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Pavement Creative Ltd·12227826

Old public accounts — extracted from the latest filed accounts.

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Pavement Creative Ltd

PAVEMENT CREATIVE LTD·Company no. 12227826·United Kingdom

Active on the registerInc. 2019 · 6 yrs oldPrivate Limited CompanySIC 74100·Specialised design activities

The Firmwatch take

Pavement Creative Ltd is a 6-year-old professional services, active on the Companies House register. The latest filed accounts (year to 30 September 2024) show GBP 515 in net assets, with 1 cautionary signal worth monitoring. No insolvency or strike-off filings appear in our public Companies House and Gazette data.

Refreshed 24 May 2026

Incorporated

26 September 2019

6 years on the register

Sector

Specialised design activities

SIC 74100

Size

Not classified

 

Net assets

£515

Bottom 30% in sector

Cash at bank

Not disclosed

Not required for this filing type

Latest filing

None yet

 

Financial snapshot

WatchYear ending 30 Sept 2024

£515

The filing includes a signal worth monitoring. This headline uses extracted Companies House accounts data, not private credit bureau information.

From Companies House filing for year ending 30 Sept 2024, imported 24 May 2026.

Source-backed indicators, not a credit decision.

Net assets

What is left after liabilities are deducted from assets.

£515

Working capital

Short-term assets minus short-term liabilities.

£13,015

Current assets

Assets expected to turn into cash within the next year.

£125,831

Current liabilities

Amounts due within one year, including short-term creditors.

£112,816

Current ratio

Current assets divided by current liabilities. Above 1.0 is usually easier to fund.

1.12

info

Positive net assets

The latest filed accounts show assets exceeding liabilities.

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Old public accounts

The latest extracted accounts period is more than 18 months old.

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Analytics

Risk, value and sector comparison

Insolvency risk

16/100

low risk

Estimated public-data value

£386 - £695

medium confidence - net asset range

Sector comparison

Sector: Professional Services

Sample: 52,274 companies

Negative net assets: 15.8%

Net assets vs sector median
-£2,206
Working capital vs sector median
£7,046
Sector median current ratio
1.45
  • Thin net asset buffer

    The company reports a small visible net asset position.

Risk and value are estimates from public accounts only. They are not a credit score, valuation opinion or insolvency prediction guarantee. See methodology.

Balance sheet

Full extracted balance sheet

Bottom 30% in sector · Sector medians shown for 52,274 filers in this sector (2024).

  • Cash at bank

    Bank balances disclosed in the public accounts.

    Not disclosed

  • Current assets

    Assets expected to turn into cash within one year.

    £125,831

  • Current liabilities

    Amounts due within one year (short-term creditors).

    £112,816

  • Working capital

    Current assets minus current liabilities.

    £13,015

    Median £6k

  • Fixed assets

    Long-term tangible and intangible assets.

    £810

  • Total assets less current liabilities

    Fixed assets plus working capital.

    £13,015

  • Net assets

    What's left after liabilities are deducted from assets.

    £515

    Median £3k

  • Equity (capital & reserves)

    Shareholder funds.

    £515

  • Current ratio

    Current assets divided by current liabilities. Above 1.0× is usually easier to fund.

    1.1×

    Median 1.4×

Figures extracted from the company's public XBRL/iXBRL filing. Fields shown as Not disclosed are not legally required for this filing type and are absent from the source document — they are not necessarily zero.

Firmwatch turns UK Companies House filings into plain-English company intelligence. Data is refreshed daily; signals are generated from public balance-sheet and filing patterns.

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© Firmwatch · Data sourced from Companies House under the Open Government Licence v3.0Last refresh · 24 May 2026