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ResumenLegal y estadoLínea temporalRedPropiedad y gestiónAccionistasBeneficiario finalGeografíaFinanzasSalud financieraDocumentos

PAGECOM COMPUTING LIMITED

Private Limited Company (Ltd.)•Liquidación
Ratio de liquidez corriente (2016)Ratio de liquidez corriente
1,01×
Beneficio / (pérdida) interanual (2021 vs. 2022)Beneficio / (pérdida) interanual
-13,1 %
Rentabilidad sobre activos (neta) (2022)Rentabilidad sobre activos (neta)

Resumen

País🇬🇧Reino Unido
EstadoLiquidación
Número de registro08202953
Fundada5/9/2012
Objeto socialInformation technology consultancy activities
DirecciónThe Manor House, 280 Ecclesall Road South, Sheffield, S11 9PS
Declaración de confirmaciónPróximo vencimiento: —; Última elaboración: —

Legal y estado

Forma legalPrivate Limited Company (Ltd.)
EstadoLiquidación
Fecha de registro5/9/2012
Autoridad registral—

Fuente: — · Última actualización: 2/12/2025

Línea temporal (26 eventos)

1/11/2023

Dirección actualizada

The Manor House, 280 Ecclesall Road South, Sheffield, S11 9PS

1/11/2023

Estado cambiado

active → liquidation

5/9/2012

Nombramiento Robert William Logan (persona)

Nombrado como Director

Red

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Profundidad de la red

Propiedad y gestión

Persons with significant control

Caroline Elizabeth Logan

25–50% shares · Right to appoint directors

Nombrado el: 10/9/2020

37.5%
Robert William Logan

25–50% shares

Nombrado el: 6/4/2016

37.5%
Robert William Logan

25–50% shares

Nombrado el: 6/4/2016

37.5%

Officers & directors

Caroline Elizabeth Logan

Director

Nombrado el: 10/9/2020

—
Robert William Logan

Director

Nombrado el: 5/9/2012

—

Línea temporal de propiedad (2 cambios)

10/9/2020

Nombramiento Caroline Elizabeth Logan (persona)

Persona con control significativo

6/4/2016

Nombramiento Robert William Logan (persona)

Persona con control significativo

Accionistas

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Beneficiario final

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Geografía

Sede

The Manor House

280 Ecclesall Road South

Sheffield

S11 9PS

Finanzas

Cifras clave de cuentas anuales.

Convertir a

2013

Beneficio / (pérdida): £3.6K

Cifras clave

Beneficio / (pérdida)

2013£3567
2014£3567
2015—
2016£0
2017—
2018—
2019—
2020£76.385
2021£97.073
2022£84.364

Activo total

2013£3667
2014£3667
2015£100
2016£100
2017£9911
2018£0
2019£10.709
2020£1892
2021£177
2022£500

Net Assets Liabilities

2013—
2014—
2015—
2016—
2017—
2018—
2019£10.709
2020£1892
2021£277
2022£800

Equity

2013—
2014—
2015—
2016—
2017£9911
2018£0
2019£10.709
2020£1892
2021£177
2022£500

Current Assets

2013£17.579
2014£17.579
2015£18.783
2016£18.321
2017£37.780
2018£36.760
2019£45.844
2020£64.016
2021£93.865
2022£82.010

Net Current Assets Liabilities

2013£3667
2014£3667
2015£100
2016£100
2017£9911
2018£0
2019£10.209
2020£7815
2021£56.811
2022£35.741

Total Assets Less Current Liabilities

2013£3667
2014£3667
2015£100
2016£100
2017£9911
2018£0
2019£10.709
2020£9133
2021£59.885
2022£37.527

Cash Bank On Hand

2013—
2014—
2015—
2016—
2017—
2018—
2019—
2020£43
2021£12.677
2022£4274

Debtors

2013£16.861
2014£16.861
2015£10.608
2016£15.154
2017—
2018—
2019—
2020£63.973
2021£81.188
2022£77.736

Creditors

2013—
2014—
2015—
2016—
2017£27.869
2018£36.760
2019£0
2020£7241
2021£59.608
2022£36.727

Number Shares Allotted

2013100
2014100
2015100
2016100
2017—
2018—
2019—
2020—
2021—
2022—

Par Value Share

2013£1
2014£1
2015£1
2016£1
2017—
2018—
2019—
2020—
2021—
2022—

Average Number Employees During Period

2013—
2014—
2015—
2016—
2017—
2018—
20194
20204
20214
20223

Accumulated Depreciation Impairment Property Plant Equipment

2013—
2014—
2015—
2016—
2017—
2018—
2019—
2020£2732
2021£3379
2022£0

Advances Credits Directors

2013£0
2014—
2015£6160
2016£0
2017—
2018—
2019—
2020—
2021—
2022—

Advances Credits Made In Period Directors

2013£7000
2014—
2015£6160
2016£10.854
2017—
2018—
2019—
2020—
2021—
2022—

Advances Credits Repaid In Period Directors

2013£7000
2014—
2015£0
2016£17.014
2017—
2018—
2019—
2020—
2021—
2022—

Amount Specific Advance Or Credit Directors

2013—
2014—
2015—
2016—
2017£22.024
2018—
2019£0
2020—
2021—
2022—

Amount Specific Advance Or Credit Made In Period Directors

2013—
2014—
2015—
2016—
2017£22.024
2018—
2019£0
2020—
2021—
2022—

Called Up Share Capital

2013£100
2014£100
2015£100
2016£100
2017—
2018—
2019—
2020—
2021—
2022—

Cash Bank In Hand

2013£718
2014£718
2015£8175
2016£3167
2017—
2018—
2019—
2020—
2021—
2022—

Creditors Due Within One Year

2013£13.912
2014£13.912
2015£18.683
2016£18.221
2017—
2018—
2019—
2020—
2021—
2022—

Debtors Due After One Year

2013—
2014£-1540
2015£-1540
2016£-1540
2017—
2018—
2019—
2020—
2021—
2022—

Fixed Assets

2013—
2014—
2015—
2016—
2017—
2018£0
2019£500
2020—
2021—
2022—

Increase From Depreciation Charge For Year Property Plant Equipment

2013—
2014—
2015—
2016—
2017—
2018—
2019—
2020£1881
2021£1703
2022—

Other Disposals Decrease In Depreciation Impairment Property Plant Equipment

2013—
2014—
2015—
2016—
2017—
2018—
2019—
2020—
2021£1056
2022£3379

Other Disposals Property Plant Equipment

2013—
2014—
2015—
2016—
2017—
2018—
2019—
2020—
2021£1790
2022£5165

Profit Loss Account Reserve

2013£3567
2014£3567
2015—
2016£0
2017—
2018—
2019—
2020—
2021—
2022—

Property Plant Equipment

2013—
2014—
2015—
2016—
2017—
2018—
2019—
2020£1318
2021£3074
2022£1786

Property Plant Equipment Gross Cost

2013—
2014—
2015—
2016—
2017—
2018—
2019—
2020£5806
2021£5165
2022£0

Share Capital Allotted Called Up Paid

2013£100
2014£100
2015£100
2016£100
2017—
2018—
2019—
2020—
2021—
2022—

Shareholder Funds

2013£3667
2014£3667
2015£100
2016£100
2017—
2018—
2019—
2020—
2021—
2022—

Total Additions Including From Business Combinations Property Plant Equipment

2013—
2014—
2015—
2016—
2017—
2018—
2019—
2020£3637
2021£1149
2022—
Métrica2013201420152016201720182019202020212022
Beneficio / (pérdida)£3567£3567—£0———£76.385£97.073£84.364
Activo total£3667£3667£100£100£9911£0£10.709£1892£177£500
Net Assets Liabilities——————£10.709£1892£277£800
Equity————£9911£0£10.709£1892£177£500
Current Assets£17.579£17.579£18.783£18.321£37.780£36.760£45.844£64.016£93.865£82.010
Net Current Assets Liabilities£3667£3667£100£100£9911£0£10.209£7815£56.811£35.741
Total Assets Less Current Liabilities£3667£3667£100£100£9911£0£10.709£9133£59.885£37.527
Cash Bank On Hand———————£43£12.677£4274
Debtors£16.861£16.861£10.608£15.154———£63.973£81.188£77.736
Creditors————£27.869£36.760£0£7241£59.608£36.727
Number Shares Allotted100100100100——————
Par Value Share£1£1£1£1——————
Average Number Employees During Period——————4443
Accumulated Depreciation Impairment Property Plant Equipment———————£2732£3379£0
Advances Credits Directors£0—£6160£0——————
Advances Credits Made In Period Directors£7000—£6160£10.854——————
Advances Credits Repaid In Period Directors£7000—£0£17.014——————
Amount Specific Advance Or Credit Directors————£22.024—£0———
Amount Specific Advance Or Credit Made In Period Directors————£22.024—£0———
Called Up Share Capital£100£100£100£100——————
Cash Bank In Hand£718£718£8175£3167——————
Creditors Due Within One Year£13.912£13.912£18.683£18.221——————
Debtors Due After One Year—£-1540£-1540£-1540——————
Fixed Assets—————£0£500———
Increase From Depreciation Charge For Year Property Plant Equipment———————£1881£1703—
Other Disposals Decrease In Depreciation Impairment Property Plant Equipment————————£1056£3379
Other Disposals Property Plant Equipment————————£1790£5165
Profit Loss Account Reserve£3567£3567—£0——————
Property Plant Equipment———————£1318£3074£1786
Property Plant Equipment Gross Cost———————£5806£5165£0
Share Capital Allotted Called Up Paid£100£100£100£100——————
Shareholder Funds£3667£3667£100£100——————
Total Additions Including From Business Combinations Property Plant Equipment———————£3637£1149—

Documentos

Liquidators' statement of receipts and payments to 27 July 2025

26/9/2025

Ver

Liquidators' statement of receipts and payments to 27 July 2024

27/9/2024

Ver

Appointment of a voluntary liquidator

22/5/2024

Ver

Removal of liquidator by court order

15/4/2024

Ver

IA de documentos

Próximamente

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Change of registered office address

9/9/2023

Ver

Change of registered office address

15/8/2023

Ver

Resolutions LRESEX ‐ Extraordinary resolution to wind up on 2023-07-28

15/8/2023

Ver

Statement of affairs

15/8/2023

Ver

Appointment of a voluntary liquidator

15/8/2023

Ver

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Ratio de fondos propios (2022)Ratio de fondos propios
100 %
CAGR beneficio / (pérdida) (2013–2022)CAGR beneficio / (pérdida)
+42,1 %

Salud financiera

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

Crecimiento

Activos totales interanuales (2014 vs. 2015)
-97,3 %
Activo circulante neto interanual (2014 vs. 2015)
-97,3 %
Activos totales interanuales (2016 vs. 2017)
+9811 %
Activo circulante neto interanual (2016 vs. 2017)
+9811 %
Activos totales interanuales (2017 vs. 2018)
-100 %
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Activo circulante neto interanual (2017 vs. 2018)
-100 %
Activos totales interanuales (2019 vs. 2020)
-82,3 %
Activo circulante neto interanual (2019 vs. 2020)
-23,4 %
Beneficio / (pérdida) interanual (2020 vs. 2021)
+27,1 %
Activos totales interanuales (2020 vs. 2021)
-90,6 %
Activo circulante neto interanual (2020 vs. 2021)
+626,9 %
Beneficio / (pérdida) interanual (2021 vs. 2022)
-13,1 %
Activos totales interanuales (2021 vs. 2022)
+182,5 %
Activo circulante neto interanual (2021 vs. 2022)
-37,1 %
CAGR beneficio / (pérdida) (2013–2022)
+42,1 %
CAGR activos totales (2013–2022)
-19,9 %

Eficiencia y rentabilidad

Rentabilidad sobre activos (neta) (2013)
97,3 %
Rentabilidad sobre activos (neta) (2014)
97,3 %
Rentabilidad sobre activos (neta) (2020)
4037,3 %
Beneficio / (pérdida) por empleado (2020)
19.096 GBP
Rentabilidad sobre activos (neta) (2021)
54.843,5 %
Beneficio / (pérdida) por empleado (2021)
24.268 GBP
Rentabilidad sobre activos (neta) (2022)
16.872,8 %
Beneficio / (pérdida) por empleado (2022)
28.121 GBP

Capital circulante y liquidez

Ratio de liquidez corriente (2013)
1,26×
Activo circulante neto (2013)
3667 GBP
Ratio de liquidez corriente (2014)
1,26×
Activo circulante neto (2014)
3667 GBP
Ratio de liquidez corriente (2015)
1,01×
Activo circulante neto (2015)
100 GBP
Ratio de liquidez corriente (2016)
1,01×
Activo circulante neto (2016)
100 GBP
Activo circulante neto (2017)
9911 GBP
Activo circulante neto (2019)
10.209 GBP
Activo circulante neto (2020)
7815 GBP
Activo circulante neto (2021)
56.811 GBP
Activo circulante neto (2022)
35.741 GBP

Estructura de capital

Ratio de fondos propios (2017)
100 %
Ratio de fondos propios (2019)
100 %
Ratio de fondos propios (2020)
100 %
Ratio de fondos propios (2021)
100 %
Ratio de fondos propios (2022)
100 %
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