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PURITY SOFT DRINKS LIMITED

UK Flag Mounts Road, Wednesbury, West Midlands, WS10 0BU


PURITY SOFT DRINKS LIMITED Credit Report

Includes Risk Score, Credit Limit, CCJs, Mortgages & Charges, Director & Secretary Timeline, Shareholders, Ownership & Group Stucture. Plus UNLIMITED updates and FREE documents!

PURITY SOFT DRINKS LIMITED

Private limited with Share Capital

Active - Accounts Filed

20 December 1939

11070 Manufacture of soft drinks - Manufacture of soft drinks

Available to 25 Jul 2024. Next accounts due by 31 Dec 2025

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Current Directors & Secretaries

For a full in-depth analysis on each of these directors, click any of the links below

Name Role Date Of Birth Appointed
Mr Christopher Edward Steel Director
Mr Mark Frederick Caroe Director
Ms Sarah Jane Baldwin Director
Mr Garry Stephen Nield Director

Previous Directors & Secretaries

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Mortgages and Charges

Total Outstanding

0

Total Satisfied

14

Type Created Registered Persons Entitled Status
Hsbc Equipment Finance (Uk) Ltd, Hsbc Asset Finance (Uk) Ltd SATISFIED
Assignment Hsbc Asset Finance (Uk) Ltd And Hsbc Equipment Finance (Uk) Ltd SATISFIED
Floating Charge (All Assets) Hsbc Invoice Finance (Uk) Ltd ("the Security Holder") SATISFIED
Debenture Hsbc Bank PLC SATISFIED
Legal Assignment Hsbc Bank PLC SATISFIED
Legal Mortgage Hsbc Bank PLC SATISFIED
Legal Mortgage Hsbc Bank PLC SATISFIED
Fixed Charge On Purchased Debts Which Fail To Vest Hsbc Invoice Finance (Uk) Ltd (Security Holder) SATISFIED
Chattels Mortgage Hsbc Asset Finance (Uk) Limited & Hsbc Equipment Finance (Uk) Limited SATISFIED
Chattels Mortgage Hsbc Asset Finance (Uk) Limited And Hsbc Equipment Finance (Uk) Limited SATISFIED
Chattels Mortgage Hsbc Asset Finance (Uk) Limited And Hsbc Equipment Finance (Uk) Limited SATISFIED
Legal Mortgage Midland Bank PLC SATISFIED
Legal Mortgage Midland Bank PLC SATISFIED
Charge Midland Bank PLC SATISFIED
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Key Financials

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Accounts
Cash £2,366,384.00 £2,504,170.00 £5,114,786.00 £6,126,838.00 £10,494,806.00
Net Worth £4,527,639.00 £4,111,540.00 £5,726,379.00 £5,512,187.00 £10,303,765.00
Total Current Liabilities £8,378,459.00 £8,174,069.00 £11,667,543.00 £12,135,324.00 £9,158,704.00
Total Current Assets £9,333,011.00 £8,691,202.00 £15,522,001.00 £15,958,434.00 £17,735,317.00
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