Harvmarch Limited
Manufacture of flat glass · Chesterfield
ActiveUnited KingdomIncorporated 2020Private Limited Company
Financial position
Accounts to 2025-10-31 · GBP · company scope
Net assets
−£93,554
Cash
£207
Turnover
—
Profit / loss
—
Current assets
—
Creditors < 1 year
—
Equity
−£93,554
Average employees
Not available
Balance-sheet trend
GBP · companyFinancial statements
Selected figures from the best-ranked available filing for each period. Missing values remain unknown.
| Reported figures | 2025-10-31GBP · company | 2024-10-31GBP · company | 2023-10-31GBP · company | 2022-10-31GBP · unknown | 2021-10-31GBP · unknown |
|---|---|---|---|---|---|
| Balance sheet | |||||
| Net assets | −£93,554 | −£81,141 | −£55,902 | −£19,974 | −£17,958 |
| Equity | −£93,554 | −£81,141 | −£55,902 | −£19,974 | −£17,958 |
| Assets | |||||
| Property, plant & equipment | £1,290,131 | £1,290,131 | £1,290,131 | £155,966 | £155,966 |
| Cash at bank | £207 | £1 | £1,449 | £344 | £0 |
| Debtors | £15,018 | £7,930 | £6,437 | £10,076 | £12,436 |
| Liabilities | |||||
| Net current assets | −£405,191 | — | — | — | — |
| Assets less current liabilities | £884,940 | £932,318 | £901,368 | £100,026 | £102,042 |
| Source evidence | View filing | View filing | View filing | View filing | View filing |
Secured borrowing
Registered charges, lenders and security interests.
Charges and related records
2 outstanding chargesFixed · created 2023-02-23
—
OutstandingProperty · created 2023-02-22
—
Outstanding