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Grey Juice Lab Limited

07057133

active
Private Limited Company
england wales
Companies House
Health Score
65 / 100

Some Concerns

25/30
Filing
0/30
Financial
40/40
Risk
  • No accounts filed in last 18 months (-5)
  • Negative net worth (-10)
  • Current liabilities exceed current assets (-10)

Details

101 NEW CAVENDISH STREET, LONDON, W1W 6XH
Incorporated 26/10/2009

Compliance

Last accounts

31/12/2023

total exemption full

Next accounts due

17/03/2026

Overdue

Confirmation statement

Last: 26/10/2025

Due 09/11/2026

On track

Industry

93290
Other amusement and recreation activities

Officers

Mr Mihai Crasneanu

director · Since 26/10/2009

DIRECTOR

FRENCH · ENGLAND · Age 54

Also on 1 other board

Persons with Significant Control

Mr Mihai Crasneanu

75–100% votes

French · England · Age 54

27, Greville Street, London, EC1N 8SU

Notified 03/11/2017

CompanyRankvs 8535+ SIC 93290 peers
47

Financial strength2th percentile among SIC peers · 1/25
Employees64th percentile among SIC peers · 10/15
LiquidityCurrent ratio 0.71× · 6/20
Longevity15 years trading (max 15) · 15/15
Filing complianceAll filings up to date · 15/15
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How is this score calculated?
Financial strength1/25 pts

Net worth compared to all companies in the same SIC code with published accounts. Top quartile earns the full 25 points.

Employees10/15 pts

Workforce size relative to sector peers from the most recent accounts. A larger team generally signals commercial scale.

Liquidity6/20 pts

Current assets ÷ current liabilities. A ratio above 2× earns full marks; between 1–2× scores partially; below 0.5× scores minimal points.

Longevity15/15 pts

One point per year of operation since incorporation, capped at 15. Older companies have a proven track record.

Filing compliance15/15 pts

Full 15 points when both annual accounts and confirmation statement are filed on time. Points are deducted for each overdue filing.

Maximum score is 100. Deductions apply for insolvency history, outstanding charges, going concern doubt, or disqualified officers.

Key FinancialsYear ending 31/12/2023

Net Worth

-£364k

Balance sheet strength

Cash

£24k

Cash in the bank

Net Current Assets

-£521k

Working capital

Current Assets

£1.3M

Current Liabilities

£1.8M

Fixed Assets

£157k

Debtors

£1.2M

2avg. employees

Tax at Year End(2021)

Corp tax£100

Balance Sheet

Intangible assets£157k
Assets less current liabilities-£364k
Prepared with Caseware UK (AP4) 2024.0.164

EstimatesDerived

YearCurrent RatioImplied Profit
20230.71-£483k
20221.07-£20k
20210.95-£97k
20201.35+£12k
20191.28-£436k
20181.86

Derived from filed accounts. Not audited figures.