2124 Brewing Co LLC
- State Juristiction
- PA
- Date of Incorporation
- 2012-04-18
- CIK
- 1615727
- Legal Form
- Limited Liability Company
- Offering via Honeycomb Portal LLC aka Honeycomb
- As of 2020-08-24, raising $50,000.00-$150,000.00 via 0+ of Debt at $1.00 by 2020-10-12Costing 8% in cash and 0% in equity
- As of 2021-09-30, raising $10,000.00-$525,000.00 via 10,000+ of Convertible Note at $0.00 by 2022-03-29Costing 13% in cash and 2% in equity
- As of 2022-03-28, raising $10,000.00-$525,000.00 via 10,000+ of Convertible Note at $0.00 by 2022-04-29Costing 13% in cash and 2% in equity
- As of 2022-04-26, raising $10,000.00-$525,000.00 via 10,000+ of Convertible Note at $0.00 by 2022-05-02Costing 13% in cash and 2% in equity
Filing date 2020-08-24 2021-09-30 Current employees 4 13 Act received most recent fiscal year $0.00 $0.00 Act received prior fiscal year $0.00 $0.00 Cash equi most recent fiscal year $142,197.00 $204,943.00 Cash equi prior fiscal year $82,796.00 $142,197.00 Cost goods sold most recent fiscal year $148,585.00 $163,978.00 Cost goods sold prior fiscal year $116,046.00 $148,585.00 Long term debt most recent fiscal year $201,532.00 $416,339.00 Long term debt prior fiscal year $858,086.00 $262,641.00 Net income most recent fiscal year -$478,333.00 -$362,263.00 Net income prior fiscal year -$598,948.00 -$463,437.00 Revenue most recent fiscal year $284,591.00 $276,357.00 Revenue prior fiscal year $202,538.00 $284,591.00 Short term debt most recent fiscal year $121,978.00 $168,128.00 Short term debt prior fiscal year $113,498.00 $168,022.00 Tax paid most recent fiscal year $0.00 $0.00 Tax paid prior fiscal year $0.00 $0.00 Total asset most recent fiscal year $819,502.00 $736,749.00 Total asset prior fiscal year $863,216.00 $773,314.00 - Offering via StartEngine Capital LLC aka StartEngine
- As of 2020-08-24, raising $50,000.00-$150,000.00 via 0+ of Debt at $1.00 by 2020-10-12Costing 8% in cash and 0% in equity
- As of 2021-09-30, raising $10,000.00-$525,000.00 via 10,000+ of Convertible Note at $0.00 by 2022-03-29Costing 13% in cash and 2% in equity
- As of 2022-03-28, raising $10,000.00-$525,000.00 via 10,000+ of Convertible Note at $0.00 by 2022-04-29Costing 13% in cash and 2% in equity
- As of 2022-04-26, raising $10,000.00-$525,000.00 via 10,000+ of Convertible Note at $0.00 by 2022-05-02Costing 13% in cash and 2% in equity
Filing date 2020-08-24 2021-09-30 Current employees 4 13 Act received most recent fiscal year $0.00 $0.00 Act received prior fiscal year $0.00 $0.00 Cash equi most recent fiscal year $142,197.00 $204,943.00 Cash equi prior fiscal year $82,796.00 $142,197.00 Cost goods sold most recent fiscal year $148,585.00 $163,978.00 Cost goods sold prior fiscal year $116,046.00 $148,585.00 Long term debt most recent fiscal year $201,532.00 $416,339.00 Long term debt prior fiscal year $858,086.00 $262,641.00 Net income most recent fiscal year -$478,333.00 -$362,263.00 Net income prior fiscal year -$598,948.00 -$463,437.00 Revenue most recent fiscal year $284,591.00 $276,357.00 Revenue prior fiscal year $202,538.00 $284,591.00 Short term debt most recent fiscal year $121,978.00 $168,128.00 Short term debt prior fiscal year $113,498.00 $168,022.00 Tax paid most recent fiscal year $0.00 $0.00 Tax paid prior fiscal year $0.00 $0.00 Total asset most recent fiscal year $819,502.00 $736,749.00 Total asset prior fiscal year $863,216.00 $773,314.00