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Ms Lending Group Limited

Ms Lending Group Limited is an active company incorporated on 6 July 2020 with the registered office located in Salford, Greater Manchester. Ms Lending Group Limited was registered 5 years ago.
Status
Active
Active since incorporation
Company No
12723324
Private limited company
Age
5 years
Incorporated 6 July 2020
Size
Small
Balance sheet is under £7.5M
Under 50 employees
Confirmation
Submitted
Dated 9 July 2025 (3 months ago)
Next confirmation dated 9 July 2026
Due by 23 July 2026 (9 months remaining)
Last change occurred 3 years ago
Accounts
Submitted
For period 1 Jan31 Dec 2024 (1 year)
Accounts type is Group
Next accounts for period 31 December 2025
Due by 30 September 2026 (11 months remaining)
Address
1st Floor Cloister House
Riverside, New Bailey Street
Manchester
M3 5FS
England
Same address since incorporation
Telephone
0161 8237993
Email
Unreported
People
Officers
4
Shareholders
2
Controllers (PSC)
2
Director • British • Lives in England • Born in Dec 1977
Director • Finance Director • British • Lives in England • Born in Mar 1979
Director • British • Lives in England • Born in Mar 1991
Director • British • Lives in England • Born in Mar 1991
Hornsearle Property Group Limited
PSC
Shareholders, PSCs & Group Structure
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Mutual Companies
Ms Lending SPV 1 Limited
Michael James Stratton, Michael Reason, and 2 more are mutual people.
Active
Ms Lending SPV 2 Limited
Michael James Stratton, Stephen David Alcock, and 1 more are mutual people.
Active
Ms Lending SPV 3 Limited
Michael James Stratton, Stephen David Alcock, and 1 more are mutual people.
Active
Mas Property Ventures Limited
Alexandra Rose Ellwood Stratton is a mutual person.
Active
Masb Holdings Limited
Michael James Stratton is a mutual person.
Active
Acres Lane SPV Limited
Michael Reason is a mutual person.
Active
HSDC Investments Limited
Michael Reason is a mutual person.
Active
MLJO Ltd
Michael Reason is a mutual person.
Active
Financials
Net Assets, Total Assets & Total Liabilities (2021–2024)
Period Ended
31 Dec 2024
For period 31 Dec31 Dec 2024
Traded for 12 months
Cash in Bank
£7.51M
Increased by £1.67M (+29%)
Turnover
£23.29M
Increased by £23.29M (%)
Employees
22
Increased by 5 (+29%)
Total Assets
£157.31M
Increased by £71.77M (+84%)
Total Liabilities
-£150.6M
Increased by £69.02M (+85%)
Net Assets
£6.71M
Increased by £2.76M (+70%)
Debt Ratio (%)
96%
Increased by 0.36% (0%)
Latest Activity
New Charge Registered
22 Days Ago on 30 Sep 2025
New Charge Registered
22 Days Ago on 30 Sep 2025
New Charge Registered
26 Days Ago on 26 Sep 2025
Group Accounts Submitted
26 Days Ago on 26 Sep 2025
New Charge Registered
28 Days Ago on 24 Sep 2025
New Charge Registered
28 Days Ago on 24 Sep 2025
Charge Satisfied
28 Days Ago on 24 Sep 2025
Charge Satisfied
28 Days Ago on 24 Sep 2025
Charge Satisfied
28 Days Ago on 24 Sep 2025
New Charge Registered
1 Month Ago on 8 Sep 2025
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Documents
Registration of charge 127233240552, created on 24 September 2025
Submitted on 7 Oct 2025
Registration of charge 127233240551, created on 30 September 2025
Submitted on 3 Oct 2025
Registration of charge 127233240550, created on 30 September 2025
Submitted on 3 Oct 2025
Registration of charge 127233240549, created on 24 September 2025
Submitted on 2 Oct 2025
Registration of charge 127233240548, created on 26 September 2025
Submitted on 26 Sep 2025
Group of companies' accounts made up to 31 December 2024
Submitted on 26 Sep 2025
Satisfaction of charge 127233240381 in full
Submitted on 24 Sep 2025
Satisfaction of charge 127233240358 in full
Submitted on 24 Sep 2025
Satisfaction of charge 127233240186 in full
Submitted on 24 Sep 2025
Satisfaction of charge 127233240383 in full
Submitted on 24 Sep 2025
Repayment History
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