Acerca deEmpresas
AyudaPrivacidadTérminos
ResumenLegal y estadoLínea temporalRedPropiedad y gestiónAccionistasBeneficiario finalGeografíaFinanzasSalud financieraDocumentos
ResumenLegal y estadoLínea temporalRedPropiedad y gestiónAccionistasBeneficiario finalGeografíaFinanzasSalud financieraDocumentos

BATH RUGBY LIMITED

🇬🇧Reino Unido•Private Limited Company (Ltd.)•Activa

Resumen

País🇬🇧Reino Unido
EstadoActiva
Número de registro03170814
Fundada12/3/1996
Objeto socialOperation of sports facilities; Activities of sport clubs
DirecciónFarleigh House, Farleigh Hungerford, Bath, BA2 7RW
Declaración de confirmaciónPróximo vencimiento: 15/3/2027; Última elaboración: —

Legal y estado

Forma legalPrivate Limited Company (Ltd.)
EstadoActiva
Fecha de registro12/3/1996
Autoridad registralCompanies House
Capital registrado—

Fuente: UK Companies House · Última actualización: 3/12/2025

Línea temporal (15 eventos)

23/3/2026

Cuentas anuales presentadas

Medium accounts

Ver archivo en Documentos

18/3/2026

Nombramiento Martin William Bowen (persona)

Nombrado como Director

12/3/1996

Empresa constituida

Fecha de constitución: 1996-03-12

Red

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Profundidad de la red

Propiedad y gestión

Persons with significant control

The Gotham Holdings Group Limited

75–100% shares · 75–100% voting rights

Nombrado el: 16/3/2026

87.5%
Bruce Timothy Craig

75–100% shares · 75–100% voting rights · Right to appoint directors

Nombrado el: 6/4/2016 · Dimitió el: 16/3/2026

87.5%

Officers & directors

Martin William Bowen

Director

Nombrado el: 18/3/2026

—
Jacob Dyson

Director

Nombrado el: 18/3/2026

—
Claire-marie, Roberts

Director

Nombrado el: 4/12/2024

—

Mostrando 1–5 de 10

1 / 2

Línea temporal de propiedad (3 cambios)

16/3/2026

Nombramiento The Gotham Holdings Group Limited (empresa)

owns or controls

16/3/2026

Baja Bruce Timothy Craig (persona)

Persona con control significativo

6/4/2016

Nombramiento Bruce Timothy Craig (persona)

Persona con control significativo

Accionistas

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Beneficiario final

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Geografía

Sede

Farleigh House

Farleigh Hungerford

Bath

BA2 7RW

Finanzas

Cifras clave de cuentas anuales.

Convertir a

2020

Facturación: £20.1M

Cifras clave

Facturación

2020£20.087.156
2021£16.825.184
2022£11.597.938
2023£19.819.557
2024£19.744.435

Beneficio / (pérdida)

2020£1.254.951
2021£-875.144
2022£230.837
2023£-387.584
2024£-1.167.663

Beneficio bruto

2020£3.555.995
2021£876.538
2022£-2.505.796
2023£4.214.055
2024£1.239.222

Otros ingresos

2020£2264
2021£1993
2022£731
2023£495.900
2024£5889

Activo total

2020£-11.801.792
2021£-13.293.925
2022£-13.498.034
2023£-13.315.493
2024£-13.315.493

Net Assets Liabilities

2020£-11.801.792
2021£-13.293.925
2022£-13.498.034
2023£-13.315.493
2024£-14.610.196

Equity

2020£-11.801.792
2021£-13.293.925
2022£-13.498.034
2023£-13.315.493
2024£-13.315.493

Current Assets

2020£2.298.539
2021£1.632.497
2022£4.651.009
2023£2.941.451
2024£2.566.422

Net Current Assets Liabilities

2020£-8.634.622
2021£-9.993.856
2022£-10.448.697
2023£-11.312.640
2024£-10.113.891

Total Assets Less Current Liabilities

2020£6.527.070
2021£5.114.796
2022£11.191.704
2023£10.390.074
2024£12.124.819

Cash Bank On Hand

2020£220.527
2021£192.002
2022£3.102.211
2023£644.132
2024£49.093

Debtors

2020£1.982.828
2021£1.366.962
2022£1.456.160
2023£2.158.514
2024£2.504.892

Other Debtors

2020£27.783
2021£68.796
2022£8730
2023£139.608
2024£59.916

Creditors

2020£10.933.161
2021£11.626.353
2022£15.099.706
2023£14.254.091
2024£12.680.313

Trade Creditors Trade Payables

2020£443.957
2021£337.235
2022£240.338
2023£529.806
2024£443.186

Other Creditors

2020£75.566
2021£187.112
2022£89.759
2023£125.094
2024£88.176

Investments Fixed Assets

2020£13.865.148
2021£13.865.148
2022£20.530.000
2023£20.530.000
2024£20.530.000

Number Shares Issued Fully Paid

20205.093.716
20215.093.716
20225.093.716
20235.093.716
20245.093.716

Par Value Share

2020£1
2021£1
2022£1
2023£1
2024£1

Average Number Employees During Period

2020160
2021164
2022151
2023158
2024175

Gastos administrativos

2020£5.332.733
2021£4.578.670
2022£4.418.764
2023£4.660.895
2024£6.064.013

Accumulated Depreciation Impairment Property Plant Equipment

2020£4.123.712
2021£4.277.129
2022£4.386.558
2023£4.720.932
2024£5.193.823

Additional Provisions Increase From New Provisions Recognised

2020—
2021—
2022—
2023£171.554
2024—

Additions Other Than Through Business Combinations Property Plant Equipment

2020£126.960
2021£20.809
2022£171.742
2023£870.370
2024£556.195

Administration Support Average Number Employees

202061
202165
202254
202358
202459

Applicable Tax Rate

2020£0
2021£0
2022£0
2023£0
2024£0

Audit Fees Expenses

2020£20.500
2021£20.000
2022£20.000
2023£24.750
2024£22.673

Balances Amounts Owed By Related Parties

2020£3268
2021£3268
2022£3376
2023—
2024—

Balances Amounts Owed To Related Parties

2020—
2021£1996
2022£1996
2023—
2024—

Balances With Banks

2020£217.727
2021£182.555
2022£3.101.764
2023£641.727
2024£40.823

Bank Borrowings

2020—
2021£5.281.107
2022£5.281.107
2023£873.630
2024£873.630

Bank Borrowings Overdrafts

2020—
2021—
2022—
2023£-415.338
2024£-415.338

Bank Overdrafts

2020—
2021—
2022—
2023£415.338
2024£415.338

Cash Cash Equivalents

2020£220.527
2021£192.002
2022£3.102.211
2023£644.132
2024£49.093

Cash Cash Equivalents Cash Flow Value

2020£856.677
2021£220.527
2022£192.002
2023£3.102.211
2024£644.132

Cash On Hand

2020£2800
2021£9447
2022£447
2023£2405
2024£8270

Company Contributions To Money Purchase Plans Directors

2020£548
2021£548
2022£1314
2023£1321
2024£1321

Comprehensive Income Expense

2020—
2021£-2.054.967
2022—
2023—
2024—

Cost Sales

2020£16.531.161
2021£15.948.646
2022£14.103.734
2023£15.605.502
2024£18.505.213

Current Tax For Period

2020—
2021£-216.120
2022£-216.120
2023£-387.927
2024£-207.214

Debentures In Issue

2020£9.183.787
2021£5.701.624
2022£2.443.553
2023—
2024—

Decrease In Loans Owed To Related Parties Due To Loans Repaid

2020£-11.000.000
2021—
2022—
2023—
2024—

Deferred Tax Expense Credit From Unrecognised Tax Loss Or Credit

2020£243.908
2021—
2022—
2023—
2024£18.971

Deferred Tax Expense Credit From Unrecognised Timing Difference From Prior Period

2020—
2021—
2022—
2023—
2024£231.200

Deferred Tax Expense Credit Relating To Changes In Tax Rates Or Laws

2020£-306.186
2021£277.288
2022£462.934
2023£-40.784
2024£32.071

Deferred Tax Expense Credit Relating To Origination Reversal Timing Differences

2020£1.256.045
2021£-875.144
2022£446.957
2023£343
2024£-960.449

Depreciation Amortisation Expense

2020£608.796
2021£180.000
2022£153.417
2023£109.429
2024£334.374

Depreciation Expense Property Plant Equipment

2020£608.796
2021£180.000
2022£153.417
2023£109.429
2024£334.374

Director Remuneration

2020£128.469
2021£127.557
2022£82.911
2023£107.751
2024£106.167

Disposals Decrease In Depreciation Impairment Property Plant Equipment

2020£-4.000.000
2021—
2022—
2023—
2024—

Disposals Property Plant Equipment

2020£-4.000.000
2021£-495
2022—
2023—
2024—

Financial Assets

2020£14.085.674
2021£14.057.150
2022£20.530.000
2023£20.530.000
2024£20.530.000

Financial Liabilities

2020£1.475.837
2021£968.562
2022—
2023—
2024—

Fixed Assets

2020£15.161.692
2021£15.108.652
2022£21.640.401
2023£21.702.714
2024£22.238.710

Further Item Cash Flow From Used In Financing Activities Component Net Cash Flows From Used In Financing Activities

2020£-11.000.000
2021£5.281.107
2022£5.281.107
2023£105.020
2024£-873.630

Future Minimum Lease Payments Under Non-cancellable Operating Leases

2020£2.984.833
2021£2.795.985
2022£2.453.731
2023£2.128.248
2024£1.734.378

Gain Loss In Cash Flows From Change In Creditors Trade Other Payables

2020£-12.261.878
2021£2.788.971
2022£-215.282
2023£3.289.168
2024£2.862.746

Gain Loss In Cash Flows From Change In Debtors Trade Other Receivables

2020£618.867
2021£-615.866
2022£89.198
2023£702.354
2024£346.378

Gain Loss In Cash Flows From Change In Inventories

2020£-26.327
2021£-21.651
2022£19.105
2023£46.167
2024£-126.368

Gain Loss On Disposal Investments In Subsidiaries Associates Joint Ventures

2020£7.382.066
2021£6.664.853
2022£6.664.853
2023—
2024—

Gain Loss On Disposals Property Plant Equipment

2020£375
2021£-495
2022£-495
2023—
2024£7000

Gain Loss On Non-financing Activities Due To Foreign Exchange Differences Recognised In Profit Or Loss

2020£675
2021£1210
2022£-308
2023£-145
2024£31

Government Grant Income

2020£773.456
2021£773.456
2022£153.832
2023—
2024£45.900

Gross Amount Due To Customers For Construction Contract Work As Liability

2020£598.804
2021£598.804
2022£255.016
2023£485.640
2024£240.299

Gross Profit Loss

2020£3.555.995
2021£876.538
2022£-2.505.796
2023£4.214.055
2024£1.239.222

Income From Related Parties

2020£48.856
2021£48.856
2022£11.826
2023£1042
2024£5509

Income Taxes Paid Refund Classified As Operating Activities

2020—
2021£-216.120
2022£-216.120
2023£-387.927
2024£-207.214

Increase Decrease Due To Transfers Between Classes Property Plant Equipment

2020£-32.379
2021—
2022—
2023—
2024—

Increase Decrease In Cash Cash Equivalents Before Foreign Exchange Differences Changes In Consolidation

2020£-636.150
2021£-28.525
2022£2.910.209
2023£-2.458.079
2024£-1.010.377

Increase Decrease In Current Tax From Adjustment For Prior Periods

2020£-1094
2021—
2022—
2023£-318
2024£-318

Increase Decrease In Current Tax From Unrecognised Timing Difference From Prior Period

2020—
2021—
2022—
2023£-34.178
2024£-34.178

Increase Decrease In Existing Provisions

2020£-875.144
2021£446.957
2022£343
2023£-1.132.003
2024£-968.782

Increase Decrease In Loans Owed To Related Parties Due To Other Changes

2020—
2021£-562.834
2022£-188.975
2023£-345.981
2024£-1.966.637

Increase Decrease In Net Debt From Cash Flows

2020£-5.027.315
2021—
2022—
2023—
2024—

Increase Decrease In Net Debt From Foreign Exchange Differences

2020£-1210
2021—
2022—
2023—
2024—

Increase From Depreciation Charge For Year Property Plant Equipment

2020£180.000
2021£153.417
2022£109.429
2023£334.374
2024£472.891

Increase In Loans Owed To Related Parties Due To Loans Advanced

2020£5.000.000
2021£5.000.000
2022£4.000.000
2023£1.700.000
2024£6.725.000

Interest Expense On Bank Overdrafts Bank Loans Similar Borrowings

2020£34.123
2021£3428
2022£31.336
2023£105.020
2024£105.020

Interest Expense On Financial Liabilities Fair Value Through Profit Or Loss

2020—
2021£25.767
2022£25.767
2023£2862
2024£982

Interest Income On Bank Deposits

2020£2264
2021£1993
2022£731
2023£3698
2024£5889

Interest Paid Classified As Financing Activities

2020£-34.123
2021£-3428
2022£-57.103
2023£-107.882
2024£-106.002

Interest Paid Classified As Operating Activities

2020£34.123
2021£3428
2022£57.103
2023£107.882
2024£106.002

Interest Payable Similar Charges Finance Costs

2020£34.123
2021£3428
2022£57.103
2023£107.882
2024£106.002

Interest Received Classified As Investing Activities

2020£2264
2021£1993
2022£731
2023£3698
2024£5889

Interest Received Classified As Operating Activities

2020£2264
2021£1993
2022£731
2023£3698
2024£5889

Investments In Associates

2020£13.865.148
2021£13.865.148
2022£20.530.000
2023£20.530.000
2024£20.530.000

Loans Owed To Related Parties

2020£6.788.000
2021£11.225.166
2022£15.036.190
2023£16.390.209
2024£21.148.572

Minimum Operating Lease Payments Recognised As Expense

2020£564.045
2021£632.797
2022£810.968
2023£564.588
2024£414.753

Net Cash Flows From Used In Financing Activities

2020£-11.034.123
2021£4.996.572
2022£9.224.004
2023£1.697.138
2024£6.724.163

Net Cash Flows From Used In Investing Activities

2020£-103.048
2021£-124.967
2022£-20.078
2023£-168.044
2024£-864.481

Net Cash Flows From Used In Operating Activities

2020£10.501.021
2021£-4.900.130
2022£-6.293.717
2023£-3.987.173
2024£-6.870.059

Net Cash Generated From Operations

2020—
2021£-4.900.130
2022£-6.509.837
2023£-4.375.100
2024£-7.077.273

Net Cash Inflow Outflow From Operations Before Movements In Working Capital

2020£-1.168.317
2021£-2.748.676
2022£-6.616.816
2023£-337.411
2024£-3.994.517

Net Debt Funds

2020£-11.595.998
2021—
2022—
2023—
2024—

Number Directors Accruing Benefits Under Money Purchase Scheme

2020£1
2021£1
2022£1
2023£1
2024£1

Other Comprehensive Income Expense Net Tax

2020—
2021£562.834
2022£188.975
2023£345.981
2024£1.966.638

Other Departments Average Number Employees

202099
202199
202297
2023100
2024116

Other Finance Income

2020—
2021—
2022—
2023—
2024£698

Other Interest Receivable Similar Income Finance Income

2020£2264
2021£1993
2022£731
2023£3698
2024£5889

Other Inventories

2020£95.184
2021£73.533
2022£92.638
2023£138.805
2024£12.437

Other Non-audit Services Fees

2020£3000
2021£2500
2022£2500
2023£583
2024£534

Other Operating Income Format1

2020£773.456
2021£773.456
2022£153.832
2023£495.900
2024£495.900

Other Payables Accrued Expenses

2020£9.376.756
2021£8.995.740
2022£12.836.141
2023£11.381.823
2024£9.173.220

Other Remaining Borrowings

2020£6.788.000
2021£11.225.166
2022£15.036.190
2023£16.390.209
2024£364.805

Other Remaining Operating Income

2020—
2021—
2022—
2023£450.000
2024£450.000

Payments To Related Parties

2020£398.032
2021£398.032
2022£375.522
2023£1019
2024£100.942

Pension Costs Defined Contribution Plan

2020£238.185
2021£160.463
2022£133.994
2023£128.222
2024£150.669

Prepayments

2020£863.029
2021£934.320
2022£407.721
2023£656.786
2024£990.970

Proceeds From Sales Property Plant Equipment

2020£1096
2021—
2022—
2023—
2024£7000

Profit Loss On Ordinary Activities Before Tax

2020£5.573.469
2021£-2.930.111
2022£-162.247
2023£-551.024
2024£-4.429.004

Property Plant Equipment

2020£1.296.544
2021£1.243.504
2022£1.110.401
2023£1.172.714
2024£1.708.710

Property Plant Equipment Gross Cost

2020£5.367.216
2021£5.387.530
2022£5.559.272
2023£6.429.642
2024£6.985.837

Provisions

2020£1.481.931
2021£1.928.888
2022£1.929.231
2023£968.782
2024£968.782

Provisions For Liabilities Balance Sheet Subtotal

2020£2.357.075
2021£1.481.931
2022£1.928.888
2023£1.929.231
2024£968.782

Purchase Property Plant Equipment

2020£-106.408
2021£-126.960
2022£-20.809
2023£-171.742
2024£-870.370

Social Security Costs

2020£1.425.697
2021£1.488.008
2022£1.332.307
2023£1.355.134
2024£1.555.132

Staff Costs Employee Benefits Expense

2020£13.315.250
2021£13.333.326
2022£11.915.009
2023£12.165.369
2024£14.885.763

Taxation Social Security Payable

2020£1.036.882
2021£1.507.462
2022£1.678.452
2023£1.731.728
2024£1.446.464

Tax Decrease From Tax Losses For Which No Deferred Tax Asset Was Recognised

2020£-337.031
2021£-337.031
2022—
2023—
2024—

Tax Decrease From Utilisation Tax Losses

2020£-199.123
2021£-199.123
2022£122.957
2023£179.981
2024£-236.228

Tax Decrease Increase From Effect Tax Incentives

2020—
2021—
2022£-216.120
2023—
2024—

Tax Expense Credit Applicable Tax Rate

2020£1.058.959
2021£-556.721
2022£-30.827
2023£-104.695
2024£-907.764

Tax Increase Decrease From Effect Adjustment In Research Development Tax Credit

2020—
2021—
2022—
2023—
2024£-341.309

Tax Increase Decrease From Effect Capital Allowances Depreciation

2020£66.284
2021£-59.083
2022£-31.526
2023£-55.219
2024£-30.677

Tax Increase Decrease From Effect Expenses Not Deductible In Determining Taxable Profit Or Loss

2020£4698
2021£741
2022£1380
2023£1467
2024£9431

Tax Increase Decrease From Other Short-term Timing Differences

2020£1270
2021£-1215
2022—
2023—
2024—

Tax Increase Decrease From Other Tax Effects Tax Reconciliation

2020—
2021£-216.120
2022£-77.961
2023£-368.334
2024—

Tax Tax Credit On Profit Or Loss On Ordinary Activities

2020£1.254.951
2021£-875.144
2022£230.837
2023£-387.584
2024£-1.167.663

Total Borrowings

2020£15.971.787
2021£16.926.790
2022£22.760.850
2023£1.288.968
2024£1.288.968

Total Deferred Tax Expense Credit

2020£1.254.951
2021—
2022—
2023—
2024—

Total Inventories

2020£95.184
2021£73.533
2022£92.638
2023£138.805
2024£12.437

Total Operating Lease Payments

2020£575.025
2021£561.827
2022£612.258
2023£589.588
2024£465.551

Trade Debtors Trade Receivables

2020£1.092.016
2021£363.846
2022£1.039.709
2023£1.362.120
2024£1.454.006

Turnover Revenue

2020£20.087.156
2021£16.825.184
2022£11.597.938
2023£19.819.557
2024£19.744.435

Wages Salaries

2020£11.651.368
2021£11.684.855
2022£10.448.708
2023£10.682.013
2024£13.179.962
Métrica20202021202220232024
Facturación£20.087.156£16.825.184£11.597.938£19.819.557£19.744.435
Beneficio / (pérdida)£1.254.951£-875.144£230.837£-387.584£-1.167.663
Beneficio bruto£3.555.995£876.538£-2.505.796£4.214.055£1.239.222
Otros ingresos£2264£1993£731£495.900£5889
Activo total£-11.801.792£-13.293.925£-13.498.034£-13.315.493£-13.315.493
Net Assets Liabilities£-11.801.792£-13.293.925£-13.498.034£-13.315.493£-14.610.196
Equity£-11.801.792£-13.293.925£-13.498.034£-13.315.493£-13.315.493
Current Assets£2.298.539£1.632.497£4.651.009£2.941.451£2.566.422
Net Current Assets Liabilities£-8.634.622£-9.993.856£-10.448.697£-11.312.640£-10.113.891
Total Assets Less Current Liabilities£6.527.070£5.114.796£11.191.704£10.390.074£12.124.819
Cash Bank On Hand£220.527£192.002£3.102.211£644.132£49.093
Debtors£1.982.828£1.366.962£1.456.160£2.158.514£2.504.892
Other Debtors£27.783£68.796£8730£139.608£59.916
Creditors£10.933.161£11.626.353£15.099.706£14.254.091£12.680.313
Trade Creditors Trade Payables£443.957£337.235£240.338£529.806£443.186
Other Creditors£75.566£187.112£89.759£125.094£88.176
Investments Fixed Assets£13.865.148£13.865.148£20.530.000£20.530.000£20.530.000
Number Shares Issued Fully Paid5.093.7165.093.7165.093.7165.093.7165.093.716
Par Value Share£1£1£1£1£1
Average Number Employees During Period160164151158175
Gastos administrativos£5.332.733£4.578.670£4.418.764£4.660.895£6.064.013
Accumulated Depreciation Impairment Property Plant Equipment£4.123.712£4.277.129£4.386.558£4.720.932£5.193.823
Additional Provisions Increase From New Provisions Recognised———£171.554—
Additions Other Than Through Business Combinations Property Plant Equipment£126.960£20.809£171.742£870.370£556.195
Administration Support Average Number Employees6165545859
Applicable Tax Rate£0£0£0£0£0
Audit Fees Expenses£20.500£20.000£20.000£24.750£22.673
Balances Amounts Owed By Related Parties£3268£3268£3376——
Balances Amounts Owed To Related Parties—£1996£1996——
Balances With Banks£217.727£182.555£3.101.764£641.727£40.823
Bank Borrowings—£5.281.107£5.281.107£873.630£873.630
Bank Borrowings Overdrafts———£-415.338£-415.338
Bank Overdrafts———£415.338£415.338
Cash Cash Equivalents£220.527£192.002£3.102.211£644.132£49.093
Cash Cash Equivalents Cash Flow Value£856.677£220.527£192.002£3.102.211£644.132
Cash On Hand£2800£9447£447£2405£8270
Company Contributions To Money Purchase Plans Directors£548£548£1314£1321£1321
Comprehensive Income Expense—£-2.054.967———
Cost Sales£16.531.161£15.948.646£14.103.734£15.605.502£18.505.213
Current Tax For Period—£-216.120£-216.120£-387.927£-207.214
Debentures In Issue£9.183.787£5.701.624£2.443.553——
Decrease In Loans Owed To Related Parties Due To Loans Repaid£-11.000.000————
Deferred Tax Expense Credit From Unrecognised Tax Loss Or Credit£243.908———£18.971
Deferred Tax Expense Credit From Unrecognised Timing Difference From Prior Period————£231.200
Deferred Tax Expense Credit Relating To Changes In Tax Rates Or Laws£-306.186£277.288£462.934£-40.784£32.071
Deferred Tax Expense Credit Relating To Origination Reversal Timing Differences£1.256.045£-875.144£446.957£343£-960.449
Depreciation Amortisation Expense£608.796£180.000£153.417£109.429£334.374
Depreciation Expense Property Plant Equipment£608.796£180.000£153.417£109.429£334.374
Director Remuneration£128.469£127.557£82.911£107.751£106.167
Disposals Decrease In Depreciation Impairment Property Plant Equipment£-4.000.000————
Disposals Property Plant Equipment£-4.000.000£-495———
Financial Assets£14.085.674£14.057.150£20.530.000£20.530.000£20.530.000
Financial Liabilities£1.475.837£968.562———
Fixed Assets£15.161.692£15.108.652£21.640.401£21.702.714£22.238.710
Further Item Cash Flow From Used In Financing Activities Component Net Cash Flows From Used In Financing Activities£-11.000.000£5.281.107£5.281.107£105.020£-873.630
Future Minimum Lease Payments Under Non-cancellable Operating Leases£2.984.833£2.795.985£2.453.731£2.128.248£1.734.378
Gain Loss In Cash Flows From Change In Creditors Trade Other Payables£-12.261.878£2.788.971£-215.282£3.289.168£2.862.746
Gain Loss In Cash Flows From Change In Debtors Trade Other Receivables£618.867£-615.866£89.198£702.354£346.378
Gain Loss In Cash Flows From Change In Inventories£-26.327£-21.651£19.105£46.167£-126.368
Gain Loss On Disposal Investments In Subsidiaries Associates Joint Ventures£7.382.066£6.664.853£6.664.853——
Gain Loss On Disposals Property Plant Equipment£375£-495£-495—£7000
Gain Loss On Non-financing Activities Due To Foreign Exchange Differences Recognised In Profit Or Loss£675£1210£-308£-145£31
Government Grant Income£773.456£773.456£153.832—£45.900
Gross Amount Due To Customers For Construction Contract Work As Liability£598.804£598.804£255.016£485.640£240.299
Gross Profit Loss£3.555.995£876.538£-2.505.796£4.214.055£1.239.222
Income From Related Parties£48.856£48.856£11.826£1042£5509
Income Taxes Paid Refund Classified As Operating Activities—£-216.120£-216.120£-387.927£-207.214
Increase Decrease Due To Transfers Between Classes Property Plant Equipment£-32.379————
Increase Decrease In Cash Cash Equivalents Before Foreign Exchange Differences Changes In Consolidation£-636.150£-28.525£2.910.209£-2.458.079£-1.010.377
Increase Decrease In Current Tax From Adjustment For Prior Periods£-1094——£-318£-318
Increase Decrease In Current Tax From Unrecognised Timing Difference From Prior Period———£-34.178£-34.178
Increase Decrease In Existing Provisions£-875.144£446.957£343£-1.132.003£-968.782
Increase Decrease In Loans Owed To Related Parties Due To Other Changes—£-562.834£-188.975£-345.981£-1.966.637
Increase Decrease In Net Debt From Cash Flows£-5.027.315————
Increase Decrease In Net Debt From Foreign Exchange Differences£-1210————
Increase From Depreciation Charge For Year Property Plant Equipment£180.000£153.417£109.429£334.374£472.891
Increase In Loans Owed To Related Parties Due To Loans Advanced£5.000.000£5.000.000£4.000.000£1.700.000£6.725.000
Interest Expense On Bank Overdrafts Bank Loans Similar Borrowings£34.123£3428£31.336£105.020£105.020
Interest Expense On Financial Liabilities Fair Value Through Profit Or Loss—£25.767£25.767£2862£982
Interest Income On Bank Deposits£2264£1993£731£3698£5889
Interest Paid Classified As Financing Activities£-34.123£-3428£-57.103£-107.882£-106.002
Interest Paid Classified As Operating Activities£34.123£3428£57.103£107.882£106.002
Interest Payable Similar Charges Finance Costs£34.123£3428£57.103£107.882£106.002
Interest Received Classified As Investing Activities£2264£1993£731£3698£5889
Interest Received Classified As Operating Activities£2264£1993£731£3698£5889
Investments In Associates£13.865.148£13.865.148£20.530.000£20.530.000£20.530.000
Loans Owed To Related Parties£6.788.000£11.225.166£15.036.190£16.390.209£21.148.572
Minimum Operating Lease Payments Recognised As Expense£564.045£632.797£810.968£564.588£414.753
Net Cash Flows From Used In Financing Activities£-11.034.123£4.996.572£9.224.004£1.697.138£6.724.163
Net Cash Flows From Used In Investing Activities£-103.048£-124.967£-20.078£-168.044£-864.481
Net Cash Flows From Used In Operating Activities£10.501.021£-4.900.130£-6.293.717£-3.987.173£-6.870.059
Net Cash Generated From Operations—£-4.900.130£-6.509.837£-4.375.100£-7.077.273
Net Cash Inflow Outflow From Operations Before Movements In Working Capital£-1.168.317£-2.748.676£-6.616.816£-337.411£-3.994.517
Net Debt Funds£-11.595.998————
Number Directors Accruing Benefits Under Money Purchase Scheme£1£1£1£1£1
Other Comprehensive Income Expense Net Tax—£562.834£188.975£345.981£1.966.638
Other Departments Average Number Employees999997100116
Other Finance Income————£698
Other Interest Receivable Similar Income Finance Income£2264£1993£731£3698£5889
Other Inventories£95.184£73.533£92.638£138.805£12.437
Other Non-audit Services Fees£3000£2500£2500£583£534
Other Operating Income Format1£773.456£773.456£153.832£495.900£495.900
Other Payables Accrued Expenses£9.376.756£8.995.740£12.836.141£11.381.823£9.173.220
Other Remaining Borrowings£6.788.000£11.225.166£15.036.190£16.390.209£364.805
Other Remaining Operating Income———£450.000£450.000
Payments To Related Parties£398.032£398.032£375.522£1019£100.942
Pension Costs Defined Contribution Plan£238.185£160.463£133.994£128.222£150.669
Prepayments£863.029£934.320£407.721£656.786£990.970
Proceeds From Sales Property Plant Equipment£1096———£7000
Profit Loss On Ordinary Activities Before Tax£5.573.469£-2.930.111£-162.247£-551.024£-4.429.004
Property Plant Equipment£1.296.544£1.243.504£1.110.401£1.172.714£1.708.710
Property Plant Equipment Gross Cost£5.367.216£5.387.530£5.559.272£6.429.642£6.985.837
Provisions£1.481.931£1.928.888£1.929.231£968.782£968.782
Provisions For Liabilities Balance Sheet Subtotal£2.357.075£1.481.931£1.928.888£1.929.231£968.782
Purchase Property Plant Equipment£-106.408£-126.960£-20.809£-171.742£-870.370
Social Security Costs£1.425.697£1.488.008£1.332.307£1.355.134£1.555.132
Staff Costs Employee Benefits Expense£13.315.250£13.333.326£11.915.009£12.165.369£14.885.763
Taxation Social Security Payable£1.036.882£1.507.462£1.678.452£1.731.728£1.446.464
Tax Decrease From Tax Losses For Which No Deferred Tax Asset Was Recognised£-337.031£-337.031———
Tax Decrease From Utilisation Tax Losses£-199.123£-199.123£122.957£179.981£-236.228
Tax Decrease Increase From Effect Tax Incentives——£-216.120——
Tax Expense Credit Applicable Tax Rate£1.058.959£-556.721£-30.827£-104.695£-907.764
Tax Increase Decrease From Effect Adjustment In Research Development Tax Credit————£-341.309
Tax Increase Decrease From Effect Capital Allowances Depreciation£66.284£-59.083£-31.526£-55.219£-30.677
Tax Increase Decrease From Effect Expenses Not Deductible In Determining Taxable Profit Or Loss£4698£741£1380£1467£9431
Tax Increase Decrease From Other Short-term Timing Differences£1270£-1215———
Tax Increase Decrease From Other Tax Effects Tax Reconciliation—£-216.120£-77.961£-368.334—
Tax Tax Credit On Profit Or Loss On Ordinary Activities£1.254.951£-875.144£230.837£-387.584£-1.167.663
Total Borrowings£15.971.787£16.926.790£22.760.850£1.288.968£1.288.968
Total Deferred Tax Expense Credit£1.254.951————
Total Inventories£95.184£73.533£92.638£138.805£12.437
Total Operating Lease Payments£575.025£561.827£612.258£589.588£465.551
Trade Debtors Trade Receivables£1.092.016£363.846£1.039.709£1.362.120£1.454.006
Turnover Revenue£20.087.156£16.825.184£11.597.938£19.819.557£19.744.435
Wages Salaries£11.651.368£11.684.855£10.448.708£10.682.013£13.179.962

Documentos

Confirmation statement

31/3/2026

Ver

Appointment of director

30/3/2026

Ver

Cessation as person with significant control

30/3/2026

Ver

Notice of relevant legal entity with significant control

30/3/2026

Ver

Appointment of director

30/3/2026

Ver

Replacement Filing Of Director Appointment With Name

28/3/2026

Ver

Medium accounts

23/3/2026

Ver

Appointment of director

13/12/2024

Ver

Annual Accounts

Cuentas del ejercicio que finaliza el: 30/6/2024

Archivado: 30/6/2024

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🇮🇪KILDALE LIMITED🇮🇪BRAMBURY LIMITED🇮🇪AVONMOUNT LIMITEDJean Jacques BARZICBLUM, NORMAN🇬🇧POULTON, Lauren
Margen neto (2024)Margen neto
-5,9 %
Ingresos interanuales (2023 vs. 2024)Ingresos interanuales
-0,4 %
Beneficio / (pérdida) interanual (2023 vs. 2024)Beneficio / (pérdida) interanual
-201,3 %
Margen bruto (2024)Margen bruto
6,3 %
CAGR ingresos (2020–2024)CAGR ingresos
-0,4 %

Salud financiera

Ratios derivados de las cuentas anuales. Se omiten los valores cuando faltan datos o no son significativos.

Márgenes

Margen neto (2020)
6,2 %
Margen bruto (2020)
17,7 %
Gastos administrativos % de ingresos (2020)
26,5 %
Margen neto (2021)
-5,2 %
Margen bruto (2021)
5,2 %
  1. –
  2. –
  3. –BATH RUGBY LIMITED
Gastos administrativos % de ingresos (2021)
27,2 %
Margen neto (2022)
2 %
Margen bruto (2022)
-21,6 %
Gastos administrativos % de ingresos (2022)
38,1 %
Margen neto (2023)
-2 %
Margen bruto (2023)
21,3 %
Gastos administrativos % de ingresos (2023)
23,5 %
Margen neto (2024)
-5,9 %
Margen bruto (2024)
6,3 %
Gastos administrativos % de ingresos (2024)
30,7 %

Crecimiento

Ingresos interanuales (2020 vs. 2021)
-16,2 %
Beneficio / (pérdida) interanual (2020 vs. 2021)
-169,7 %
Activos totales interanuales (2020 vs. 2021)
-12,6 %
Activo circulante neto interanual (2020 vs. 2021)
-15,7 %
Ingresos interanuales (2021 vs. 2022)
-31,1 %
Beneficio / (pérdida) interanual (2021 vs. 2022)
+126,4 %
Activos totales interanuales (2021 vs. 2022)
-1,5 %
Activo circulante neto interanual (2021 vs. 2022)
-4,6 %
Ingresos interanuales (2022 vs. 2023)
+70,9 %
Beneficio / (pérdida) interanual (2022 vs. 2023)
-267,9 %
Activos totales interanuales (2022 vs. 2023)
+1,4 %
Activo circulante neto interanual (2022 vs. 2023)
-8,3 %
Ingresos interanuales (2023 vs. 2024)
-0,4 %
Beneficio / (pérdida) interanual (2023 vs. 2024)
-201,3 %
Activo circulante neto interanual (2023 vs. 2024)
+10,6 %
CAGR ingresos (2020–2024)
-0,4 %

Eficiencia y rentabilidad

Ingresos por empleado (2020)
125.545 GBP
Beneficio / (pérdida) por empleado (2020)
7843 GBP
Ingresos por empleado (2021)
102.593 GBP
Beneficio / (pérdida) por empleado (2021)
-5336 GBP
Ingresos por empleado (2022)
76.808 GBP
Beneficio / (pérdida) por empleado (2022)
1529 GBP
Ingresos por empleado (2023)
125.440 GBP
Beneficio / (pérdida) por empleado (2023)
-2453 GBP
Ingresos por empleado (2024)
112.825 GBP
Beneficio / (pérdida) por empleado (2024)
-6672 GBP

Capital circulante y liquidez

Activo circulante neto (2020)
-8.634.622 GBP
Activo circulante neto (2021)
-9.993.856 GBP
Activo circulante neto (2022)
-10.448.697 GBP
Activo circulante neto (2023)
-11.312.640 GBP
Activo circulante neto (2024)
-10.113.891 GBP

Cobros y pagos

Días de deudores (2020)
36días
Días de acreedores (vs ingresos) (2020)
8días
Días de deudores (2021)
30días
Días de acreedores (vs ingresos) (2021)
7días
Días de deudores (2022)
46días
Días de acreedores (vs ingresos) (2022)
8días
Días de deudores (2023)
40días
Días de acreedores (vs ingresos) (2023)
10días
Días de deudores (2024)
46días
Días de acreedores (vs ingresos) (2024)
8días

Calidad y mix

Otros ingresos % de ingresos (2023)
2,5 %
Inicio
Reino Unido
Bath