Tampm Reuse Yorkshire Limited
Company Number: 08521273
Period End: 31st May 2025
Key Facts
Net Assets
Current: £14,028
Previous: £38,092
Change: -24,064 (-63.2%)
Comment: Severe reduction in net assets and liabilities.
Current Assets
Current: £44,452
Previous: £48,387
Change: -£3,935 (-8.1%)
Comment: Current assets decreased slightly.
Cash
Current: Not reported
Previous: Not reported
Comment: Not reported
Creditors 1 Year
Current: £16,063
Previous: £2,823
Change: +£13,240 (+469%)
Comment: Short‑term creditors rose sharply, indicating higher short‑term liabilities.
Net Current Assets Liabilities
Current: £13,507
Previous: £38,139
Change: -£24,632 (-64.6%)
Comment: Net current assets dropped sharply, indicating a major decline in working capital.
Fixed Assets
Current: £15,942
Previous: £3,270
Change: +£12,672 (+387.5%)
Comment: Fixed assets increased significantly.
Turnover
Current: Not reported
Previous: Not reported
Comment: Turnover not reported for either period, which is common for micro‑entity and small business.
Employees
Current: 1
Previous: 1
Change: +0 (+0%)
Comment: No change in team size.