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SummaryLegal & StatusTimelineNetworkOwnership & ManagementShareholdersUltimate Beneficial OwnerGeographyFinancialsFinancial HealthDocuments

CAERAU DEVELOPMENT TRUST

🇬🇧United Kingdom•Private limited by guarantee (exempt)•Active

Summary

Country🇬🇧United Kingdom
StatusActive
Registration Number06849950
Founded17/03/2009
PurposeOther service activities n.e.c.
AddressCommunity Centre, Woodland Terrace, Maesteg, Mid Glamorgan, CF34 0SR
Confirmation StatementNext due: 31/03/2027; Last made up: —

Legal & Status

Legal FormPrivate limited by guarantee (exempt)
StatusActive
Registration Date17/03/2009
Registry AuthorityCompanies House
Registered Capital—

Source: UK Companies House · Last updated: 03/12/2025

Timeline (82 events)

27/04/2026

Legal form changed

Pri/lbg/nsc (private, Limited By Guarantee, No Share Capital, Use Of 'limited' Exemption) → Private limited by guarantee (exempt)

01/02/2026

Legal form changed

Private limited by guarantee (exempt) → Pri/lbg/nsc (private, Limited By Guarantee, No Share Capital, Use Of 'limited' Exemption)

17/03/2009

Appointed Ian David, Morris (person)

Appointed as Director

Network

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Network depth

Ownership & Management

Officers & directors

Karl Edwards

Director

Appointed: 22/06/2017

—
Ruby Janice Dawe

Director

Appointed: 31/03/2016

—
Graham Stephen Dawe

Director

Appointed: 31/03/2016

—
Ian David, Morris

Director

Appointed: 17/03/2009

—
James-alexander Sheikh

Director

Appointed: 05/05/2024 · Resigned: 01/01/2026

—

Showing 1–5 of 40

1 / 8

Ownership Timeline

No ownership changes found

Shareholders

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Ultimate Beneficial Owner

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Geography

Headquarters

Community Centre

Woodland Terrace

Maesteg

Mid Glamorgan

CF34 0SR

Financials

Key figures from annual accounts filings.

Convert to

2013

Profit / (loss): £136.5K

Key figures

Profit / (loss)

2013£136,533
2014£122,145

Total assets

2013£136,533
2014£122,145

Current Assets

2013£7,294
2014£4,908

Net Current Assets Liabilities

2013£-12,414
2014£-14,282

Debtors

2013£2,741
2014£2,741

Capital Employed

2013£136,533
2014£122,145

Cash Bank In Hand

2013£4,553
2014£2,167

Creditors Due Within One Year

2013£19,708
2014£19,190

Net Assets Liabilities Including Pension Asset Liability

2013£136,533
2014£122,145

Profit Loss Account Reserve

2013£136,533
2014£122,145

Tangible Fixed Assets

2013£148,947
2014£136,427

Tangible Fixed Assets Cost Or Valuation

2013£164,107
2014£164,107

Tangible Fixed Assets Depreciation

2013£27,680
2014£40,200

Tangible Fixed Assets Depreciation Charged In Period

2013£12,520
2014£12,520
Metric20132014
Profit / (loss)£136,533£122,145
Total assets£136,533£122,145
Current Assets£7,294£4,908
Net Current Assets Liabilities£-12,414£-14,282
Debtors£2,741£2,741
Capital Employed£136,533£122,145
Cash Bank In Hand£4,553£2,167
Creditors Due Within One Year£19,708£19,190
Net Assets Liabilities Including Pension Asset Liability£136,533£122,145
Profit Loss Account Reserve£136,533£122,145
Tangible Fixed Assets£148,947£136,427
Tangible Fixed Assets Cost Or Valuation£164,107£164,107
Tangible Fixed Assets Depreciation£27,680£40,200
Tangible Fixed Assets Depreciation Charged In Period£12,520£12,520

Documents

Termination of director appointment

27/04/2026

View

Termination of director appointment

27/04/2026

View

Confirmation statement

27/04/2026

View

Appointment of director

15/05/2024

View

Annual Accounts

Accounts for the accounting period ending on: 31/03/2014

Filed: 31/03/2014

View

Annual Accounts

Accounts for the accounting period ending on: 31/03/2013

Filed: 31/03/2013

View

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Current ratio (2014)Current ratio
0.26×
YoY profit / (loss) (2013 vs 2014)YoY profit / (loss)
-10.5%
Return on assets (net) (2014)Return on assets (net)
100%
CAGR profit / (loss) (2013–2014)CAGR profit / (loss)
-10.5%
YoY total assets (2013 vs 2014)YoY total assets
-10.5%

Financial Health

Derived ratios from annual accounts. Values are omitted when data is missing or not meaningful.

Growth

YoY profit / (loss) (2013 vs 2014)
-10.5%
YoY total assets (2013 vs 2014)
-10.5%
YoY net current assets (2013 vs 2014)
-15%
CAGR profit / (loss) (2013–2014)
-10.5%
CAGR total assets (2013–2014)
-10.5%
  1. –
  2. –
  3. –CAERAU DEVELOPMENT TRUST

Efficiency & returns

Return on assets (net) (2013)
100%
Return on assets (net) (2014)
100%

Working capital & liquidity

Current ratio (2013)
0.37×
Net current assets (2013)
-£12,414
Current ratio (2014)
0.26×
Net current assets (2014)
-£14,282
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