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Business Mortgage Finance 3 Plc

6th Floor 125 London Wall, London, EC2Y5AS

Overview

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Key Data
Business Mortgage Finance 3 Plc is an active company incorporated on 11 April 2005 with the registered office located in London, City of London. Business Mortgage Finance 3 Plc has been running for 19 years. There are currently 3 active directors and 1 active secretary according to the latest confirmation statement submitted on 11th April 2024.
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Name
Business Mortgage Finance 3 Plc
Status
ACTIVE
Active since incorporation
Confirmation
Submitted
Last submitted on 11 April 2024 (9 days ago)
Next confirmation dated 11 April 2025
Due by 25 April 2025 (1 year remaining)
Last change occurred 3 days ago
Accounts
Overdue
Accounts overdue by 22 days
Last accounts submitted for period 31 May 2022 (1 year 10 months ago)
Accounts type was Full Accounts
Next accounts dated 30 June 2023
Was due on 29 March 2024 (22 days ago)
Company No.
05419479
Public Limited Company with Share Capital
Incorporation
11 April 2005
Incorporated 19 years ago
Size
Micro
Less than 10 employees or under £2 million turnover
Activity
Holding a loan portfolio as part of the historic commercial first programme of securitisations. t/o = interest receivable and similar income. the directors expect the company will be wound down in due course.
Contact
Registered Address6th Floor 125 London Wall
London
EC2Y5AS
Country OriginUnited Kingdom
TelephoneBuy a Report or Upgrade
Email AddressUnreported
WebsiteBabylonbusinessfinance.com
SocialUnreported
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People23
British • Director • Associate Director • Born in Apr 1985
ACTIVE
Apex Corporate Services (UK) Limited
British • Director
ACTIVE
Apex Trust Corporate Limited
British • Director
ACTIVE
Apex Trust Corporate Limited
British • Secretary
ACTIVE
Clifford Chance Secretaries Limited
British • Secretary
RESIGNED
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Latest Activity
No activity available.
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Financials
Net Assets, Total Assets & Total Liabilities (2006 - 2022)
Year EndedMay 2022
Total Assets£25k
-£16k (-39.02%)
vs previous year
Total Liabilities£-42k
-£13k (-44.83%)
vs previous year
Net Assets£-17k
-£29k (-241.67%)
vs previous year
Cash in Bank£25k
-£16k (-39.02%)
vs previous year
EmployeesUnreported
Turnover Unreported
Debt Ratio (%)168%
+97.27 (+137.52%)
vs previous year
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Group Structure
Subsidiaries
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Documents149
Confirmation statement
17 Apr 2024 • 5 Pages
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Satisfaction of charge
27 Feb 2024 • 1 Page
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Satisfaction of charge
27 Feb 2024 • 1 Page
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Satisfaction of charge
27 Feb 2024 • 1 Page
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Appointment
13 Jul 2023 • 2 Pages
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