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ResumenLegal y estadoLínea temporalRedPropiedad y gestiónAccionistasBeneficiario finalGeografíaFinanzasSalud financieraDocumentos
ResumenLegal y estadoLínea temporalRedPropiedad y gestiónAccionistasBeneficiario finalGeografíaFinanzasSalud financieraDocumentos

FINTECH DIGITAL PLATFORMS LIMITED

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

Resumen

País🇬🇧Reino Unido
EstadoActiva
Número de registro11501684
Fundada6/8/2018
Objeto socialManufacture of batteries and accumulators; Other information technology service activities; Web portals; Activities of head offices
Dirección138 Hassell Street, Newcastle Under Lyme, ST5 1BB
Declaración de confirmaciónPróximo vencimiento: 27/12/2025; Última elaboración: —

Legal y estado

Forma legalPrivate Limited Company (Ltd.)
EstadoActiva
Fecha de registro6/8/2018
Autoridad registralCompanies House
Capital registrado—

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

Línea temporal (31 eventos)

29/5/2026

Estado cambiado

active — active proposal to strike off → active

15/4/2026

Estado cambiado

active → active — active proposal to strike off

6/8/2018

Nombramiento Michael Brian Victor Hirschfield (persona)

Nombrado como Director

Red

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Profundidad de la red

Propiedad y gestión

Persons with significant control

Ruth Caron Stuart

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

Nombrado el: 12/8/2019

87.5%
Hambro Bruetcher Limited

50–75% shares · 50–75% voting rights

Nombrado el: 1/7/2019 · Dimitió el: 12/8/2019

62.5%
Michael Brian Victor Hirschfield

25–50% shares · 25–50% voting rights

Nombrado el: 6/8/2018 · Dimitió el: 12/8/2019

37.5%

Officers & directors

Ruth Caron Stuart

Director

Nombrado el: 12/8/2019

—
Ruth Caron Stuart

Director

Nombrado el: 12/8/2019

—

Mostrando 1–5 de 11

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Línea temporal de propiedad (5 cambios)

12/8/2019

Nombramiento Ruth Caron Stuart (persona)

Persona con control significativo

12/8/2019

Baja Hambro Bruetcher Limited (empresa)

owns or controls

6/8/2018

Nombramiento Michael Brian Victor Hirschfield (persona)

Persona con control significativo

Accionistas

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Beneficiario final

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Geografía

Sede

138 Hassell Street

Newcastle Under Lyme

ST5 1BB

Finanzas

Cifras clave de cuentas anuales.

Convertir a

2019

Facturación: £0

Cifras clave

Facturación

2019£0
2020£385.583
2021—
2022—
2023—

Beneficio / (pérdida)

2019£0
2020£-40.056
2021—
2022—
2023—

Otros ingresos

2019£0
2020£10.000
2021—
2022—
2023—

Activo total

2019£500.000
2020£897.442
2021£1.392.030
2022£1.183.107
2023£1.183.107

Net Assets Liabilities

2019—
2020£897.442
2021£1.392.030
2022£1.183.107
2023£1.183.107

Equity

2019£500.000
2020£897.442
2021£1.392.030
2022£1.183.107
2023£1.183.107

Current Assets

2019£10.000
2020£111.920
2021£112.519
2022£34.559
2023£34.559

Net Current Assets Liabilities

2019£10.000
2020£144.024
2021£96.135
2022£10.222
2023£10.222

Total Assets Less Current Liabilities

2019£500.000
2020£947.442
2021£1.392.030
2022£1.302.992
2023£1.302.992

Cash Bank On Hand

2019£2500
2020£2500
2021—
2022—
2023£1000

Debtors

2019£7500
2020£7500
2021—
2022—
2023£33.559

Creditors

2019—
2020£50.000
2021£0
2022£119.885
2023£119.885

Issue Equity Instruments

2019£500.000
2020£390.000
2021—
2022—
2023—

Average Number Employees During Period

2019—
20201
20213
20223
20231

Gastos administrativos

2019£0
2020£428.197
2021—
2022—
2023—

Accumulated Depreciation Impairment Property Plant Equipment

2019—
2020£867
2021—
2022—
2023—

Additions Other Than Through Business Combinations Intangible Assets

2019£490.000
2020£590.000
2021—
2022—
2023—

Additions Other Than Through Business Combinations Property Plant Equipment

2019—
2020£12.333
2021—
2022—
2023—

Audit Fees Expenses

2019£0
2020£3000
2021—
2022—
2023—

Cash Cash Equivalents Cash Flow Value

2019£2500
2020£2500
2021—
2022—
2023—

Comprehensive Income Expense

2019£0
2020£7442
2021—
2022—
2023—

Depreciation Impairment Expense Property Plant Equipment

2019£0
2020£867
2021—
2022—
2023—

Fixed Assets

2019—
2020£1.091.466
2021£1.295.895
2022£1.292.770
2023£1.292.770

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

2019£0
2020£-255.944
2021—
2022—
2023—

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

2019£7500
2020£6702
2021—
2022—
2023—

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

2019£-2500
2020£-55.155
2021—
2022—
2023—

Increase From Depreciation Charge For Year Property Plant Equipment

2019—
2020£867
2021—
2022—
2023—

Intangible Assets

2019£490.000
2020£490.000
2021—
2022—
2023—

Intangible Assets Gross Cost

2019£490.000
2020£1.080.000
2021—
2022—
2023—

Net Cash Flows From Used In Financing Activities

2019£-500.000
2020£-440.000
2021—
2022—
2023—

Net Cash Flows From Used In Investing Activities

2019£490.000
2020£602.340
2021—
2022—
2023—

Net Cash Generated From Operations

2019£7500
2020£-217.495
2021—
2022—
2023—

Other Operating Income Format1

2019£0
2020£10.000
2021—
2022—
2023—

Prepayments Accrued Income

2019£7500
2020£7500
2021—
2022—
2023—

Proceeds From Issuing Shares

2019£-500.000
2020£-390.000
2021—
2022—
2023—

Profit Loss On Ordinary Activities Before Tax

2019£0
2020£-32.614
2021—
2022—
2023—

Property Plant Equipment

2019—
2020£0
2021—
2022—
2023£1.292.770

Property Plant Equipment Gross Cost

2019—
2020£12.333
2021—
2022—
2023£1.292.770

Purchase Intangible Assets

2019£-490.000
2020£-590.000
2021—
2022—
2023—

Purchase Property Plant Equipment

2019£0
2020£-12.333
2021—
2022—
2023—

Tax Increase Decrease From Effect Adjustment In Research Development Tax Credit

2019£0
2020£-33.859
2021—
2022—
2023—

Tax Tax Credit On Profit Or Loss On Ordinary Activities

2019£0
2020£-40.056
2021—
2022—
2023—

Turnover Revenue

2019£0
2020£385.583
2021—
2022—
2023—
Métrica20192020202120222023
Facturación£0£385.583———
Beneficio / (pérdida)£0£-40.056———
Otros ingresos£0£10.000———
Activo total£500.000£897.442£1.392.030£1.183.107£1.183.107
Net Assets Liabilities—£897.442£1.392.030£1.183.107£1.183.107
Equity£500.000£897.442£1.392.030£1.183.107£1.183.107
Current Assets£10.000£111.920£112.519£34.559£34.559
Net Current Assets Liabilities£10.000£144.024£96.135£10.222£10.222
Total Assets Less Current Liabilities£500.000£947.442£1.392.030£1.302.992£1.302.992
Cash Bank On Hand£2500£2500——£1000
Debtors£7500£7500——£33.559
Creditors—£50.000£0£119.885£119.885
Issue Equity Instruments£500.000£390.000———
Average Number Employees During Period—1331
Gastos administrativos£0£428.197———
Accumulated Depreciation Impairment Property Plant Equipment—£867———
Additions Other Than Through Business Combinations Intangible Assets£490.000£590.000———
Additions Other Than Through Business Combinations Property Plant Equipment—£12.333———
Audit Fees Expenses£0£3000———
Cash Cash Equivalents Cash Flow Value£2500£2500———
Comprehensive Income Expense£0£7442———
Depreciation Impairment Expense Property Plant Equipment£0£867———
Fixed Assets—£1.091.466£1.295.895£1.292.770£1.292.770
Gain Loss In Cash Flows From Change In Creditors Trade Other Payables£0£-255.944———
Gain Loss In Cash Flows From Change In Debtors Trade Other Receivables£7500£6702———
Increase Decrease In Cash Cash Equivalents Before Foreign Exchange Differences Changes In Consolidation£-2500£-55.155———
Increase From Depreciation Charge For Year Property Plant Equipment—£867———
Intangible Assets£490.000£490.000———
Intangible Assets Gross Cost£490.000£1.080.000———
Net Cash Flows From Used In Financing Activities£-500.000£-440.000———
Net Cash Flows From Used In Investing Activities£490.000£602.340———
Net Cash Generated From Operations£7500£-217.495———
Other Operating Income Format1£0£10.000———
Prepayments Accrued Income£7500£7500———
Proceeds From Issuing Shares£-500.000£-390.000———
Profit Loss On Ordinary Activities Before Tax£0£-32.614———
Property Plant Equipment—£0——£1.292.770
Property Plant Equipment Gross Cost—£12.333——£1.292.770
Purchase Intangible Assets£-490.000£-590.000———
Purchase Property Plant Equipment£0£-12.333———
Tax Increase Decrease From Effect Adjustment In Research Development Tax Credit£0£-33.859———
Tax Tax Credit On Profit Or Loss On Ordinary Activities£0£-40.056———
Turnover Revenue£0£385.583———

Documentos

Compulsory strike-off action has been suspended

14/1/2026

Ver

First Gazette notice for compulsory strike-off

2/12/2025

Ver

Confirmation statement

13/12/2024

Ver

Unaudited abridged accounts made up to 31 December 2023

30/9/2024

Ver

Confirmation statement

19/1/2024

Ver

Annual Accounts

Cuentas del ejercicio que finaliza el: 31/12/2023

Archivado: 31/12/2023

Ver

IA de documentos

Próximamente

Companexia Document AI

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

Compulsory strike-off action has been discontinued

16/12/2023

Ver

Micro company accounts made up to 31 December 2022

14/12/2023

Ver

Compulsory strike-off action has been suspended

7/12/2023

Ver

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Margen neto (2020)Margen neto
-10,4 %
Rentabilidad sobre activos (neta) (2020)Rentabilidad sobre activos (neta)
-4,5 %
Ratio de fondos propios (2023)Ratio de fondos propios
100 %
Rotación de activos (2020)Rotación de activos
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Días de deudores (2020)Días de deudores
7días

Salud financiera

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

Márgenes

Margen neto (2020)
-10,4 %
Gastos administrativos % de ingresos (2020)
111,1 %

Crecimiento

Activos totales interanuales (2019 vs. 2020)
+79,5 %
Activo circulante neto interanual (2019 vs. 2020)
+1340,2 %
Activos totales interanuales (2020 vs. 2021)
+55,1 %
  1. –
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Activo circulante neto interanual (2020 vs. 2021)
-33,3 %
Activos totales interanuales (2021 vs. 2022)
-15 %
Activo circulante neto interanual (2021 vs. 2022)
-89,4 %
CAGR activos totales (2019–2023)
+24 %

Eficiencia y rentabilidad

Rotación de activos (2020)
0,43×
Rentabilidad sobre activos (neta) (2020)
-4,5 %
Ingresos por empleado (2020)
385.583 GBP
Beneficio / (pérdida) por empleado (2020)
-40.056 GBP

Capital circulante y liquidez

Activo circulante neto (2019)
10.000 GBP
Activo circulante neto (2020)
144.024 GBP
Activo circulante neto (2021)
96.135 GBP
Activo circulante neto (2022)
10.222 GBP
Activo circulante neto (2023)
10.222 GBP

Cobros y pagos

Días de deudores (2020)
7días
Días de acreedores (vs ingresos) (2020)
47días

Estructura de capital

Ratio de fondos propios (2019)
100 %
Ratio de fondos propios (2020)
100 %
Ratio de fondos propios (2021)
100 %
Ratio de fondos propios (2022)
100 %
Ratio de fondos propios (2023)
100 %

Calidad y mix

Otros ingresos % de ingresos (2020)
2,6 %
Inicio
Reino Unido
Newcastle Under Lyme