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ResumenLegal y estadoLínea temporalRedPropiedad y gestiónAccionistasBeneficiario finalGeografíaFinanzasSalud financieraDocumentos

BENCH BAR LTD

Private Limited Company (Ltd.)•Liquidación

Resumen

País🇬🇧Reino Unido
EstadoLiquidación
Número de registro11444586
Fundada3/7/2018
Objeto socialPublic houses and bars
DirecciónC/O Mercury Corporate Recovery Solutions Ltd, Birkdale Terrace, 346 Chester Road, Manchester, M16 9EZ
Declaración de confirmaciónPróximo vencimiento: —; Última elaboración: —

Legal y estado

Forma legalPrivate Limited Company (Ltd.)
EstadoLiquidación
Fecha de registro3/7/2018
Autoridad registral—

Fuente: — · Última actualización: 3/12/2025

Línea temporal (24 eventos)

15/4/2026

Dirección actualizada

Birkdale Terrace, 346 Chester Road, Manchester

1/2/2026

Dirección actualizada

C/O Mercury Corporate Recovery Solutions Ltd, Birkdale Terrace, 346 Chester Road, Manchester, M16 9EZ

3/7/2018

Nombramiento Richard Shaw (persona)

Nombrado como Director

Red

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Profundidad de la red

Propiedad y gestión

Persons with significant control

Verity Shaw

25–50% shares · 25–50% voting rights · Right to appoint directors

Nombrado el: 3/7/2018

37.5%
Richard Shaw

25–50% shares · 25–50% voting rights · Right to appoint directors

Nombrado el: 3/7/2018

37.5%
Richard Shaw

25–50% shares · 25–50% voting rights · Right to appoint directors

Nombrado el: 3/7/2018

37.5%
Verity Shaw

25–50% shares · 25–50% voting rights · Right to appoint directors

Nombrado el: 3/7/2018

37.5%

Officers & directors

Verity Shaw

Director

Nombrado el: 3/7/2018

—

Mostrando 1–5 de 8

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Línea temporal de propiedad (2 cambios)

3/7/2018

Nombramiento Verity Shaw (persona)

Persona con control significativo

3/7/2018

Nombramiento Richard Shaw (persona)

Persona con control significativo

Accionistas

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Beneficiario final

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Geografía

Sede

C/O Mercury Corporate Recovery Solutions Ltd

Birkdale Terrace, 346 Chester Road

Manchester

M16 9EZ

Finanzas

Cifras clave de cuentas anuales.

Convertir a

2019

Activo total: £-3.4K

Cifras clave

Activo total

2019£-3425
2020£-3425
2021£11.436
2022£27.530
2023£618

Net Assets Liabilities

2019—
2020£-3425
2021£11.436
2022£27.530
2023£618

Equity

2019£-3425
2020£-3425
2021£11.436
2022£27.530
2023£618

Current Assets

2019£54.210
2020£54.210
2021£99.490
2022£131.014
2023£132.945

Net Current Assets Liabilities

2019£-12.352
2020£-12.352
2021£13.757
2022£21.113
2023£-11.046

Total Assets Less Current Liabilities

2019£-3425
2020£-3425
2021£32.703
2022£45.340
2023£12.752

Cash Bank On Hand

2019£15.974
2020£15.974
2021£38.725
2022£20.658
2023£34.085

Debtors

2019£33.736
2020£33.736
2021£56.765
2022£105.156
2023£92.560

Other Debtors

2019£31.607
2020£0
2021£11.559
2022£4315
2023£2328

Creditors

2019£66.562
2020£0
2021£17.667
2022£13.207
2023£7612

Trade Creditors Trade Payables

2019£24.512
2020£24.512
2021£25.423
2022£15.516
2023£25.638

Other Creditors

2019£13.524
2020—
2021—
2022—
2023—

Average Number Employees During Period

201916
202016
202111
202219
202321

Accrued Liabilities

2019—
2020—
2021£0
2022£1749
2023£1361

Accumulated Depreciation Impairment Property Plant Equipment

2019£2212
2020£5825
2021£13.901
2022£21.058
2023£27.810

Amount Specific Advance Or Credit Directors

2019—
2020£31.607
2021£45.206
2022£98.205
2023£88.697

Amount Specific Advance Or Credit Made In Period Directors

2019—
2020£31.607
2021£45.599
2022£142.999
2023£116.300

Amount Specific Advance Or Credit Repaid In Period Directors

2019—
2020£0
2021£32.000
2022£90.000
2023£125.808

Bank Borrowings Overdrafts

2019—
2020£0
2021£1667
2022£9207
2023£3612

Corporation Tax Payable

2019—
2020£0
2021£1003
2022£24.254
2023£36.478

Increase From Depreciation Charge For Year Property Plant Equipment

2019£2212
2020£3613
2021£8076
2022£7157
2023£6752

Merchandise

2019—
2020£4500
2021£4000
2022£5200
2023£6300

Other Remaining Borrowings

2019—
2020£13.524
2021£6250
2022—
2023—

Other Taxation Social Security Payable

2019£28.526
2020£4537
2021£13.720
2022£4663
2023£15.535

Prepayments

2019—
2020—
2021£0
2022£2636
2023£1535

Property Plant Equipment

2019£8927
2020£8927
2021£18.946
2022£24.227
2023£23.798

Property Plant Equipment Gross Cost

2019£11.139
2020£24.771
2021£38.128
2022£44.856
2023£49.915

Provisions For Liabilities Balance Sheet Subtotal

2019—
2020£0
2021£3600
2022£4603
2023£4522

Total Additions Including From Business Combinations Property Plant Equipment

2019£11.139
2020£13.632
2021£13.357
2022£6728
2023£5059

Total Inventories

2019£4500
2020£4500
2021£4000
2022£5200
2023£6300

Trade Debtors Trade Receivables

2019£2129
2020£2129
2021—
2022—
2023—
Métrica20192020202120222023
Activo total£-3425£-3425£11.436£27.530£618
Net Assets Liabilities—£-3425£11.436£27.530£618
Equity£-3425£-3425£11.436£27.530£618
Current Assets£54.210£54.210£99.490£131.014£132.945
Net Current Assets Liabilities£-12.352£-12.352£13.757£21.113£-11.046
Total Assets Less Current Liabilities£-3425£-3425£32.703£45.340£12.752
Cash Bank On Hand£15.974£15.974£38.725£20.658£34.085
Debtors£33.736£33.736£56.765£105.156£92.560
Other Debtors£31.607£0£11.559£4315£2328
Creditors£66.562£0£17.667£13.207£7612
Trade Creditors Trade Payables£24.512£24.512£25.423£15.516£25.638
Other Creditors£13.524————
Average Number Employees During Period1616111921
Accrued Liabilities——£0£1749£1361
Accumulated Depreciation Impairment Property Plant Equipment£2212£5825£13.901£21.058£27.810
Amount Specific Advance Or Credit Directors—£31.607£45.206£98.205£88.697
Amount Specific Advance Or Credit Made In Period Directors—£31.607£45.599£142.999£116.300
Amount Specific Advance Or Credit Repaid In Period Directors—£0£32.000£90.000£125.808
Bank Borrowings Overdrafts—£0£1667£9207£3612
Corporation Tax Payable—£0£1003£24.254£36.478
Increase From Depreciation Charge For Year Property Plant Equipment£2212£3613£8076£7157£6752
Merchandise—£4500£4000£5200£6300
Other Remaining Borrowings—£13.524£6250——
Other Taxation Social Security Payable£28.526£4537£13.720£4663£15.535
Prepayments——£0£2636£1535
Property Plant Equipment£8927£8927£18.946£24.227£23.798
Property Plant Equipment Gross Cost£11.139£24.771£38.128£44.856£49.915
Provisions For Liabilities Balance Sheet Subtotal—£0£3600£4603£4522
Total Additions Including From Business Combinations Property Plant Equipment£11.139£13.632£13.357£6728£5059
Total Inventories£4500£4500£4000£5200£6300
Trade Debtors Trade Receivables£2129£2129———

Documentos

Statement of affairs

8/1/2026

Ver

Change of registered office address

8/1/2026

Ver

Resolutions LRESEX ‐ Extraordinary resolution to wind up on 2025-12-22

8/1/2026

Ver

Appointment of a voluntary liquidator

8/1/2026

Ver

Compulsory strike-off action has been suspended

11/12/2025

Ver

IA de documentos

Próximamente

Companexia Document AI

Haga preguntas sobre presentaciones y extractos—nuestra IA leerá los documentos y responderá en contexto.

First Gazette notice for compulsory strike-off

2/12/2025

Ver

Confirmation statement

20/7/2025

Ver

Total exemption full accounts made up to 31 December 2023

26/12/2024

Ver

Previous accounting period shortened from 29 December 2023 to 28 December 2023

26/9/2024

Ver

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Ratio de fondos propios (2023)Ratio de fondos propios
100 %
Activos totales interanuales (2022 vs. 2023)Activos totales interanuales
-97,8 %
Activo circulante neto interanual (2022 vs. 2023)Activo circulante neto interanual
-152,3 %
Activo circulante neto (2023)Activo circulante neto
-11.046 GBP

Salud financiera

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

Crecimiento

Activos totales interanuales (2020 vs. 2021)
+433,9 %
Activo circulante neto interanual (2020 vs. 2021)
+211,4 %
Activos totales interanuales (2021 vs. 2022)
+140,7 %
Activo circulante neto interanual (2021 vs. 2022)
+53,5 %
Activos totales interanuales (2022 vs. 2023)
-97,8 %
  1. –Manchester
  2. –BENCH BAR LTD
Activo circulante neto interanual (2022 vs. 2023)
-152,3 %

Capital circulante y liquidez

Activo circulante neto (2019)
-12.352 GBP
Activo circulante neto (2020)
-12.352 GBP
Activo circulante neto (2021)
13.757 GBP
Activo circulante neto (2022)
21.113 GBP
Activo circulante neto (2023)
-11.046 GBP

Estructura de capital

Ratio de fondos propios (2021)
100 %
Ratio de fondos propios (2022)
100 %
Ratio de fondos propios (2023)
100 %
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