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Jarjar Properties Ltd

Jarjar Properties Ltd is an active company incorporated on 10 June 2019 with the registered office located in Telford, Shropshire. Jarjar Properties Ltd was registered 6 years ago.
Status
Active
Active since 3 years ago
Company No
12040579
Private limited company
Age
6 years
Incorporated 10 June 2019
Size
Micro
Turnover is under £1M
Balance sheet is under £500,000
Under 10 employees
Confirmation
Submitted
Dated 27 February 2025 (6 months ago)
Next confirmation dated 27 February 2026
Due by 13 March 2026 (6 months remaining)
Last change occurred 3 years ago
Accounts
Submitted
For period 1 Apr31 Mar 2024 (1 year)
Accounts type is Total Exemption Full
Next accounts for period 31 March 2025
Due by 31 December 2025 (3 months remaining)
Contact
Address
Grosvenor House Hawksworth Road
Central Park
Telford
TF2 9TU
England
Address changed on 18 Nov 2022 (2 years 9 months ago)
Previous address was Raynor House Raynor Road Fallings Park Wolverhampton WV10 9QY England
Telephone
Unreported
Email
Unreported
Website
Unreported
People
Officers
2
Shareholders
1
Controllers (PSC)
1
Director • Property Developer • British • Lives in UK • Born in Jul 1979
Director • Health And Safety • British • Lives in UK • Born in May 1980
P.8. Holdings Ltd
PSC
Shareholders, PSCs & Group Structure
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Mutual Companies
P.8. Holdings Ltd
Liam Brian Wordley and Mrs Rebecca Louise Jane Wordley are mutual people.
Active
Dutch Investments Limited
Liam Brian Wordley and Mrs Rebecca Louise Jane Wordley are mutual people.
Active
Patshull Estate Management Limited
Liam Brian Wordley is a mutual person.
Active
Front Row Storage Limited
Liam Brian Wordley is a mutual person.
Active
S.B.L. Property Ventures Ltd
Liam Brian Wordley is a mutual person.
Active
Properties @ Ltd
Liam Brian Wordley is a mutual person.
Active
Q.E.D. Conversions Limited
Liam Brian Wordley is a mutual person.
Active
Moji3 Limited
Liam Brian Wordley is a mutual person.
Active
Financials
Net Assets, Total Assets & Total Liabilities (2020–2024)
Period Ended
31 Mar 2024
For period 31 Mar31 Mar 2024
Traded for 12 months
Cash in Bank
£936
Decreased by £9.98K (-91%)
Turnover
Unreported
Same as previous period
Employees
2
Same as previous period
Total Assets
£3.85M
Increased by £2.29M (+146%)
Total Liabilities
-£4.37M
Increased by £2.51M (+135%)
Net Assets
-£514.7K
Decreased by £219.02K (+74%)
Debt Ratio (%)
113%
Decreased by 5.52% (-5%)
Latest Activity
Full Accounts Submitted
2 Months Ago on 17 Jun 2025
New Charge Registered
5 Months Ago on 1 Apr 2025
New Charge Registered
5 Months Ago on 1 Apr 2025
New Charge Registered
5 Months Ago on 1 Apr 2025
New Charge Registered
5 Months Ago on 1 Apr 2025
New Charge Registered
5 Months Ago on 1 Apr 2025
New Charge Registered
5 Months Ago on 1 Apr 2025
New Charge Registered
5 Months Ago on 1 Apr 2025
New Charge Registered
5 Months Ago on 1 Apr 2025
Charge Satisfied
5 Months Ago on 19 Mar 2025
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Documents
Total exemption full accounts made up to 31 March 2024
Submitted on 17 Jun 2025
Registration of charge 120405790027, created on 1 April 2025
Submitted on 9 Apr 2025
Registration of charge 120405790028, created on 1 April 2025
Submitted on 9 Apr 2025
Registration of charge 120405790026, created on 1 April 2025
Submitted on 8 Apr 2025
Registration of charge 120405790024, created on 1 April 2025
Submitted on 8 Apr 2025
Registration of charge 120405790023, created on 1 April 2025
Submitted on 8 Apr 2025
Registration of charge 120405790025, created on 1 April 2025
Submitted on 8 Apr 2025
Registration of charge 120405790021, created on 1 April 2025
Submitted on 7 Apr 2025
Registration of charge 120405790022, created on 1 April 2025
Submitted on 7 Apr 2025
Satisfaction of charge 120405790003 in full
Submitted on 19 Mar 2025
Repayment History
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