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Fair Ways Foundation
Fair Ways Foundation is an active company incorporated on 4 April 2014 with the registered office located in Portsmouth, Hampshire. Fair Ways Foundation was registered 11 years ago.
Watch Company
Status
Active
Active since
incorporation
Company No
08979945
Private Limited Company by guarantee without share capital, use of 'Limited' exemption
Age
11 years
Incorporated
4 April 2014
Size
Micro
Turnover is under
£1M
Under
10 employees
Confirmation
Submitted
Dated
4 April 2025
(5 months ago)
Next confirmation dated
4 April 2026
Due by
18 April 2026
(7 months remaining)
Last change occurred
8 years ago
Accounts
Submitted
For period
1 Nov
⟶
31 Oct 2024
(1 year)
Accounts type is
Group
Next accounts for period
31 October 2025
Due by
31 July 2026
(10 months remaining)
Learn more about Fair Ways Foundation
Contact
Address
Building 1000 Western Road
Portsmouth
PO6 3EN
England
Address changed on
31 Oct 2022
(2 years 10 months ago)
Previous address was
Ground Floor, Building 1000, Western Road Portsmouth PO6 3EZ England
Companies in PO6 3EN
Telephone
02380230400
Email
Available in Endole App
Website
Fairways.co
See All Contacts
People
Officers
4
Shareholders
-
Controllers (PSC)
1
Anne Melanie Segall
Director • HR Director • British • Lives in England • Born in Oct 1959
Diana Elizabeth Cree
Director • Marketing Director • British • Lives in England • Born in Apr 1964
Mr Adrian Christopher Fry
Director • British • Lives in England • Born in Apr 1978
Mr Malcolm Stuart Rule
Secretary
PSC
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Shareholders, PSCs & Group Structure
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Mutual Companies
Catral Limited
Anne Melanie Segall and Diana Elizabeth Cree are mutual people.
Active
Bespoke Marketing And Consulting Limited
Diana Elizabeth Cree is a mutual person.
Active
Dor002bpt Limited
Anne Melanie Segall is a mutual person.
Active
Anne Segall & Associates Ltd
Anne Melanie Segall is a mutual person.
Dissolved
See All Mutual Companies
Financials
Net Assets, Total Assets & Total Liabilities (2015–2024)
Period Ended
31 Oct 2024
For period
31 Oct
⟶
31 Oct 2024
Traded for
12 months
Cash in Bank
£179.45K
Decreased by £84.53K (-32%)
Turnover
£580.58K
Increased by £42.16K (+8%)
Employees
Unreported
Same as previous period
Total Assets
£5.71M
Decreased by £372.86K (-6%)
Total Liabilities
-£3.81M
Increased by £21.67K (+1%)
Net Assets
£1.9M
Decreased by £394.52K (-17%)
Debt Ratio (%)
67%
Increased by 4.45% (+7%)
See 10 Year Full Financials
Latest Activity
Charge Satisfied
2 Months Ago on 12 Jun 2025
Charge Satisfied
2 Months Ago on 12 Jun 2025
Charge Satisfied
2 Months Ago on 12 Jun 2025
Charge Satisfied
2 Months Ago on 12 Jun 2025
Charge Satisfied
2 Months Ago on 12 Jun 2025
Charge Satisfied
2 Months Ago on 12 Jun 2025
Charge Satisfied
2 Months Ago on 12 Jun 2025
Charge Satisfied
2 Months Ago on 12 Jun 2025
Charge Satisfied
2 Months Ago on 12 Jun 2025
Charge Satisfied
2 Months Ago on 12 Jun 2025
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Get Credit Report
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See All Credit Score & Limits
Documents
Satisfaction of charge 089799450010 in full
Submitted on 12 Jun 2025
Satisfaction of charge 089799450012 in full
Submitted on 12 Jun 2025
Satisfaction of charge 089799450001 in full
Submitted on 12 Jun 2025
Satisfaction of charge 089799450005 in full
Submitted on 12 Jun 2025
Satisfaction of charge 089799450008 in full
Submitted on 12 Jun 2025
Satisfaction of charge 089799450011 in full
Submitted on 12 Jun 2025
Satisfaction of charge 089799450006 in full
Submitted on 12 Jun 2025
Satisfaction of charge 089799450009 in full
Submitted on 12 Jun 2025
Satisfaction of charge 089799450002 in full
Submitted on 12 Jun 2025
Satisfaction of charge 089799450007 in full
Submitted on 12 Jun 2025
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Repayment History
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