| 08/02/23 |
4,851.60 |
WIGHT HOME CARE |
Order Settlement to Bal Sht GL |
Balance Sheet |
| 10/05/23 |
4,851.60 |
APEX PRIME CARE |
Order Settlement to Bal Sht GL |
Balance Sheet |
| 07/07/21 |
4,851.12 |
JHN HEALTHCARE |
Order Settlement to Bal Sht GL |
Balance Sheet |
| 05/11/25 |
4,844.84 |
NEW WAVE CARE GROUP LTD |
Order Settlement to Bal Sht GL |
Balance Sheet |
| 29/10/25 |
4,844.84 |
NEW WAVE CARE GROUP LTD |
Order Settlement to Bal Sht GL |
Balance Sheet |
| 25/01/23 |
4,841.20 |
WIGHT HOME CARE |
Order Settlement to Bal Sht GL |
Balance Sheet |
| 27/11/24 |
4,836.00 |
APEX PRIME CARE |
Order Settlement to Bal Sht GL |
Balance Sheet |
| 12/06/24 |
4,836.00 |
GREENCOTE LTD T/A BLUEBIRD |
Order Settlement to Bal Sht GL |
Balance Sheet |
| 31/12/24 |
4,835.55 |
UNISON |
Unison Subs Pay Deductions |
Balance Sheet |
| 01/03/23 |
4,830.80 |
APEX PRIME CARE |
Order Settlement to Bal Sht GL |
Balance Sheet |
| 31/12/24 |
4,828.20 |
UNISON |
Unison Subs Pay Deductions |
Balance Sheet |
| 19/07/23 |
4,827.48 |
MARSH LTD |
Insurance Premiums Paid |
Insurance Renewals Suspense |
| 09/02/22 |
4,826.10 |
UNISON |
Unison Subs Pay Deductions |
Balance Sheet |
| 19/10/22 |
4,824.12 |
REGARD PARTNERSHIP |
Order Settlement to Bal Sht GL |
Balance Sheet |
| 12/10/22 |
4,824.12 |
REGARD PARTNERSHIP |
Order Settlement to Bal Sht GL |
Balance Sheet |
| 05/10/22 |
4,824.12 |
REGARD PARTNERSHIP |
Order Settlement to Bal Sht GL |
Balance Sheet |
| 07/02/24 |
4,819.28 |
APEX PRIME CARE [SBR] |
Order Settlement to Bal Sht GL |
Balance Sheet |
| 25/02/26 |
4,814.52 |
PACIFIC CARE SERVICES LIMITED |
Order Settlement to Bal Sht GL |
Balance Sheet |
| 31/01/24 |
4,813.65 |
APEX PRIME CARE |
Order Settlement to Bal Sht GL |
Balance Sheet |
| 12/07/23 |
4,813.65 |
APEX PRIME CARE |
Order Settlement to Bal Sht GL |
Balance Sheet |
| 08/12/23 |
4,809.35 |
UNISON |
Unison Subs Pay Deductions |
Balance Sheet |
| 12/04/24 |
4,809.30 |
UNISON |
Unison Subs Pay Deductions |
Balance Sheet |
| 18/06/25 |
4,808.16 |
GOOD OAKS HOMECARE ISLE OF WIGHT |
Order Settlement to Bal Sht GL |
Balance Sheet |
| 17/08/22 |
4,808.01 |
YARMOUTH (IW) HARBOUR COMMISSIONERS |
CP Pier Sq Yarmouth Income Holding AC |
Balance Sheet |
| 09/03/22 |
4,803.60 |
UNISON |
Unison Subs Pay Deductions |
Balance Sheet |
| 03/07/24 |
4,800.00 |
GREENCOTE LTD T/A BLUEBIRD |
Order Settlement to Bal Sht GL |
Balance Sheet |
| 24/07/24 |
4,800.00 |
GREENCOTE LTD T/A BLUEBIRD |
Order Settlement to Bal Sht GL |
Balance Sheet |
| 14/02/24 |
4,799.80 |
UNISON |
Unison Subs Pay Deductions |
Balance Sheet |
| 14/04/22 |
4,792.10 |
REDACTED PERSONAL DATA |
Order Settlement to Bal Sht GL |
Balance Sheet |
| 03/07/24 |
4,788.83 |
OSEL ENTERPRISES LIMITED |
Order Settlement to Bal Sht GL |
Balance Sheet |