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Ladnor Developments Limited

Gable House, 239 Regents Park Road, London, N3 3LF

Overview

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CUSTOMISE TILES
Key Data
Ladnor Developments Limited is an active company incorporated on 25 July 1969 with the registered office located in London, Greater London. Ladnor Developments Limited has been running for 54 years. There are currently 2 active directors and 1 active secretary according to the latest confirmation statement submitted on 22nd December 2023.
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Name
Ladnor Developments Limited
Status
ACTIVE
Active since incorporation
Compulsory strike-off was discontinued 1 month ago
Confirmation
Submitted
Last submitted on 22 December 2023 (4 months ago)
Next confirmation dated 22 December 2024
Due by 5 January 2025 (7 months remaining)
Last change occurred 6 years ago
Accounts
Submitted
Last accounts submitted for period 31 December 2022 (1 year 4 months ago)
Accounts type was Total Exemption Full
Next accounts dated 31 December 2023
Due by 30 September 2024 (4 months remaining)
Company No.
00958905
Private Limited Company with Share Capital
Incorporation
25 July 1969
Incorporated 54 years ago
Size
Small
Between 10 to 50 employees or between £2 to £10 million turnover
Activity
Property developers and investors.
Contact
Registered AddressGable House
239 Regents Park Road
London
N3 3LF
Country OriginUnited Kingdom
TelephoneUnreported
Email AddressUnreported
WebsiteUnreported
SocialUnreported
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People7
British • Director • Financial Advisor • Born in Nov 1959
ACTIVE
Secretary
ACTIVE
British • Director • Company Director • Born in May 1962
ACTIVE
British • Director • Secretary • Born in Oct 1938
RESIGNED
British • Secretary • Born in Apr 1944
RESIGNED
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Mutual Companies
CompanyStatus
Cuffley Day Care Centre Ltd
Mr Barry Lee Doe and Mrs Frances Doe are mutual people.
DISSOLVED
Homebuyers Financial Services Limited
Mr Barry Lee Doe is a mutual person.
DISSOLVED
Castle Hawk Ltd
Mr Barry Lee Doe is a mutual person.
DORMANT
Latest Activity
No activity available.
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Financials
Net Assets, Total Assets & Total Liabilities (2006 - 2022)
Year EndedDec 2022
Total Assets£2.73m
+£394.34k (+16.87%)
vs previous year
Total Liabilities£-526.74k
+£266.69k (+33.61%)
vs previous year
Net Assets£2.2m
+£661.03k (+42.83%)
vs previous year
Cash in Bank£1.1m
+£1.02m (+1174.52%)
vs previous year
EmployeesUnreported
Turnover Unreported
Debt Ratio (%)19.29%
-14.66 (-43.18%)
vs previous year
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Group Structure
Subsidiaries
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Documents174
Compulsory strike-off action has been discontinued
13 Mar 2024 • 1 Page
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First Gazette
12 Mar 2024 • 0 Page
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Confirmation statement
6 Mar 2024 • 3 Pages
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Total exemption full accounts
19 Sep 2023 • 9 Pages
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Confirmation statement
9 Jan 2023 • 3 Pages
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