Company Overview
Cavu Experiences (Emea) Limited is listed at the official companies registry as Active Private Limited Company. The company was incorporated on Tuesday 25 October 2005, so this is a well established company. Cavu Experiences (Emea) Limited has been in business for 20 years and 5 months. The accounts status is full and the accounts are next due on Thursday 31 December 2026.
Registered Address

6Th Floor Olympic House, Manchester Airport, Manchester, M90 1QX
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Companies House Data
Company NameCAVU EXPERIENCES (EMEA) LIMITED
Company Number05602720
Registered Office Address6th Floor Olympic House
 Manchester Airport
 M90 1QX
Company CategoryPrivate Limited Company
Company StatusActive
Country of OriginUnited Kingdom
Incorporation Date25/10/2005
Accounting Reference Date Day31
Accounting Reference Date Month3
Accounts Next Due Date31/12/2026
Accounts Last Made Up Date31/03/2025
Accounts Account CategoryFULL
Returns Next Due Date22/11/2016
Returns Last Made Up Date25/10/2015
Previous Company NameChanged Date
SKYPARKSECURE LTD.06 Feb 2023
Directors & Members
Show Resigned
Caroline Exley - Director
(British, 52 years old, born January 1974)
Appointed 31 December 2025
Active
Nicholas Woods - Director
(British, 48 years old, born March 1978)
Appointed 31 December 2025
Active
Secretaries
Show Resigned
Other Company Directorships
Caroline Exley
AIRPORT SERVICES INTERNATIONAL LIMITED
PEOPLE PLACES LIVES LIMITED
Nicholas Woods
No companies found
Balance Sheet Unlock full report
Accounts Date 31-Mar-2025 31-Dec-2012 31-Dec-2011
Balance Sheet
Fixed Assets 63,953 63,953 73,301
Current Assets 623,531 623,531 474,557
Creditors Due Within One Year 711,311 711,311 573,082
Working Cap -87,780 -87,780 -98,525
Total Assets Less Current Liabilities -23,827 -23,827 -25,224
Long-term Liabilities 0 0 0
Net Assets -23,827 -23,827 -25,224
Share Capital & Reserves
Share Cap 1 1 1
Profit & Loss Reserves -23,828 -23,828 -25,225
Other Reserves 0 0 0
Shareholders Funds -23,827 -23,827 -25,224
Common Size Financial Analysis Unlock full report
Accounts Date 31-Mar-2025 31-Dec-2012 31-Dec-2011
Tangible Fixed Assets - - -
Fixed Assets 9.3% 9.3% 13.4%
Stocks Inventory 0.0% 0.0% 0.0%
Debtors 40.4% 40.4% 50.0%
Cash Bank In Hand 50.3% 50.3% 36.6%
Current Assets 90.7% 90.7% 86.6%
Creditors Due Within One Year 103.5% 103.5% 104.6%
Net Current Assets Liabilities -12.8% -12.8% -18.0%
Creditors Due After One Year 0.0% 0.0% 0.0%
Accruals Deferred Income - - -
Provisions For Liabilities Charges - - -
Net Assets Liabilities Including Pension Asset Liability -3.5% -3.5% -4.6%
Called Up Share Capital 0.0% 0.0% 0.0%
Share Capital Allotted Called Up Paid 0.0% 0.0% 0.0%
Profit Loss Account Reserve -3.5% -3.5% -4.6%
Shareholder Funds -3.5% -3.5% -4.6%
Capital Employed - - -
Total Assets Less Current Liabilities -3.5% -3.5% -4.6%
Financial Ratio Analysis Unlock full report
Accounts Date 31-Mar-2025 31-Dec-2012 31-Dec-2011
Liquidity Ratio 0.9 0.9 0.8
Solvency Ratio 1.0 1.0 1.0
Reserves to Assets 0.0 0.0 0.0
Secured Creditors Unlock full report
Mortgages Charges 2
Mortgages Outstanding 1
Mortgages Part Satisfied 0
Mortgages Satisfied 1
Assets and Debt Analysis Unlock full report
Accounts Date 31-Mar-2025 31-Dec-2012 31-Dec-2011
Assets 687,484 687,484 547,858
Debt 711,311 711,311 573,082
Net Assets/Debt -23,827 -23,827 -25,224

The following is based on the accounts data presented in this report sourced from Companies House, however the company has filed later accounts. Our analysis of the latest account can be viewed by unlocking our full report.

As at the balance sheet date short term liquid assets were less than current debt. We would normally view this in the context of other profitability and solvency indicators. Total reserves including retained profitability and movement in reserves has some deficiency. The balance sheet net assets figure is negative.

Unlock full report  The following is based on the accounts data presented in this report sourced from Companies House, however the company has filed later accounts. Our analysis of the latest account can be viewed by unlocking our full report.As at the balance sheet date short term liquid assets were less than current debt. We would normally view this in the context of other profitability and solvency indicators. Total reserves including retained profitability and movement in reserves has some deficiency. The balance sheet net assets figure is negative.   The following is based on the accounts data presented in this report sourced from Companies House, however the company has filed later accounts. Our analysis of the latest account can be viewed by unlocking our full report.As at the balance sheet date short term liquid assets were less than current debt. We would normally view this in the context of other profitability and solvency indicators. Total reserves including retained profitability and movement in reserves has some deficiency. The balance sheet net assets figure is negative.

This review of public record balance sheet and company status information is presented under the terms of Open Government Licence and is for informational purposes only, is general in nature, and is not intended as an opinion or advice for any specific circumstances. The commentary and the colour band score is not a credit rating or credit risk assessment.

This review does not constitute a full credit rating or credit risk assessment based on the full analysis and credit score algorithms used in our credit reports. A full credit report may also provide information relating to trade payment history and county court or court judgments if any.

Public Record Information Unlock full report
Exact Court Judgements
Period of Months Last 12m 13-24m 25-36m 37-48m 49-60m 61-72m
Number of Exact CCJS X Y Y X X Y
Value of Exact CCJS YXY YK S S X KX
Supplier Credit Limits Unlock full report
Date Sector Notified Amount Terms
XK-SXY XKXYXK SXSKXYXK £X,000 XS XYSKS
SK-SYY SKXYXKYKKY KSXX KKXXYXS £YY,000 YS XYSKS SK YXXSXS
YK-SXY XKXYXYYK SXSXYXK £SX,000 XS XYSKS
Payment Records Unlock full report
Payment Records from it's suppliers' company ledger show how a company is paying its suppliers

Payment Analysis

Total Invoices Paid Before
30 days due
Paid After
30 days due
Owing Before
30 days due
Owing after
30 days due
XYX SX K YX X
Company Valuation Analysis Unlock full report

Going Concern Valuation

The going concern valuations value the company on the basis that it continues to trade without the threat of liquidation for the foreseeable future. These valuations are primarily profit and cashflow based.

Valuations Valuation Measures
Estimated High Value £XSI,000 Retained Profit £YX,000
Estimated Mid Value £YY,000 EBIT £SY,000
Estimated Low Value £X,000 EBITDA £SSX,000

Liquidation Valuation

The liquidaton valuation values the company as if it were to cease trading and assets were subject to rapid disposal to cover liabilities. This valuation is primarily asset based.

Valuations Valuation Measures
Estimated High Value £XY,000 Total Assets £XIX,000
Estimated Mid Value £Y,000 Net Assets £YX,000
Estimated Low Value £S,000 Tangible Equity £SX,000

The above valuations are based on our own algorithms and take no account of many factors that can influence actual valuations realized and should not therefore be assumed to be accurate.

Credit Status Checklist Unlock full report
Business Growth Please purchase a report to see true comments
EBITDA Purchase a report to see true comments
Dividends Please purchase a report to see true comments about this company
Retained Profits Retained Profits for this company
Debt Interest Debt Interest for this company
Cash Flow Cash Flow for this company
CCJs CCJs for this company
Age of Company Age of Company for this company
Solvency Solvency for this company
Secured Creditors Secured Creditors for this company
Ownership Ownership for this company


First Report Score: (0-10) X
Financial Status Guide:
10 Very Strong
9 Strong
8 Very Good
7 Good
6 Above Average
5 Average
4 Below Average
3 Poor
2 Weak
1 Very Weak
0 Critical

Risk Score Trend

Risk Rating Unlock full report

This is the credit risk assessment used by one of the top UK credit reference agencies.

Risk Score (1-100) X
Risk Band Description XXMXMXMX SISX
Risk Assessment Meeting of Creditors
Credit Rating XSKX
Altman Z Score Credit Risk Rating Unlock full report

There have been many bankruptcy predictors developed, however none has been so thoroughly tested and broadly accepted as the Altman Z-Score.

Z Score X
Risk Band XY
Risk Band Description The Z Score is not used for small companies where full accounts are not filed because profit and loss account items are required to calculate the score.

Z Score Bands

1 Low Risk 3.00 and above
2 Caution 2.63 - 2.99
3 Risk of Failure within 2 years 1.24 - 2.62
4 High Probability Failure Below 1.24
Other Business around M90 1QX
AIRPORT CITY (MANCHESTER) INVESTMENTS LIMITED
6TH FLOOR, OLYMPIC HOUSE MANCHESTER AIRPORT, MANCHESTER, M90 1QX
EMIA PENSION TRUSTEE LTD
HR REWARD 4TH FLOOR, OLYMPIC HOUSE, MANCHESTER AIRPORT, MANCHESTER, M90 1QX
AIRPORT CITY (MANCHESTER) LIMITED
6TH OLYMPIC HOUSE, MANCHESTER AIRPORT, MANCHESTER, GREATER MANCHESTER, M90 1QX
M.A.G DC PENSION TRUSTEE LTD
Hr Reward 4th Floor, Olympic House, Manchester Airport, Manchester, M90 1QX
MANCHESTER AIRPORTS HOLDINGS LIMITED
6TH FLOOR OLYMPIC HOUSE, MANCHESTER AIRPORT, MANCHESTER, GREATER MANCHESTER, M90 1QX
MANCHESTER AIRPORT GROUP INVESTMENTS LIMITED
6TH FLOOR OLYMPIC HOUSE, MANCHESTER AIRPORT, MANCHESTER, GREATER MANCHESTER, M90 1QX
MANCHESTER AIRPORT GROUP FINANCE LIMITED
6TH FLOOR OLYMPIC HOUSE, MANCHESTER AIRPORT, MANCHESTER, GREATER MANCHESTER, M90 1QX
AIRPORT CITY (GENERAL PARTNER) LIMITED
6TH FLOOR, OLYMPIC HOUSE MANCHESTER AIRPORT, MANCHESTER, M90 1QX
AIRPORT CITY (ASSET MANAGER) LIMITED
6TH FLOOR, OLYMPIC HOUSE MANCHESTER AIRPORT, MANCHESTER, M90 1QX
AVIATOR MAN LIMITED
C/O Fti Consulting Llp 200, Aldersgate Street, London, Uk, M90 1QX
Document Filings
Termination of appointment of Martin Jones as a director on 31 December 2025
Appointment of Nicholas Graham Woods as a director on 31 December 2025
Termination of appointment of John Kenneth O'toole as a director on 31 December 2025
Appointment of Mrs Caroline Anne Exley as a director on 31 December 2025
Change of details for Simmerdown Limited as a person with significant control on 3 December 2020
Confirmation statement made on 25 October 2025 with no updates
Appointment of Mr John Kenneth O'toole as a director on 29 September 2025
Termination of appointment of Janine Bramall as a director on 1 October 2025
Confirmation statement made on 25 October 2024 with no updates
Confirmation statement made on 25 October 2023 with no updates
Certificate of change of name
Confirmation statement made on 25 October 2022 with updates
Director's details changed for Mr Martin Jones on 1 August 2022
Resolutions
Statement of capital following an allotment of shares on 30 March 2022
Appointment of Mr Martin Jones as a director on 4 March 2022
Termination of appointment of Bradley James Miller as a director on 24 February 2022
Termination of appointment of John Kenneth O'toole as a director on 24 February 2022
Confirmation statement made on 25 October 2021 with no updates

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