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ResumenLegal y estadoLínea temporalRedPropiedad y gestiónAccionistasBeneficiario finalGeografíaFinanzasSalud financieraDocumentos

MANAR GROUP LTD

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

Resumen

País🇬🇧Reino Unido
EstadoActiva
Número de registro15881225
Fundada6/8/2024
Objeto socialUnlicenced restaurants and cafes
DirecciónThe Accounting Centre Ltd, 736, High Road, London, N12 9QD

Legal y estado

Forma legalPrivate Limited Company (Ltd.)
EstadoActiva
Fecha de registro6/8/2024
Autoridad registralCompanies House
Capital registrado—

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

Línea temporal (7 eventos)

18/3/2026

Dirección actualizada

The Accounting Centre Ltd, 736, High Road

30/7/2025

Cuentas anuales presentadas

Total exemption full accounts made up to 31 March 2025

Ver archivo en Documentos

6/8/2024

Nombramiento Vrinder Singh Nijjer (persona)

Nombrado como Director

Red

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Profundidad de la red

Propiedad y gestión

Persons with significant control

Vrinder Singh Nijjer

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

Nombrado el: 6/8/2024

87.5%

Officers & directors

Jaspreet Nijjer

Director

Nombrado el: 6/8/2024

—
Vrinder Singh Nijjer

Director

Nombrado el: 6/8/2024

—

Línea temporal de propiedad (1 cambios)

6/8/2024

Nombramiento Vrinder Singh Nijjer (persona)

Persona con control significativo

Accionistas

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Beneficiario final

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Geografía

Sede

The Accounting Centre Ltd

736, High Road

London

N12 9QD

Finanzas

Cifras clave de cuentas anuales.

Convertir a

2025

Facturación: £2.2M

Cifras clave

Facturación

2025£2.195.857

Beneficio / (pérdida)

2025£57.887

Beneficio bruto

2025£1.488.917

Beneficio de explotación

2025£86.039

Activo total

2025£57.986

Net Assets Liabilities

2025£57.986

Equity

2025£57.986

Current Assets

2025£639.718

Net Current Assets Liabilities

2025£-115.858

Total Assets Less Current Liabilities

2025£1.763.654

Cash Bank On Hand

2025£589.334

Debtors

2025£26.757

Other Debtors

2025£26.757

Creditors

2025£1.705.668

Trade Creditors Trade Payables

2025£195.516

Other Creditors

2025£499.900

Average Number Employees During Period

2025178

Gastos administrativos

2025£1.260.181

Accumulated Amortisation Impairment Intangible Assets

2025£21.256

Accumulated Depreciation Impairment Property Plant Equipment

2025£7021

Additions Other Than Through Business Combinations Intangible Assets

2025£1.708.979

Additions Other Than Through Business Combinations Property Plant Equipment

2025£198.810

Amortisation Expense Intangible Assets

2025£21.256

Amortisation Rate Used For Intangible Assets

2025£0

Bank Borrowings Overdrafts

2025£1.205.768

Comprehensive Income Expense

2025£57.887

Cost Sales

2025£706.940

Depreciation Expense Property Plant Equipment

2025£7021

Depreciation Rate Used For Property Plant Equipment

2025£0

Distribution Costs

2025£142.697

Fixed Assets

2025£1.879.512

Gross Profit Loss

2025£1.488.917

Increase From Amortisation Charge For Year Intangible Assets

2025£21.256

Increase From Depreciation Charge For Year Property Plant Equipment

2025£7021

Intangible Assets

2025£1.687.723

Intangible Assets Gross Cost

2025£1.708.979

Interest Payable Similar Charges Finance Costs

2025£28.152

Operating Profit Loss

2025£86.039

Other Taxation Social Security Payable

2025£309.252

Profit Loss On Ordinary Activities Before Tax

2025£57.887

Property Plant Equipment

2025£191.789

Property Plant Equipment Gross Cost

2025£198.810

Total Inventories

2025£23.627

Turnover Revenue

2025£2.195.857
Métrica2025
Facturación£2.195.857
Beneficio / (pérdida)£57.887
Beneficio bruto£1.488.917
Beneficio de explotación£86.039
Activo total£57.986
Net Assets Liabilities£57.986
Equity£57.986
Current Assets£639.718
Net Current Assets Liabilities£-115.858
Total Assets Less Current Liabilities£1.763.654
Cash Bank On Hand£589.334
Debtors£26.757
Other Debtors£26.757
Creditors£1.705.668
Trade Creditors Trade Payables£195.516
Other Creditors£499.900
Average Number Employees During Period178
Gastos administrativos£1.260.181
Accumulated Amortisation Impairment Intangible Assets£21.256
Accumulated Depreciation Impairment Property Plant Equipment£7021
Additions Other Than Through Business Combinations Intangible Assets£1.708.979
Additions Other Than Through Business Combinations Property Plant Equipment£198.810
Amortisation Expense Intangible Assets£21.256
Amortisation Rate Used For Intangible Assets£0
Bank Borrowings Overdrafts£1.205.768
Comprehensive Income Expense£57.887
Cost Sales£706.940
Depreciation Expense Property Plant Equipment£7021
Depreciation Rate Used For Property Plant Equipment£0
Distribution Costs£142.697
Fixed Assets£1.879.512
Gross Profit Loss£1.488.917
Increase From Amortisation Charge For Year Intangible Assets£21.256
Increase From Depreciation Charge For Year Property Plant Equipment£7021
Intangible Assets£1.687.723
Intangible Assets Gross Cost£1.708.979
Interest Payable Similar Charges Finance Costs£28.152
Operating Profit Loss£86.039
Other Taxation Social Security Payable£309.252
Profit Loss On Ordinary Activities Before Tax£57.887
Property Plant Equipment£191.789
Property Plant Equipment Gross Cost£198.810
Total Inventories£23.627
Turnover Revenue£2.195.857

Documentos

Confirmation statement

14/8/2025

Ver

Total exemption full accounts made up to 31 March 2025

30/7/2025

Ver

Annual Accounts

Cuentas del ejercicio que finaliza el: 31/3/2025

Archivado: 31/3/2025

Ver

Current accounting period shortened from 31 August 2025 to 31 March 2025

28/8/2024

Ver

New incorporation (electronic)

6/8/2024

Ver

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Margen neto (2025)Margen neto
2,6 %
Margen operativo (2025)Margen operativo
3,9 %
Margen bruto (2025)Margen bruto
67,8 %
Rentabilidad sobre activos (neta) (2025)Rentabilidad sobre activos (neta)
99,8 %
Ratio de fondos propios (2025)Ratio de fondos propios
100 %

Salud financiera

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

Márgenes

Margen neto (2025)
2,6 %
Margen bruto (2025)
67,8 %
Margen operativo (2025)
3,9 %
Gastos administrativos % de ingresos (2025)
57,4 %

Eficiencia y rentabilidad

Rotación de activos (2025)
37,87×
  1. –
  2. –
  3. –MANAR GROUP LTD
Rentabilidad sobre activos (neta) (2025)
99,8 %
Rentabilidad sobre activos (operativa) (2025)
148,4 %
Ingresos por empleado (2025)
12.336 GBP
Beneficio / (pérdida) por empleado (2025)
325 GBP

Capital circulante y liquidez

Activo circulante neto (2025)
-115.858 GBP

Cobros y pagos

Días de deudores (2025)
4días
Días de acreedores (vs ingresos) (2025)
32días

Estructura de capital

Ratio de fondos propios (2025)
100 %

Calidad y mix

Resultado operativo como % del margen bruto (2025)
5,8 %
Inicio
Reino Unido
London