Casl Conduit Street (Leicester) Property Owner Limited
Other letting and operating of own or leased real estate · London
ActiveUnited KingdomIncorporated 2019Private Limited Company
Financial position
Accounts to 2021-12-31 · GBP · unknown scope
Net assets
£9,007,238
Cash
—
Turnover
—
Profit / loss
—
Current assets
£647,775
Creditors < 1 year
£2,098,244
Equity
£9,007,238
Average employees
0
Balance-sheet trend
GBP · unknownTwo periods with a known, matching scope are needed for a trend.
Financial statements
Selected figures from the best-ranked available filing for each period. Missing values remain unknown.
| Reported figures | 2021-12-31GBP · unknown | 2020-12-31GBP · unknown | 2019-12-31GBP · unknown |
|---|---|---|---|
| Balance sheet | |||
| Net assets | £9,007,238 | £8,462,957 | £3,631,497 |
| Equity | £9,007,238 | £8,462,957 | £3,631,497 |
| Assets | |||
| Fixed assets | £16,750,100 | £7,983,405 | £5,212,468 |
| Current assets | £647,775 | £1,432,998 | £988,135 |
| Liabilities | |||
| Creditors within one year | £2,098,244 | £684,148 | £2,569,106 |
| Creditors after one year | £6,292,393 | £269,298 | £0 |
| Provisions | £0 | £0 | — |
| Net current assets | −£1,450,469 | £748,850 | −£1,580,971 |
| Assets less current liabilities | £15,299,631 | £8,732,255 | £3,631,497 |
| People | |||
| Average employees | 0 | 0 | 0 |
| Source evidence | View filing | View filing | View filing |
Secured borrowing
Registered charges, lenders and security interests.
Charges and related records
2 outstanding chargesFloating · created 2026-01-26
—
OutstandingFixed · created 2026-01-26
—
OutstandingShow 2 satisfied / released
Floating · created 2020-12-11 · satisfied 2025-12-15
—
SatisfiedAll Assets · created 2019-12-17 · satisfied 2020-12-07
—
Satisfied