13 01/03/2025 28/02/2026 2026-02-28 false false false false false false false true false false true false false false false false false false No description of principal activities is disclosed 2025-03-01 Sage Accounts Production 25.0 - FRS102_2025 xbrli:pure xbrli:shares iso4217:GBP 14628316 2025-03-01 2026-02-28 14628316 2026-02-28 14628316 2025-02-28 14628316 2024-03-01 2025-02-28 14628316 2025-02-28 14628316 2024-02-29 14628316 bus:Director3 2025-03-01 2026-02-28 14628316 bus:Director4 2025-03-01 2026-02-28 14628316 bus:Director1 2025-03-01 2026-02-28 14628316 core:WithinOneYear 2026-02-28 14628316 core:WithinOneYear 2025-02-28 14628316 bus:Director3 2025-02-28 14628316 bus:Director3 2026-02-28 14628316 bus:Director4 2025-02-28 14628316 bus:Director4 2026-02-28 14628316 bus:Director3 2025-02-28 14628316 bus:Director4 2025-02-28 14628316 bus:Director3 2024-03-01 2025-02-28 14628316 bus:Director4 2024-03-01 2025-02-28 14628316 bus:Micro-entities 2025-03-01 2026-02-28 14628316 bus:AuditExempt-NoAccountantsReport 2025-03-01 2026-02-28 14628316 bus:SmallCompaniesRegimeForAccounts 2025-03-01 2026-02-28 14628316 bus:PrivateLimitedCompanyLtd 2025-03-01 2026-02-28 14628316 bus:FullAccounts 2025-03-01 2026-02-28
Company registration number: 14628316
Hebden Deli Limited
Unaudited filleted financial statements
28 February 2026
Hebden Deli Limited
Contents
Statement of financial position and notes to the financial statements
Hebden Deli Limited
Statement of financial position
28 February 2026
2026 2025
£ £
Fixed assets 58,186 60,512
_______ _______
Current assets 19,763 24,211
Creditors: amounts falling due within one year ( 70,122) ( 74,976)
_______ _______
Net current liabilities ( 50,359) ( 50,765)
_______ _______
Total assets less current liabilities 7,827 9,747
Accruals and deferred income ( 1,323) ( 2,460)
_______ _______
Net assets 6,504 7,287
_______ _______
Capital and reserves 6,504 7,287
_______ _______
Notes to the financial statements
Hebden Deli Limited
Year ended 28 February 2026
1. Employee numbers
The average number of persons employed by the company during the year amounted to 13 (2025: 12 ).
2. Directors advances, credits and guarantees
During the year the directors entered into the following advances and credits with the company:
2026
Balance brought forward Advances /(credits) to the directors Amounts repaid Balance o/standing
£ £ £ £
K M Fay 7,012 6,005 ( 7,000) 6,017
K L S Hayward 7,012 6,005 ( 7,000) 6,017
_______ _______ _______ _______
14,024 12,010 ( 14,000) 12,034
_______ _______ _______ _______
2025
Balance brought forward Advances /(credits) to the directors Amounts repaid Balance o/standing
£ £ £ £
K M Fay - 7,012 - 7,012
K L S Hayward - 7,012 - 7,012
_______ _______ _______ _______
- 14,024 - 14,024
_______ _______ _______ _______
Directors advances were repaid post year end and within 9 months.
For the year ending 28 February 2026 the company was entitled to exemption from audit under section 477 of the Companies Act 2006 relating to small companies.
Directors responsiblities:
- The members have not required the company to obtain an audit of its accounts for the year in question in accordance with section 476.
- The directors acknowledge their responsibilities for complying with the requirements of the Act with respect to accounting records and the preparation of accounts.
The financial statements have been prepared in accordance with the micro-entity provisions and have been delivered in accordance with the provisions applicable to companies subject to the small companies regime.
These financial statements were approved by the board of directors and authorised for issue on 21 July 2026 , and are signed on behalf of the board by:
I A Fay
Director
Company registration number: 14628316
The company is a private company limited by shares, registered in England and Wales. The address of the registered office is 33 Crown Street, Hebden Bridge, HX7 8EH.