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Eurowalk (Gb) LTD

active Park House 37 Clarence Street, Leicester, Leicestershire, LE1 3RW

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Eurowalk (Gb) LTD

active Park House 37 Clarence Street, Leicester, Leicestershire, LE1 3RW

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Key Financials

Accounts
Cash £2,350.00 £249.00 £0.00
Net Worth -£52,321.00 £45,477.00 £250,022.00
Total Current Liabilities £562,598.00 £705,190.00 £799,784.00
Total Current Assets £328,075.00 £393,432.00 £348,969.00
Accounts Downloads are available from the Documents Tab
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Accounts Table

Export Table (CSV)

Profit & Loss

Profit & Loss
Weeks 52 52 53
Currency GBP GBP GBP
Consolidated Accounts N N N
Turnover £0 £0 £0
Cost of Sales £0 £0 £0
Gross Profit £0 £0 £0
Wages & Salaries £0 £0 £0
Directors Emoluments £0 £0 £0
Operating Profit £0 £0 £0
Depreciation £121,880 £73,093 £15,989
Audit Fees £0 £0 £0
Interest Payments £0 £0 £0
Pre Tax Profit £0 £0 £0
Tax £0 £0 £0
Profit After Tax £0 £0 £0
Dividends Payable £0 £0 £0
Retained Profit £0 £0 £0
Export £0 £0 £0

Balance Sheet

Balance Sheet
Tangible Assets £1,123,187 £701,124 £404,577
Intangible Assets £0 £0 £0
Total Fixed Assets £1,123,187 £701,124 £404,577
Stock £0 £0 £0
Trade Debtors £348,969 £0 £0
Cash £0 £249 £2,350
Other Debtors £0 £393,183 £325,725
Miscellaneous Current Assets £0 £0 £0
Total Current Assets £348,969 £393,432 £328,075
Trade Creditors £799,784 £705,190 £562,598
Bank Loans And Overdrafts £0 £0 £0
Other Short Term Finance £0 £0 £0
Miscellaneous Current Liabilities £0 £0 £0
Total Current Liabilities £799,784 £705,190 £562,598
Bank Loans And Overdrafts And LTL £422,350 £343,889 £222,375
Other Long Term Finance £0 £0 £0
Total Long Term Finance £422,350 £343,889 £222,375

Capital & Reserves

Capital & Reserves
Called Up Shared Capital £1 £1 £1
P & L Account Reserve £250,021 £45,476 £-52,322
Revaluation Reserve £0 £0 £0
Sundry Reserves £0 £0 £0
Shareholder Funds £250,022 £45,477 £-52,321

Other Financial Items

Other Financial Items
Net Worth £250,022 £45,477 £-52,321
Working Capital £-450,815 £-311,758 £-234,523
Total Assets £1,472,156 £1,094,556 £732,652
Total Liabilities £1,222,134 £1,049,079 £784,973
Net Assets £250,022 £45,477 £-52,321

Cash

Cash
Net Cash Flow From Operations £0 £0 £0
Net Cash Flow Before Financing £0 £0 £0
Net Cash Flow From Financing £0 £0 £0
Increase In Cash £0 £0 £0

Miscellaneous

Miscellaneous
Contingent Liability NO NO NO
Capital Employed £672,372 £389,366 £170,054
Number Of Employees 0 0 0
Auditors
Auditor Comments The company is exempt from audit The company is exempt from audit The company is exempt from audit

Ratios

Ratios
Pre-tax Profit Margin
Current Ratio 0.44 0.56 0.58
sales Networking Capital
Gearing 168.9 756.2 -425
Equity In % 17 4.2 -7.1
Creditor Days
Liquidity/Acid Test 0.43 0.55 0.58
Return on Capital Employed %
Return on Total Assets Employed %
Current Debt Ratio 3.19 15.5 -10.75
Total Debt Ratio 4.88 23.06 -15
Stock Turnover Ratio %
Return on Net Assets Employed %
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