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Cloudclevr Investments Ltd
Cloudclevr Investments Ltd is an active company incorporated on 26 January 2023 with the registered office located in Stratford-upon-Avon, Warwickshire. Cloudclevr Investments Ltd was registered 2 years 7 months ago.
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Status
Active
Active since
incorporation
Company No
14617410
Private limited company
Age
2 years 7 months
Incorporated
26 January 2023
Size
Unreported
Confirmation
Submitted
Dated
31 March 2025
(5 months ago)
Next confirmation dated
31 March 2026
Due by
14 April 2026
(7 months remaining)
Last change occurred
2 years 5 months ago
Accounts
Submitted
For period
26 Jan
⟶
31 Mar 2024
(1 year 2 months)
Accounts type is
Group
Next accounts for period
31 March 2025
Due by
31 December 2025
(3 months remaining)
Learn more about Cloudclevr Investments Ltd
Contact
Address
Bridgeway House Bridgeway
Stratford-Upon-Avon
Warwickshire
England
CV37 6YX
England
Same address since
incorporation
Companies in CV37 6YX
Telephone
Unreported
Email
Unreported
Website
Rigbygroupplc.com
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People
Officers
2
Shareholders
1
Controllers (PSC)
1
Steven Paul Rigby
Director • British • Lives in England • Born in Dec 1972
Mr Peter Whitfield
Director • Finance Director • British • Lives in UK • Born in Feb 1966
Cloudclevr Holdings Limited
PSC
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Shareholders, PSCs & Group Structure
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Mutual Companies
SCC Overseas Holdings Limited
Mr Peter Whitfield and Steven Paul Rigby are mutual people.
Active
Rigby Group (RG) Plc
Mr Peter Whitfield and Steven Paul Rigby are mutual people.
Active
SCC Emea Limited
Mr Peter Whitfield and Steven Paul Rigby are mutual people.
Active
SCC UK Holdings Limited
Mr Peter Whitfield is a mutual person.
Active
Visavvi Limited
Steven Paul Rigby is a mutual person.
Active
Patriot Aviation Limited
Steven Paul Rigby is a mutual person.
Active
M2 Digital Limited
Steven Paul Rigby is a mutual person.
Active
M2 Smile Limited
Steven Paul Rigby is a mutual person.
Active
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Financials
Net Assets, Total Assets & Total Liabilities (2024–2024)
Period Ended
31 Mar 2024
For period
31 Jan
⟶
31 Mar 2024
Traded for
14 months
Cash in Bank
£1.44M
Turnover
£12.68M
Employees
128
Total Assets
£31.53M
Total Liabilities
-£31.74M
Net Assets
-£214K
Debt Ratio (%)
101%
See 10 Year Full Financials
Latest Activity
Confirmation Submitted
4 Months Ago on 11 Apr 2025
Group Accounts Submitted
10 Months Ago on 24 Oct 2024
Confirmation Submitted
1 Year 4 Months Ago on 15 Apr 2024
Confirmation Submitted
2 Years 5 Months Ago on 3 Apr 2023
New Charge Registered
2 Years 6 Months Ago on 1 Mar 2023
Accounting Period Extended
2 Years 7 Months Ago on 27 Jan 2023
Incorporated
2 Years 7 Months Ago on 26 Jan 2023
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Documents
Confirmation statement made on 31 March 2025 with no updates
Submitted on 11 Apr 2025
Part of the property or undertaking has been released and no longer forms part of charge 146174100001
Submitted on 9 Apr 2025
Part of the property or undertaking has been released and no longer forms part of charge 146174100001
Submitted on 9 Apr 2025
Group of companies' accounts made up to 31 March 2024
Submitted on 24 Oct 2024
Confirmation statement made on 31 March 2024 with no updates
Submitted on 15 Apr 2024
Confirmation statement made on 31 March 2023 with updates
Submitted on 3 Apr 2023
Resolutions
Submitted on 6 Mar 2023
Registration of charge 146174100001, created on 1 March 2023
Submitted on 6 Mar 2023
Memorandum and Articles of Association
Submitted on 6 Mar 2023
Current accounting period extended from 31 January 2024 to 31 March 2024
Submitted on 27 Jan 2023
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Repayment History
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