Notes | Year ended | Year ended | ||
30 June | 30 June | |||
2025 | 2024 | |||
£ | £ | |||
Revenue | ||||
Gross profit | ||||
Administrative expenses | 3 | ( | ( | |
Other operating income | ||||
Operating Loss | ( | ( | ||
Interest payable | 5 | ( | ||
Loss before taxation | ( | ( | ||
Income tax expense | 6 | ( | ||
Loss for the year | ( | ( | ||
Total comprehensive loss for the year | ( | ( | ||
Loss per share attributable to equity shareholders of the Company | 7 | |||
- | Basic earnings per share | ( | ( | |
- | Diluted earnings per share | ( | ( |
30 June | 30 June | ||
2025 | 2024 | ||
£ | £ | ||
Assets | |||
Non-current assets | |||
Intangible assets | 8 | ||
Total non-current assets | |||
Current assets | |||
Trade and other receivables | 10 | ||
Cash and cash equivalents | 11 | ||
Total assets | |||
Equity | |||
Share capital | 12 | ||
Share premium | 13 | ||
Accumulated losses | 13 | ( | ( |
( | ( | ||
Liabilities | |||
Current liabilities | |||
Trade and other payables | 14 | ||
Loans and borrowings | 15 | ||
Total liabilities | |||
Total equity and liabilities |
Share | Share | Accumulated | Total | |
capital | premium | losses | Equity | |
£ | £ | £ | £ | |
Balance at 30 June 2023 | ( | ( | ||
Loss for the year | ( | ( | ||
Total comprehensive loss for the year | ( | ( | ||
Transactions with owners: | ||||
Issue of shares | ||||
Total contribution by and distribution to owners | ||||
Balance at 30 June 2024 | ( | ( | ||
Loss for the year | ( | ( | ||
Total comprehensive loss for the year | ( | ( | ||
Transactions with owners: | ||||
Issue of shares | ||||
Total contribution by and distribution to owners | ||||
Balance at 30 June 2025 | ( | ( |
Year ended | Year ended | ||
30 June | 30 June | ||
2025 | 2024 | ||
£ | £ | ||
Cash flows from operating activities | |||
Total comprehensive loss for the year | ( | ( | |
Add back: | |||
Costs relating to EHGOSF facility | |||
Interest on promissory notes | |||
Tax charge | |||
Net write back of trade creditors | ( | ||
( | ( | ||
Increase in trade and other receivables | 10 | ( | ( |
Decrease/(increase) in trade and other payables | 14 | ( | |
Net cash used in operating activities | ( | ( | |
Cash flows from financing activities | |||
Cash flows from issue for promissory notes | 15 | ||
Cash flows from issue of convertible loan notes | 15 | ||
Net cash flows from financing activities | |||
Net (decrease)/increase in cash and cash equivalents | ( | ||
Cash and cash equivalents at beginning of year | |||
Cash and cash equivalents at year end | 11 |
The average number of staff employed by the group during the year amounted to: | ||
General and administration | 3 | 4 |
3 | 4 |
Year ended | Year ended | |||
| 30 June | 2025 | 30 June | 2024 | |
£ | £ | |||
Interest payable on promissory notes | 64,214 | - | ||
Total interest payable | 64,214 | - |
Year ended | Year ended | |||
| 30 June | 2025 | 30 June | 2024 | |
£ | £ | |||
Current tax | 8,892 | - | ||
Total current tax | 8,892 | - |
Year ended | Year ended | |
30 June 2025 | 30 June 2024 | |
£ | £ | |
Loss before taxation | (619,333) | (246,052) |
Tax using the parent company’s domestic tax rate of 25% (2024: 25%) | (154,833) | (61,513) |
Effects of: | ||
Losses carried forward | 154,833 | 61,513 |
Adjustments in respect of prior periods | 8,892 | - |
Total tax charged in the income statement | 8,892 | - |
Year ended | Year ended | ||
30 June 2025 | 30 June | 2024 | |
£ | £ | ||
Basic earnings per share | |||
Numerator | |||
Loss for the year | (628,225) | (246,052) | |
Denominator | |||
Weighted average number of ordinary shares used in basic earnings per | |||
share (units) | 11,391,057 | 8,784,726 | |
Basic loss per share | (0.06) | (0.03) |
Intellectual | ||
Property | Total | |
£ | £ | |
Cost | ||
Balance at 30 June 2024 | 21,600 | 21,600 |
Additions | - | - |
Balance at 30 June 2025 | 21,600 | 21,600 |
Amortisation | ||
Balance at 30 June 2024 | 21,599 | 21,599 |
Impairment | - | - |
Balance at 30 June 2025 | 21,599 | 21,599 |
Carrying amounts | ||
Balance at 30 June 2025 | 1 | 1 |
Balance at 30 June 2024 | 1 | 1 |
30 June | 30 June | |
2025 | 2024 | |
£ | £ | |
Investments in subsidiaries | 1 | 1 |
1 | 1 |
| Subsidiaries as at 30 June 2025: | |||||
Country of | Nature of | Notes | |||
Entity | Registered office address | incorporation | business | ||
Nuuco Media Limited | 7 Bell Yard, London, WC2A 2JR | United Kingdom | Dormant | (c) (d) | |
company | |||||
WideCells International Limited | PO Box 4385, 08150010: | United Kingdom | Holding company | (c) (d) | |
Companies House Default | |||||
Address, Cardiff, CF14 8LH | |||||
CellPlan Limited | Gladstone House, 77-29 High | United Kingdom | Dormant | (a) (d) | |
Street, Egham, Surrey, TW20 | company | ||||
9HY | |||||
CellPlan International Lda | Edificio Tower Plaza Rotunda | Portugal | Dormant | (b) (d) | |
Eng, Edgar Cardoso, no. 23, 11 | company | ||||
F, 4400 - 676 | Vila Nova de Gaia, | ||||
Portugal |
| Group | ||
30 June | 30 June | |
2025 | 2024 | |
£ | £ | |
Prepayments and accrued income | 59,305 | 10,030 |
Total | 59,305 | 10,030 |
| Company | 30 June | 30 June |
2025 | 2024 | |
£ | £ | |
Prepayments and accrued income | 59,305 | 10,030 |
Total | 59,305 | 10,030 |
| Group | ||
30 June | 30 June | |
2025 | 2024 | |
£ | £ | |
Cash at bank available on demand | 35,738 | 129,309 |
Total cash and cash equivalents | 35,738 | 129,309 |
| Company | 30 June | 30 June |
2025 | 2024 | |
£ | £ | |
Cash at bank available on demand | 35,738 | 129,309 |
Total cash and cash equivalents | 35,738 | 129,309 |
30 June 2025 | 30 June 2024 | |||
Number | £ | Number | £ | |
Authorised, allotted and fully paid – | ||||
classified as equity | ||||
Ordinary shares of £0.0001 each (2024 - £0.0001 each) | 13,884,027 | 1,388 | 11,161,483 | 1,116 |
Deferred shares of £0.0999 each | 11,161,483 | 1,115,032 | 11,161,483 | 1,115,032 |
Deferred shares of £0.00249 each | 1,637,129,905 | 4,076,454 | 1,637,129,905 | 4,076,454 |
Total | 1,662,175,415 | 5,192,874 | 1,659,452,871 | 5,192,602 |
Reserve | Description and purpose |
Share premium | Amount subscribed for share capital in excess of |
nominal value | |
Accumulated losses | All other net gains and losses and transactions with |
owners (e.g. dividends) not recognised elsewhere |
30 June | 30 June | |
2025 | 2024 | |
£ | £ | |
Trade payables | 719,872 | 800,289 |
Accruals | 260,952 | 75,315 |
Total | 980,824 | 875,604 |
30 June | 30 June | |
2025 | 2024 | |
£ | £ | |
Trade payables | 719,872 | 800,289 |
Accruals | 260,952 | 75,315 |
980,824 | 875,604 |
30 June | 30 June | |
2025 | 2024 | |
Current | £ | £ |
Promissory notes | 1,050,488 | 631,779 |
Convertible loans | 2,026,000 | 2,015,000 |
Total | 3,076,488 | 2,646,779 |
| Company | ||
30 June | 30 June | |
2025 | 2024 | |
Current | £ | £ |
Promissory notes | 1,050,488 | 631,779 |
Convertible loans | 2,026,000 | 2,015,000 |
Total | 3,076,488 | 2,646,779 |
Carrying value | Falling due within 1 | Falling due in | Total | ||
year | more than 1 | ||||
year but not | |||||
more than 5 | |||||
years | |||||
£ | £ | £ | £ | ||
2025 | |||||
Financial liabilities: current and non-current | |||||
Trade | and | 980,824 | 980,824 | - | 980,824 |
other payables | |||||
Promissory | 1,050,488 | 1,050,488 | - | 1,050,488 | |
notes | |||||
Convertible | 2,026,000 | 2,026,000 | - | 2,026,000 | |
loan notes | |||||
Total | financial | 4,057,312 | 4,057,312 | - | 4,057,312 |
liabilities | |||||
Financial assets: current and non-current | |||||
Trade | and | 59,305 | 59,305 | - | 59,305 |
other receivables | |||||
Cash and cash | 35,738 | 35,738 | - | 35,738 | |
equivalents | |||||
Total | financial | 95,043 | 95,043 | - | 95,043 |
assets | |||||
Net debt | (3,962,269) | (3,962,269) | - | (3,962,269) | |
2024 | |||||
Financial liabilities: current and non-current | |||||
Trade | and | 875,604 | 875,604 | - | 875,604 |
other payables | |||||
Promissory | 631,779 | 631,779 | - | 631,779 | |
notes | |||||
Convertible | 2,015,000 | 2,015,000 | - | 2,015,000 | |
loan notes | |||||
Total | financial | 3,522,383 | 3,522,383 | - | 3,522,383 |
liabilities | |||||
Financial assets: current and non-current | |||||
Trade | and | 10,030 | 10,030 | - | 10,030 |
other receivables | |||||
Cash and cash | 129,309 | 129,309 | - | 129,309 | |
equivalents | |||||
Total | financial | 139,339 | 139,339 | - | 139,339 |
assets | |||||
Net debt | (3,383,044) | (3,383,044) | - | (3,383,044) | |
| Group: | ||
2025 | 2024 | |
£ | £ | |
Cash and cash equivalents | 35,738 | 129,309 |
Trade and other receivables | 59,305 | 10,030 |
Total financial assets – amortised cost | 95,043 | 139,339 |
2025 | 2024 | |
£ | £ | |
Trade and other payables | 980,824 | 875,604 |
Loans and borrowings | 3,076,488 | 2,646,779 |
Total liabilities – amortised cost | 4,057,312 | 3,522,383 |
Company: | 2025 | 2024 |
£ | £ | |
Cash and cash equivalents | 35,738 | 129,309 |
Trade and other receivables | 59,305 | 10,030 |
Total financial assets – amortised cost | 95,043 | 139,339 |
2025 | 2024 | |
£ | £ | |
Trade and other payables | 980,824 | 875,604 |
Loans and borrowings | 3,076,488 | 2,646,779 |
Total liabilities – amortised cost | 4,057,312 | 3,522,383 |
| As at 31 March 2025 | |||
Current | More than | Total | |
1 year | |||
overdue | |||
£ | £ | £ | |
Prepayments and accrued income | 59,305 | - | 59,305 |
Gross carrying amount | 59,305 | - | 59,305 |
| As at 31 March 2024 | Current | More than | Total |
1 year | |||
overdue | |||
£ | £ | £ | |
Prepayments and accrued income | 10,030 | - | 10,030 |
Gross carrying amount | 10,030 | - | 10,030 |
| Group | ||
2025 | 2024 | |
£ | £ | |
Trade and other receivables | 59,305 | 10,030 |
Cash held at 3S/Wise Payments Limited | 35,738 | 129,309 |
Total financial assets | 95,043 | 139,339 |
| Company | 2025 | 2024 |
£ | £ | |
Trade and other receivables | 59,305 | 10,030 |
Cash held at 3S/Wise Payments Limited | 35,738 | 129,309 |
Total financial assets | 95,043 | 139,339 |
| Group: | ||||||
Up to | Between | Between | Between | Over 5 | Total | |
3 months | 3 and 12 | 1 and 2 | 2 and 5 | years | ||
months | years | years | ||||
2025 | £ | £ | £ | £ | £ | £ |
Trade and other payables | 980,824 | - | - | - | - | 980,824 |
Borrowings | 3,076,488 | - | - | - | - | 3,076,488 |
Total | 4,057,312 | - | - | - | - | 4,057,312 |
Up to | Between | Between | Between | Over 5 | Total | |
3 months | 3 and 12 | 1 and 2 | 2 and 5 | years | ||
months | years | years | ||||
2024 | £ | £ | £ | £ | £ | £ |
Trade and other payables | 875,604 | - | - | - | - | 875,604 |
Borrowings | 2,646,779 | - | - | - | - | 2,646,779 |
Total | 3,522,383 | - | - | - | - | 3,522,383 |
| Non- | cash change in | |||||||
Net debt at 01 July | loan and promissory | Conversion of loan | Net cash | |||||
2024 | Cash flow | notes | notes to equity | at 30 June 2025 | ||||
£ | £ | £ | £ | £ | ||||
Cash at bank and in hand | 129,309 | (93,571) | - | - | 35,738 | |||
Borrowings | (2,646,779) | (354,495) | (124,214) | 49,000 | (3,076,488) | |||
Total financial liabilities | (2,517,470) | (448,066) | (124,214) | 49,000 | (3,040,750) | |||
Non- cash change in | ||||||||
Net debt at 01 | loan and promissory | Conversion of loan | Net cash | |||||
| July | 2023 | Cash flow | notes | notes to equity | at 30 June 2024 | |||
£ | £ | £ | £ | £ | ||||
Cash at bank and in hand | 50,243 | 79,066 | - | - | 129,309 | |||
Borrowings | (2,150,000) | (881,779) | (260,000) | 435,000 | (2,646,779) | |||
Total financial liabilities | (2,099,757) | (802,713) | (260,000) | 435,000 | (2,517,470) | |||