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

CONSTRUCTION TESTING SOLUTIONS LIMITED

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

Resumen

País🇬🇧Reino Unido
EstadoActiva
Número de registro05998333
Fundada14/11/2006
Objeto socialOther professional, scientific and technical activities n.e.c.
Dirección29 The Warren Craftsmans Way, East Goscote, Syston, Leicester, LE7 3SL
Declaración de confirmaciónPróximo vencimiento: 28/11/2026; Última elaboración: —

Legal y estado

Forma legalPrivate Limited Company (Ltd.)
EstadoActiva
Fecha de registro14/11/2006
Autoridad registralCompanies House
Capital registrado—

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

Línea temporal (58 eventos)

10/6/2026

Dirección actualizada

29 The Warren Craftsmans Way, East Goscote, Syston, Leicester, Le7 3SL

16/10/2025

Cuentas anuales presentadas

Notice of agreement to exemption from audit of accounts for period ending 31/12/24

Ver archivo en Documentos

14/11/2006

Baja Bush Lane Secretaries Limited (persona)

Dimitió como Nominee Secretary

Red

Este diagrama tiene muchas conexiones. para una mejor experiencia.
Press enter or space to select a node. You can then use the arrow keys to move the node around. Press delete to remove it and escape to cancel.
Press enter or space to select an edge. You can then press delete to remove it or escape to cancel.
Profundidad de la red

Propiedad y gestión

Persons with significant control

Phenna Infrastructure Uk Limited

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

Nombrado el: 30/6/2019

87.5%
Slimmer Testing Solutions Group Holdings Limited

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

Nombrado el: 28/4/2016 · Dimitió el: 6/7/2018

87.5%
The Testing Group Limited

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

Nombrado el: 6/4/2016 · Dimitió el: 30/6/2019

87.5%

Officers & directors

Christopher Stuart Simmons

Director

Nombrado el: 1/9/2025

—
Babak Fardaghaie

Director

Nombrado el: 17/10/2023

—

Mostrando 1–5 de 28

1 / 6

Línea temporal de propiedad (5 cambios)

30/6/2019

Nombramiento Phenna Infrastructure Uk Limited (empresa)

owns or controls

30/6/2019

Baja The Testing Group Limited (empresa)

owns or controls

6/4/2016

Nombramiento The Testing Group Limited (empresa)

owns or controls

Accionistas

NombreParticipaciónVotoDesde
▓▓▓▓▓▓▓▓▓▓▓▓
█.██%
██%
█.█%
▓▓▓▓▓▓▓▓▓▓▓
██%
█.█%
██.██%
▓▓▓▓▓▓▓▓▓▓▓▓▓
█.█%
██.██%
██.█%
▓▓▓▓▓▓▓▓▓▓
██.██%
██.█%
█.██%
▓▓▓▓▓▓▓▓▓▓▓▓
██.█%
█.██%
██%
▓▓▓▓▓▓▓▓▓▓▓
█.██%
██%
█.█%
▓▓▓▓▓▓▓▓▓▓▓▓▓
██%
█.█%
██.██%
▓▓▓▓▓▓▓▓▓▓
█.█%
██.██%
██.█%

Beneficiario final

NombreParticipaciónPaísDesde
▓▓▓▓▓▓▓▓▓▓▓▓
█.██%
██%
█.█%
▓▓▓▓▓▓▓▓▓▓▓
██%
█.█%
██.██%
▓▓▓▓▓▓▓▓▓▓▓▓▓
█.█%
██.██%
██.█%
▓▓▓▓▓▓▓▓▓▓
██.██%
██.█%
█.██%
▓▓▓▓▓▓▓▓▓▓▓▓
██.█%
█.██%
██%
▓▓▓▓▓▓▓▓▓▓▓
█.██%
██%
█.█%
▓▓▓▓▓▓▓▓▓▓▓▓▓
██%
█.█%
██.██%
▓▓▓▓▓▓▓▓▓▓
█.█%
██.██%
██.█%

Geografía

Sede

29 The Warren Craftsmans Way

East Goscote

Syston

Leicester

LE7 3SL

Finanzas

Cifras clave de cuentas anuales.

Convertir a

2020

Facturación: £18.6M

Cifras clave

Facturación

2010—
2011—
2012—
2013—
2014—
2016—
2020£18.567.386
2021£21.373.340

Beneficio / (pérdida)

2010£99.079
2011£276.449
2012£343.066
2013£359.325
2014£393.425
2016£527.457
2020£1.148.853
2021£1.013.822

Beneficio bruto

2010—
2011—
2012—
2013—
2014—
2016—
2020£7.367.043
2021£8.199.480

Beneficio de explotación

2010—
2011—
2012—
2013—
2014—
2016—
2020£1.343.139
2021£1.358.279

Otros ingresos

2010—
2011—
2012—
2013—
2014—
2016—
2020£23
2021£0

Activo total

2010£277.449
2011£344.066
2012£344.066
2013£360.325
2014£394.425
2016£528.457
2020—
2021£0

Net Assets Liabilities

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£3.548.281

Equity

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£3.548.281

Current Assets

2010£248.534
2011£424.176
2012£466.177
2013£514.070
2014£642.211
2016£932.406
2020—
2021£5.445.837

Net Current Assets Liabilities

2010£173.794
2011£198.421
2012£198.421
2013£208.870
2014£263.192
2016£364.714
2020—
2021£-2.326.551

Total Assets Less Current Liabilities

2010£319.158
2011£376.537
2012£376.537
2013£408.248
2014£461.930
2016£675.671
2020—
2021£4.762.740

Cash Bank On Hand

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£991.365

Debtors

2010£247.211
2011£296.606
2012£350.645
2013£385.735
2014£489.689
2016£745.693
2020—
2021£4.454.472

Creditors

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£949.452

Trade Creditors Trade Payables

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£1.029.872

Other Creditors

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£4.584.862

Investments Fixed Assets

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£71.931

Number Shares Allotted

2010—
2011—
20121000
20131000
20141000
20161000
2020—
2021—

Par Value Share

2010—
2011—
2012£1
2013£1
2014£1
2016£1
2020—
2021—

Average Number Employees During Period

2010—
2011—
2012—
2013—
2014—
2016—
2020285
2021377

Gastos administrativos

2010—
2011—
2012—
2013—
2014—
2016—
2020£6.023.904
2021£8.317.697

Accrued Liabilities Deferred Income

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£300.312

Accumulated Amortisation Impairment Intangible Assets

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£998.432

Accumulated Depreciation Impairment Property Plant Equipment

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£2.634.216

Called Up Share Capital

2010£1000
2011£1000
2012£1000
2013£1000
2014£1000
2016£850
2020—
2021—

Capital Redemption Reserve

2010—
2011—
2012—
2013—
2014£0
2016£150
2020—
2021—

Cash Bank In Hand

2010£1323
2011£127.570
2012£115.532
2013£128.335
2014£152.522
2016£186.713
2020—
2021—

Cost Sales

2010—
2011—
2012—
2013—
2014—
2016—
2020£11.200.343
2021£13.173.860

Creditors Due After One Year

2010—
2011—
2012£32.471
2013£20.552
2014£37.131
2016£94.153
2020—
2021—

Creditors Due After One Year Total Noncurrent Liabilities

2010£9301
2011£41.709
2012—
2013—
2014—
2016—
2020—
2021—

Creditors Due Within One Year

2010—
2011—
2012£267.756
2013£305.200
2014£379.019
2016£567.692
2020—
2021—

Creditors Due Within One Year Total Current Liabilities

2010£253.349
2011£250.382
2012—
2013—
2014—
2016—
2020—
2021—

Disposals Decrease In Depreciation Impairment Property Plant Equipment

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£48.303

Disposals Intangible Assets

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£29.234

Disposals Property Plant Equipment

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£48.303

Finance Lease Liabilities Present Value Total

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£949.452

Fixed Assets

2010£114.195
2011£145.364
2012—
2013—
2014—
2016—
2020—
2021£7.089.291

Gross Profit Loss

2010—
2011—
2012—
2013—
2014—
2016—
2020£7.367.043
2021£8.199.480

Increase Decrease Due To Transfers Between Classes Property Plant Equipment

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£135.286

Increase From Amortisation Charge For Year Intangible Assets

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£537.051

Increase From Depreciation Charge For Year Property Plant Equipment

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£1.017.382

Intangible Assets

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£3.855.411

Intangible Assets Gross Cost

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£4.380.950

Interest Payable Similar Charges Finance Costs

2010—
2011—
2012—
2013—
2014—
2016—
2020£41.556
2021£51.291

Net Assets Liabilities Including Pension Asset Liability

2010£277.449
2011£344.066
2012£344.066
2013£360.325
2014£394.425
2016£528.457
2020—
2021—

Operating Profit Loss

2010—
2011—
2012—
2013—
2014—
2016—
2020£1.343.139
2021£1.358.279

Other Interest Receivable Similar Income Finance Income

2010—
2011—
2012—
2013—
2014—
2016—
2020£23
2021£0

Other Operating Income

2010—
2011—
2012—
2013—
2014—
2016—
2020£0
2021£1.476.496

Prepayments Accrued Income

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£156.614

Profit Loss Account Reserve

2010£99.079
2011£276.449
2012£343.066
2013£359.325
2014£393.425
2016£527.457
2020—
2021—

Profit Loss On Ordinary Activities After Tax

2010—
2011—
2012—
2013—
2014—
2016—
2020£1.148.853
2021£1.013.822

Profit Loss On Ordinary Activities Before Tax

2010—
2011—
2012—
2013—
2014—
2016—
2020£1.301.606
2021£1.306.988

Property Plant Equipment

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£3.161.949

Property Plant Equipment Gross Cost

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£5.487.257

Provisions For Liabilities Balance Sheet Subtotal

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£265.007

Provisions For Liabilities Charges

2010—
2011—
2012£0
2013£27.371
2014£30.374
2016£53.061
2020—
2021—

Share Capital Allotted Called Up Paid

2010—
2011—
2012£1000
2013£1000
2014£1000
2016£850
2020—
2021—

Shareholder Funds

2010£100.079
2011£277.449
2012£344.066
2013£360.325
2014£394.425
2016£528.457
2020—
2021—

Tangible Fixed Assets

2010£114.195
2011£145.364
2012£178.116
2013£199.378
2014£198.738
2016£310.957
2020—
2021—

Tangible Fixed Assets Additions

2010£101.318
2011£103.246
2012£81.344
2013£86.366
2014£191.644
2016£334.507
2020—
2021—

Tangible Fixed Assets Cost Or Valuation

2010£311.832
2011£388.811
2012£470.155
2013£493.111
2014£672.589
2016£916.173
2020—
2021—

Tangible Fixed Assets Depreciation

2010£166.468
2011£210.695
2012£270.777
2013£294.373
2014£361.632
2016£453.782
2020—
2021—

Tangible Fixed Assets Depreciation Charged In Period

2010—
2011—
2012£60.082
2013£75.989
2014£79.425
2016£167.298
2020—
2021—

Tangible Fixed Assets Depreciation Charge For Period

2010£64.589
2011£60.214
2012—
2013—
2014—
2016—
2020—
2021—

Tangible Fixed Assets Depreciation Decrease Increase On Disposals

2010—
2011—
2012—
2013£52.393
2014£12.166
2016£75.148
2020—
2021—

Tangible Fixed Assets Depreciation Disposals

2010£-9685
2011£-15.987
2012—
2013—
2014—
2016—
2020—
2021—

Tangible Fixed Assets Disposals

2010£-15.245
2011£-26.267
2012—
2013£63.410
2014£12.166
2016£90.923
2020—
2021—

Taxation Social Security Payable

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£1.343.694

Tax Tax Credit On Profit Or Loss On Ordinary Activities

2010—
2011—
2012—
2013—
2014—
2016—
2020£152.753
2021£293.166

Total Additions Including From Business Combinations Intangible Assets

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£93.392

Total Additions Including From Business Combinations Property Plant Equipment

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£573.188

Trade Debtors Trade Receivables

2010—
2011—
2012—
2013—
2014—
2016—
2020—
2021£4.297.858

Turnover Revenue

2010—
2011—
2012—
2013—
2014—
2016—
2020£18.567.386
2021£21.373.340
Métrica20102011201220132014201620202021
Facturación——————£18.567.386£21.373.340
Beneficio / (pérdida)£99.079£276.449£343.066£359.325£393.425£527.457£1.148.853£1.013.822
Beneficio bruto——————£7.367.043£8.199.480
Beneficio de explotación——————£1.343.139£1.358.279
Otros ingresos——————£23£0
Activo total£277.449£344.066£344.066£360.325£394.425£528.457—£0
Net Assets Liabilities———————£3.548.281
Equity———————£3.548.281
Current Assets£248.534£424.176£466.177£514.070£642.211£932.406—£5.445.837
Net Current Assets Liabilities£173.794£198.421£198.421£208.870£263.192£364.714—£-2.326.551
Total Assets Less Current Liabilities£319.158£376.537£376.537£408.248£461.930£675.671—£4.762.740
Cash Bank On Hand———————£991.365
Debtors£247.211£296.606£350.645£385.735£489.689£745.693—£4.454.472
Creditors———————£949.452
Trade Creditors Trade Payables———————£1.029.872
Other Creditors———————£4.584.862
Investments Fixed Assets———————£71.931
Number Shares Allotted——1000100010001000——
Par Value Share——£1£1£1£1——
Average Number Employees During Period——————285377
Gastos administrativos——————£6.023.904£8.317.697
Accrued Liabilities Deferred Income———————£300.312
Accumulated Amortisation Impairment Intangible Assets———————£998.432
Accumulated Depreciation Impairment Property Plant Equipment———————£2.634.216
Called Up Share Capital£1000£1000£1000£1000£1000£850——
Capital Redemption Reserve————£0£150——
Cash Bank In Hand£1323£127.570£115.532£128.335£152.522£186.713——
Cost Sales——————£11.200.343£13.173.860
Creditors Due After One Year——£32.471£20.552£37.131£94.153——
Creditors Due After One Year Total Noncurrent Liabilities£9301£41.709——————
Creditors Due Within One Year——£267.756£305.200£379.019£567.692——
Creditors Due Within One Year Total Current Liabilities£253.349£250.382——————
Disposals Decrease In Depreciation Impairment Property Plant Equipment———————£48.303
Disposals Intangible Assets———————£29.234
Disposals Property Plant Equipment———————£48.303
Finance Lease Liabilities Present Value Total———————£949.452
Fixed Assets£114.195£145.364—————£7.089.291
Gross Profit Loss——————£7.367.043£8.199.480
Increase Decrease Due To Transfers Between Classes Property Plant Equipment———————£135.286
Increase From Amortisation Charge For Year Intangible Assets———————£537.051
Increase From Depreciation Charge For Year Property Plant Equipment———————£1.017.382
Intangible Assets———————£3.855.411
Intangible Assets Gross Cost———————£4.380.950
Interest Payable Similar Charges Finance Costs——————£41.556£51.291
Net Assets Liabilities Including Pension Asset Liability£277.449£344.066£344.066£360.325£394.425£528.457——
Operating Profit Loss——————£1.343.139£1.358.279
Other Interest Receivable Similar Income Finance Income——————£23£0
Other Operating Income——————£0£1.476.496
Prepayments Accrued Income———————£156.614
Profit Loss Account Reserve£99.079£276.449£343.066£359.325£393.425£527.457——
Profit Loss On Ordinary Activities After Tax——————£1.148.853£1.013.822
Profit Loss On Ordinary Activities Before Tax——————£1.301.606£1.306.988
Property Plant Equipment———————£3.161.949
Property Plant Equipment Gross Cost———————£5.487.257
Provisions For Liabilities Balance Sheet Subtotal———————£265.007
Provisions For Liabilities Charges——£0£27.371£30.374£53.061——
Share Capital Allotted Called Up Paid——£1000£1000£1000£850——
Shareholder Funds£100.079£277.449£344.066£360.325£394.425£528.457——
Tangible Fixed Assets£114.195£145.364£178.116£199.378£198.738£310.957——
Tangible Fixed Assets Additions£101.318£103.246£81.344£86.366£191.644£334.507——
Tangible Fixed Assets Cost Or Valuation£311.832£388.811£470.155£493.111£672.589£916.173——
Tangible Fixed Assets Depreciation£166.468£210.695£270.777£294.373£361.632£453.782——
Tangible Fixed Assets Depreciation Charged In Period——£60.082£75.989£79.425£167.298——
Tangible Fixed Assets Depreciation Charge For Period£64.589£60.214——————
Tangible Fixed Assets Depreciation Decrease Increase On Disposals———£52.393£12.166£75.148——
Tangible Fixed Assets Depreciation Disposals£-9685£-15.987——————
Tangible Fixed Assets Disposals£-15.245£-26.267—£63.410£12.166£90.923——
Taxation Social Security Payable———————£1.343.694
Tax Tax Credit On Profit Or Loss On Ordinary Activities——————£152.753£293.166
Total Additions Including From Business Combinations Intangible Assets———————£93.392
Total Additions Including From Business Combinations Property Plant Equipment———————£573.188
Trade Debtors Trade Receivables———————£4.297.858
Turnover Revenue——————£18.567.386£21.373.340

Documentos

Change of registered office address

10/6/2026

Ver

Confirmation statement

17/11/2025

Ver

Appointment of director

12/11/2025

Ver

Change of details for relevant legal entity with significant control

6/11/2025

Ver

Notice of agreement to exemption from audit of accounts for period ending 31/12/24

16/10/2025

Ver

Audit exemption statement of guarantee by parent company for period ending 31/12/24

16/10/2025

Ver

Audit exemption subsidiary accounts made up to 31 December 2024

16/10/2025

Ver

Consolidated accounts of parent company for subsidiary company period ending 31/12/24

16/10/2025

Ver

IA de documentos

Próximamente

Companexia Document AI

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

Audit exemption statement of guarantee by parent company for period ending 31/12/24

10/10/2025

Ver

Mostrando 1–10 de 51

1 / 6

Explorar más empresas y personas

🇮🇪KILDALE LIMITED🇮🇪AVONMOUNT LIMITED🇮🇪KERRY FARM MACHINERY (TRALEE) LIMITEDGILLES EMMANUEL THIERRY PRIMAUT🇬🇧Mrs Stela Munteanu🇬🇧Miss Szabina Csok
Margen neto (2021)Margen neto
4,7 %
Margen operativo (2021)Margen operativo
6,4 %
Ingresos interanuales (2020 vs. 2021)Ingresos interanuales
+15,1 %
Ratio de liquidez corriente (2016)Ratio de liquidez corriente
1,64×
Beneficio / (pérdida) interanual (2020 vs. 2021)Beneficio / (pérdida) interanual
-11,8 %

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)
39,7 %
Margen operativo (2020)
7,2 %
Gastos administrativos % de ingresos (2020)
32,4 %
Margen neto (2021)
4,7 %
  1. –
  2. –
  3. –CONSTRUCTION TESTING SOLUTIONS LIMITED
Margen bruto (2021)
38,4 %
Margen operativo (2021)
6,4 %
Gastos administrativos % de ingresos (2021)
38,9 %

Crecimiento

Beneficio / (pérdida) interanual (2010 vs. 2011)
+179 %
Activos totales interanuales (2010 vs. 2011)
+24 %
Activo circulante neto interanual (2010 vs. 2011)
+14,2 %
Beneficio / (pérdida) interanual (2011 vs. 2012)
+24,1 %
Beneficio / (pérdida) interanual (2012 vs. 2013)
+4,7 %
Activos totales interanuales (2012 vs. 2013)
+4,7 %
Activo circulante neto interanual (2012 vs. 2013)
+5,3 %
Beneficio / (pérdida) interanual (2013 vs. 2014)
+9,5 %
Activos totales interanuales (2013 vs. 2014)
+9,5 %
Activo circulante neto interanual (2013 vs. 2014)
+26 %
Beneficio / (pérdida) interanual (2014 vs. 2016)
+34,1 %
Activos totales interanuales (2014 vs. 2016)
+34 %
Activo circulante neto interanual (2014 vs. 2016)
+38,6 %
Beneficio / (pérdida) interanual (2016 vs. 2020)
+117,8 %
Ingresos interanuales (2020 vs. 2021)
+15,1 %
Beneficio / (pérdida) interanual (2020 vs. 2021)
-11,8 %
CAGR beneficio / (pérdida) (2010–2021)
+39,4 %

Eficiencia y rentabilidad

Rentabilidad sobre activos (neta) (2010)
35,7 %
Rentabilidad sobre activos (neta) (2011)
80,3 %
Rentabilidad sobre activos (neta) (2012)
99,7 %
Rentabilidad sobre activos (neta) (2013)
99,7 %
Rentabilidad sobre activos (neta) (2014)
99,7 %
Rentabilidad sobre activos (neta) (2016)
99,8 %
Ingresos por empleado (2020)
65.149 GBP
Beneficio / (pérdida) por empleado (2020)
4031 GBP
Ingresos por empleado (2021)
56.693 GBP
Beneficio / (pérdida) por empleado (2021)
2689 GBP

Capital circulante y liquidez

Activo circulante neto (2010)
173.794 GBP
Activo circulante neto (2011)
198.421 GBP
Ratio de liquidez corriente (2012)
1,74×
Activo circulante neto (2012)
198.421 GBP
Ratio de liquidez corriente (2013)
1,68×
Activo circulante neto (2013)
208.870 GBP
Ratio de liquidez corriente (2014)
1,69×
Activo circulante neto (2014)
263.192 GBP
Ratio de liquidez corriente (2016)
1,64×
Activo circulante neto (2016)
364.714 GBP
Activo circulante neto (2021)
-2.326.551 GBP

Cobros y pagos

Días de deudores (2021)
76días
Días de acreedores (vs ingresos) (2021)
18días

Calidad y mix

Resultado operativo como % del margen bruto (2020)
18,2 %
Resultado operativo como % del margen bruto (2021)
16,6 %
Inicio
Reino Unido
Syston