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ResumenLegal y estadoLínea temporalRedPropiedad y gestiónAccionistasBeneficiario finalGeografíaFinanzasSalud financieraDocumentos

TALENTBOX LTD

Private Limited Company (Ltd.)•Disuelta

Resumen

País🇬🇧Reino Unido
EstadoDisuelta
Número de registro11293264
Fundada5/4/2018
Objeto socialOther activities of employment placement agencies; Temporary employment agency activities
Dirección7 St. Petersgate, Stockport, SK1 1EB
Declaración de confirmaciónPróximo vencimiento: —; Última elaboración: —

Legal y estado

Forma legalPrivate Limited Company (Ltd.)
EstadoDisuelta
Fecha de registro5/4/2018
Autoridad registral—

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

Línea temporal (18 eventos)

1/3/2024

Dirección actualizada

7 St. Petersgate, Stockport, Sk1 1EB

1/3/2024

Estado cambiado

active → liquidation

5/4/2018

Nombramiento Cooperfaure Limited (persona)

Nombrado como Secretary

Red

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Profundidad de la red

Propiedad y gestión

Persons with significant control

Benjamin Robert Darke

25–50% shares · 25–50% voting rights

Nombrado el: 5/4/2018

37.5%
Edward Moore

25–50% shares · 25–50% voting rights

Nombrado el: 5/4/2018

37.5%

Officers & directors

Edward Moore

Director

Nombrado el: 3/9/2019

—
Benjamin Robert Darke

Director

Nombrado el: 5/4/2018

—
Cooperfaure Limited

Secretary

Nombrado el: 5/4/2018 · Dimitió el: 19/4/2021

—

Línea temporal de propiedad (2 cambios)

5/4/2018

Nombramiento Benjamin Robert Darke (persona)

Persona con control significativo

5/4/2018

Nombramiento Edward Moore (persona)

Persona con control significativo

Accionistas

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Beneficiario final

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Geografía

Sede

7 St. Petersgate

Stockport

SK1 1EB

Finanzas

Cifras clave de cuentas anuales.

Convertir a

2019

Activo total: £78.0K

Cifras clave

Activo total

2019£77.956
2020£77.956
2021£110.718
2022—
2023£232.758

Net Assets Liabilities

2019£77.956
2020—
2021£110.718
2022—
2023£232.758

Equity

2019£77.956
2020£77.956
2021£110.718
2022—
2023£232.758

Current Assets

2019£121.091
2020£121.091
2021£143.361
2022—
2023£510.148

Net Current Assets Liabilities

2019£74.200
2020—
2021£104.577
2022—
2023£248.851

Total Assets Less Current Liabilities

2019£77.956
2020—
2021£110.718
2022—
2023£274.425

Cash Bank On Hand

2019£22.645
2020—
2021—
2022—
2023£175.873

Debtors

2019£98.446
2020—
2021—
2022—
2023£334.275

Other Debtors

2019£2464
2020—
2021—
2022—
2023£33.437

Creditors

2019£46.891
2020£13.204
2021£0
2022—
2023£261.297

Trade Creditors Trade Payables

2019£8472
2020—
2021—
2022—
2023—

Other Creditors

2019£1268
2020—
2021—
2022—
2023£98.007

Average Number Employees During Period

2019—
20203
202110
202237
202337

Accumulated Depreciation Impairment Property Plant Equipment

2019£1252
2020—
2021—
2022—
2023£19.415

Additions Other Than Through Business Combinations Property Plant Equipment

2019—
2020—
2021—
2022—
2023£10.872

Bank Borrowings Overdrafts

2019—
2020—
2021—
2022—
2023£41.667

Corporation Tax Payable

2019—
2020—
2021—
2022—
2023£70.226

Fixed Assets

2019£3756
2020£3756
2021£6141
2022—
2023—

Increase From Depreciation Charge For Year Property Plant Equipment

2019£1252
2020—
2021—
2022—
2023£8511

Other Taxation Social Security Payable

2019—
2020—
2021—
2022—
2023£87.508

Property Plant Equipment

2019£3756
2020—
2021—
2022—
2023£25.574

Property Plant Equipment Gross Cost

2019£5008
2020—
2021—
2022—
2023£47.350

Provisions For Liabilities Balance Sheet Subtotal

2019—
2020£33.687
2021—
2022—
2023—

Taxation Social Security Payable

2019£37.151
2020—
2021—
2022—
2023—

Total Additions Including From Business Combinations Property Plant Equipment

2019£5008
2020—
2021—
2022—
2023—

Total Liabilities

2019—
2020£124.847
2021—
2022—
2023—

Trade Debtors Trade Receivables

2019£95.982
2020—
2021—
2022—
2023£300.838
Métrica20192020202120222023
Activo total£77.956£77.956£110.718—£232.758
Net Assets Liabilities£77.956—£110.718—£232.758
Equity£77.956£77.956£110.718—£232.758
Current Assets£121.091£121.091£143.361—£510.148
Net Current Assets Liabilities£74.200—£104.577—£248.851
Total Assets Less Current Liabilities£77.956—£110.718—£274.425
Cash Bank On Hand£22.645———£175.873
Debtors£98.446———£334.275
Other Debtors£2464———£33.437
Creditors£46.891£13.204£0—£261.297
Trade Creditors Trade Payables£8472————
Other Creditors£1268———£98.007
Average Number Employees During Period—3103737
Accumulated Depreciation Impairment Property Plant Equipment£1252———£19.415
Additions Other Than Through Business Combinations Property Plant Equipment————£10.872
Bank Borrowings Overdrafts————£41.667
Corporation Tax Payable————£70.226
Fixed Assets£3756£3756£6141——
Increase From Depreciation Charge For Year Property Plant Equipment£1252———£8511
Other Taxation Social Security Payable————£87.508
Property Plant Equipment£3756———£25.574
Property Plant Equipment Gross Cost£5008———£47.350
Provisions For Liabilities Balance Sheet Subtotal—£33.687———
Taxation Social Security Payable£37.151————
Total Additions Including From Business Combinations Property Plant Equipment£5008————
Total Liabilities—£124.847———
Trade Debtors Trade Receivables£95.982———£300.838

Documentos

Final Gazette dissolved following liquidation

29/1/2026

Ver

Return of final meeting in a members' voluntary winding up

29/10/2025

Ver

Liquidators' statement of receipts and payments to 11 January 2025

4/2/2025

Ver

Change of registered office address

17/1/2024

Ver

Resolutions LRESSP ‐ Special resolution to wind up on 2024-01-12

16/1/2024

Ver

IA de documentos

Próximamente

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Declaration of solvency

16/1/2024

Ver

Appointment of a voluntary liquidator

16/1/2024

Ver

Total exemption full accounts made up to 31 March 2023

9/8/2023

Ver

Confirmation statement

3/4/2023

Ver

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Pasivos / fondos propios (2020)Pasivos / fondos propios
1,6×
Pasivos / activos totales (2020)Pasivos / activos totales
160,2 %
Ratio de fondos propios (2023)Ratio de fondos propios
100 %
Activos totales interanuales (2020 vs. 2021)Activos totales interanuales
+42 %
CAGR activos totales (2019–2023)CAGR activos totales
+31,5 %

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)
+42 %
CAGR activos totales (2019–2023)
+31,5 %

Capital circulante y liquidez

Activo circulante neto (2019)
74.200 GBP
Activo circulante neto (2021)
104.577 GBP
Activo circulante neto (2023)
248.851 GBP
  1. –Stockport
  2. –TALENTBOX LTD

Estructura de capital

Ratio de fondos propios (2019)
100 %
Ratio de fondos propios (2020)
100 %
Pasivos / activos totales (2020)
160,2 %
Pasivos / fondos propios (2020)
1,6×
Ratio de fondos propios (2021)
100 %
Ratio de fondos propios (2023)
100 %
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