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Aria Resort Services (U.K.) Ltd
Aria Resort Services (U.K.) Ltd is a liquidation company incorporated on 21 April 2017 with the registered office located in Salisbury, Wiltshire. Aria Resort Services (U.K.) Ltd was registered 8 years ago.
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Status
Liquidation
In voluntary liquidation since
1 month ago
Company No
10735426
Private limited company
Age
8 years
Incorporated
21 April 2017
Size
Micro
Turnover is under
£1M
Balance sheet is under
£500,000
Confirmation
Overdue
Confirmation statement overdue by
1216 days
Dated
26 April 2021
(4 years ago)
Next confirmation dated
26 April 2022
Was due on
10 May 2022
(3 years ago)
Last change occurred
8 years ago
Accounts
Overdue
Accounts overdue by
1073 days
For period
1 Jan
⟶
31 Dec 2020
(1 year)
Accounts type is
Unaudited Abridged
Next accounts for period
31 December 2021
Was due on
30 September 2022
(2 years 11 months ago)
Learn more about Aria Resort Services (U.K.) Ltd
Contact
Address
St Ann's Manor
6-8 St.Ann Street
Salisbury
Wiltshire
SP1 2DN
Address changed on
16 Dec 2021
(3 years ago)
Previous address was
18 Telephone House 18 Christchurch Road Bournemouth BH1 3NE England
Companies in SP1 2DN
Telephone
Unreported
Email
Unreported
Website
Tbcap.co.uk
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People
Officers
2
Shareholders
1
Controllers (PSC)
1
Benjamin Gordon Puddle
Director • Manager • British • Lives in UK • Born in May 1985
Aria Resort Management Limited
Director
Mr Benjamin Gordon Puddle
PSC • British • Lives in UK • Born in May 1985
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Shareholders, PSCs & Group Structure
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Mutual Companies
Moffat Manor Holiday Park Limited
Benjamin Gordon Puddle is a mutual person.
Active
ABT Capital Limited
Benjamin Gordon Puddle is a mutual person.
Active
Glendevon Country Park Ltd
Benjamin Gordon Puddle is a mutual person.
Dissolved
Aria Resort Management Limited
Benjamin Gordon Puddle is a mutual person.
Dissolved
B&T Country Parks Limited
Benjamin Gordon Puddle is a mutual person.
Dissolved
B&T Country Parks Holdco Limited
Benjamin Gordon Puddle is a mutual person.
Dissolved
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Financials
Net Assets, Total Assets & Total Liabilities (2018–2020)
Period Ended
31 Dec 2020
For period
31 Dec
⟶
31 Dec 2020
Traded for
12 months
Cash in Bank
£56.67K
Increased by £54.81K (+2939%)
Turnover
Unreported
Same as previous period
Employees
42
Decreased by 3 (-7%)
Total Assets
£6.35M
Increased by £2.35M (+59%)
Total Liabilities
-£6.35M
Increased by £3.25M (+105%)
Net Assets
£2
Decreased by £904.74K (-100%)
Debt Ratio (%)
100%
Increased by 22.57% (+29%)
See 10 Year Full Financials
Latest Activity
Voluntary Liquidator Appointed
1 Month Ago on 29 Jul 2025
Voluntary Liquidator Appointed
2 Years 3 Months Ago on 23 May 2023
Voluntary Liquidator Appointed
3 Years Ago on 22 Dec 2021
Declaration of Solvency
3 Years Ago on 22 Dec 2021
Registered Address Changed
3 Years Ago on 16 Dec 2021
Confirmation Submitted
4 Years Ago on 19 May 2021
Abridged Accounts Submitted
4 Years Ago on 27 Apr 2021
Abridged Accounts Submitted
4 Years Ago on 15 Jan 2021
Confirmation Submitted
5 Years Ago on 11 May 2020
Accounting Period Shortened
5 Years Ago on 26 Sep 2019
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Documents
Appointment of a voluntary liquidator
Submitted on 29 Jul 2025
Removal of liquidator by creditors
Submitted on 17 Jul 2025
Statement of affairs
Submitted on 18 Jun 2025
Liquidators' statement of receipts and payments to 13 December 2024
Submitted on 13 Feb 2025
Liquidators' statement of receipts and payments to 13 December 2023
Submitted on 16 Jan 2024
Appointment of a voluntary liquidator
Submitted on 23 May 2023
Resignation of a liquidator
Submitted on 23 May 2023
Liquidators' statement of receipts and payments to 13 December 2022
Submitted on 18 Dec 2022
Declaration of solvency
Submitted on 22 Dec 2021
Appointment of a voluntary liquidator
Submitted on 22 Dec 2021
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Repayment History
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