 14807798
46-48, James Street, London, England, W1U 1EZ
CIF 1 CIF 2 NSM FUNDS (UK) LIMITED
SRegistered number 14807798
4th Floor, 46-48 James Street, London, England, W1U 1EZ
CIF 3 NSM FUNDS (UK) LIMITED
SRegistered number 14807798
4th Floor, 46-48 James Street, London, England, W1U 1EZ
CIF 4 NSM FUNDS (UK) LIMITED
SRegistered number 14807798
4th Floor, 46-48 James Street, London, United Kingdom, W1U 1EZ
CIF 5 NSM FUNDS (UK) LIMITED
SRegistered number 14807798
4th Floor, James Street, London, England, W1U 1EZ
CIF 6 NSM FUNDS (UK) LIMITED
SRegistered number 14807798
Brian Smith/shilla Pindoria, 4th Floor, James Street, London, England, W1U 1EZ
CIF 7