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Rebel Strength Limited

Rebel Strength Limited is an active company incorporated on 12 October 2015 with the registered office located in Bishops Stortford, Hertfordshire. Rebel Strength Limited was registered 10 years ago.
Status
Active
Active since incorporation
Active proposal to strike off
Company No
09820360
Private limited company
Age
10 years
Incorporated 12 October 2015
Size
Micro
Turnover is under £1M
Balance sheet is under £500,000
Under 10 employees
Confirmation
Submitted
Dated 11 October 2024 (1 year ago)
Next confirmation dated 11 October 2025
Was due on 25 October 2025 (3 days ago)
Last change occurred 9 years ago
Accounts
Overdue
Accounts overdue by 211 days
For period 1 Jan31 Mar 2023 (1 year 2 months)
Accounts type is Total Exemption Full
Next accounts for period 31 March 2024
Was due on 31 March 2025 (7 months ago)
Address
Rae House
Dane Street
Bishops Stortford
Hertfordshire
CM23 3BT
United Kingdom
Same address since incorporation
Telephone
01371 708655
Email
Unreported
People
Officers
2
Shareholders
3
Controllers (PSC)
3
Director • PSC • Managing Director • British • Lives in England • Born in Aug 1975
Director • PSC • Managing Director • British • Lives in UK • Born in Jul 1967
Mr Laurie Stephen Kirtland
PSC • British • Lives in England • Born in Aug 1959
Shareholders, PSCs & Group Structure
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Mutual Companies
Alloy Fabweld Limited
Mr Shaun Robert Pledger is a mutual person.
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Arctec Engineering Limited
Mr Shaun Robert Pledger is a mutual person.
Active
Lime Metals Limited
Mr Shaun Robert Pledger is a mutual person.
Active
Clapton Hall Barns Management Company Limited
Mr Shaun Robert Pledger is a mutual person.
Active
Flexi Group Limited
Mr Shaun Robert Pledger is a mutual person.
Active
Hashtag Bigsmile Community Interest Company
Mr Shaun Robert Pledger is a mutual person.
Active
LK & SP Holdings Limited
Mr Shaun Robert Pledger is a mutual person.
Active
Financials
Net Assets, Total Assets & Total Liabilities (2016–2023)
Period Ended
31 Mar 2023
For period 31 Dec31 Mar 2023
Traded for 15 months
Cash in Bank
£18.7K
Decreased by £584 (-3%)
Turnover
Unreported
Same as previous period
Employees
8
Increased by 2 (+33%)
Total Assets
£197.45K
Decreased by £7.62K (-4%)
Total Liabilities
-£271.91K
Increased by £69.5K (+34%)
Net Assets
-£74.46K
Decreased by £77.12K (-2904%)
Debt Ratio (%)
138%
Increased by 39.01% (+40%)
Latest Activity
Compulsory Strike-Off Suspended
3 Months Ago on 15 Jul 2025
Compulsory Gazette Notice
4 Months Ago on 3 Jun 2025
Confirmation Submitted
1 Year Ago on 16 Oct 2024
Full Accounts Submitted
1 Year 7 Months Ago on 28 Mar 2024
Laurie Stephen Kirtland Resigned
1 Year 10 Months Ago on 21 Dec 2023
Confirmation Submitted
2 Years Ago on 25 Oct 2023
Accounting Period Extended
2 Years 1 Month Ago on 29 Sep 2023
Full Accounts Submitted
2 Years 10 Months Ago on 28 Dec 2022
Confirmation Submitted
3 Years Ago on 14 Oct 2022
Confirmation Submitted
4 Years Ago on 11 Oct 2021
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Documents
Compulsory strike-off action has been suspended
Submitted on 15 Jul 2025
First Gazette notice for compulsory strike-off
Submitted on 3 Jun 2025
Confirmation statement made on 11 October 2024 with no updates
Submitted on 16 Oct 2024
Total exemption full accounts made up to 31 March 2023
Submitted on 28 Mar 2024
Termination of appointment of Laurie Stephen Kirtland as a director on 21 December 2023
Submitted on 8 Jan 2024
Confirmation statement made on 11 October 2023 with no updates
Submitted on 25 Oct 2023
Previous accounting period extended from 31 December 2022 to 31 March 2023
Submitted on 29 Sep 2023
Total exemption full accounts made up to 31 December 2021
Submitted on 28 Dec 2022
Confirmation statement made on 11 October 2022 with no updates
Submitted on 14 Oct 2022
Confirmation statement made on 11 October 2021 with no updates
Submitted on 11 Oct 2021
Repayment History
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