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TONG ENGINEERING LIMITED

🇬🇧Royaume-Uni•Private Limited Company (Ltd.)•Actif

Résumé

Pays🇬🇧Royaume-Uni
StatutActif
Numéro d'enregistrement01957036
Fondée11/11/1985
ObjectifManufacture of agricultural and forestry machinery other than tractors
AdresseTong Engineering Limited, Vale Road, Spilsby, Lincolnshire, PE23 5HE
Déclaration de confirmationProchaine échéance: —; Dernière invention: —

Juridique et statut

Forme juridiquePrivate Limited Company (Ltd.)
StatutActif
Date d'inscription11/11/1985
Autorité de registreCompanies House
Capital social—

Source : UK Companies House · Dernière mise à jour : 03/12/2025

Chronologie (7 événements)

31/01/2025

Dépôt des comptes annuels

Annual Accounts · Exercice comptable se terminant le 31/01/2025

Voir le fichier dans Documents

31/01/2024

Dépôt des comptes annuels

Annual Accounts · Exercice comptable se terminant le 31/01/2024

Voir le fichier dans Documents

11/11/1985

Société constituée

Date de constitution : 1985-11-11

Réseau

Ce diagramme comporte de nombreuses connexions. pour une meilleure expérience.
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Profondeur du réseau

Propriété et gestion

Persons with significant control

Edward Charles Tong

50–75% shares · 50–75% voting rights · 25–50% shares · 25–50% voting rights

Nommé le : 01/06/2016 · Démissionné le : 23/06/2025

37.5%

Chronologie de la propriété (changements de 3)

23/06/2025

Démission Edward Charles Tong (personne)

Personne exerçant un contrôle significatif

25/08/2021

Nomination Edward Charles Tong (personne)

Personne exerçant un contrôle significatif

01/06/2016

Nomination Edward Charles Tong (personne)

Personne exerçant un contrôle significatif

Actionnaires

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Géographie

Siège

Tong Engineering Limited

Vale Road

Spilsby

Lincolnshire

PE23 5HE

Finances

Chiffres clés tirés des comptes annuels.

Convertir en

2021

Chiffre d'affaires: £0

Chiffres clés

Chiffre d'affaires

2021£0
2022£19 000
2023£25 000
2024£75 000
2025£36 500

Bénéfice / (perte)

2021£844 872
2022£829 909
2023£355 091
2024£621 998
2025£731 927

Autres revenus

2021£3 511
2022£5 999
2023£168
2024£0
2025£12 000

Total des actifs

2021£1 656 000
2022£1 691 000
2023£1 963 000
2024£679 000
2025£672 000

Net Assets Liabilities

2021£5 630 088
2022£6 254 558
2023£7 250 943
2024£7 518 356
2025£7 954 690

Equity

2021£145 000
2022£145 000
2023£145 000
2024£145 000
2025£145 000

Current Assets

2021£7 143 542
2022£7 583 870
2023£6 980 991
2024£7 459 128
2025£8 393 182

Net Current Assets Liabilities

2021£3 310 495
2022£4 604 331
2023£2 850 915
2024£2 389 372
2025£2 516 364

Total Assets Less Current Liabilities

2021£7 709 843
2022£8 927 935
2023£9 659 142
2024£9 977 866
2025£10 327 110

Cash Bank On Hand

2021£1 824 671
2022£2 779 449
2023£659 259
2024£404 283
2025£745 844

Debtors

2021£2 022 338
2022£1 707 394
2023£2 996 018
2024£2 879 660
2025£3 857 960

Other Debtors

2021£14 220
2022£6 845
2023£2 645
2024£746
2025£288 286

Creditors

2021£1 635 338
2022£1 993 042
2023£1 790 594
2024£1 997 688
2025£1 739 316

Trade Creditors Trade Payables

2021£983 848
2022£934 422
2023£1 546 812
2024£1 902 983
2025£1 397 544

Other Creditors

2021£1 953 547
2022£804 376
2023£1 444 933
2024£1 774 922
2025£2 388 913

Amounts Owed To Group Undertakings

2021£25 000
2022£25 000
2023£25 000
2024£25 000
2025£25 000

Investments Fixed Assets

2021£24 660
2022£24 660
2023£24 660
2024£24 660
2025£24 660

Number Shares Issued Fully Paid

202150 000
202250 000
202350 000
202450 000
202550 000

Par Value Share

2021£1
2022£1
2023£1
2024£1
2025£1

Average Number Employees During Period

2021172
2022179
2023174
2024177
2025173

Frais administratifs

2021£2 801 356
2022£3 078 606
2023£3 158 823
2024£3 097 274
2025£3 792 052

Accrued Liabilities Deferred Income

2021£465 799
2022£632 107
2023£575 052
2024£835 847
2025£1 392 233

Accumulated Depreciation Impairment Property Plant Equipment

2021£2 681 409
2022£2 953 689
2023£3 054 729
2024£3 256 267
2025£3 495 274

Additional Provisions Increase From New Provisions Recognised

2021£163 018
2022£280 590
2023£-96 533
2024£171 282
2025£174 555

Amounts Owed By Group Undertakings

2021£26 755
2022£28 651
2023£30 862
2024£33 250
2025£24 277

Applicable Tax Rate

2021£19
2022£19
2023£25
2024£25
2025£25

Assumed Percentage Employees Opting For Early Retirement

20215
20225
20235
20245
20255

Assumed Rate Increase In Retirement Healthcare Costs

2021£2
2022£2
2023£3
2024£3
2025£3

Assumed Rate Increase Pensionable Salaries

2021£3
2022£3
2023£4
2024£3
2025£3

Assumed Rate Increase Pensions In Payment Deferred Pensions

2021£2
2022£3
2023£3
2024£3
2025£3

Audit Fees Expenses

2021£11 850
2022£12 450
2023£16 000
2024£20 000
2025£21 500

Bank Borrowings

2021£1 063 304
2022£1 404 097
2023£1 323 615
2024£1 782 506
2025£1 644 905

Bank Borrowings Overdrafts

2021£1 063 304
2022£1 323 505
2023£1 241 403
2024£1 700 022
2025£1 538 549

Capital Commitments

2021£637 432
2022£1 062 276
2023£101 581
2024£291 067
2025—

Cash Cash Equivalents Cash Flow Value

2021£1 824 671
2022£2 779 449
2023£659 259
2024£404 283
2025£745 844

Company Contributions To Money Purchase Plans Directors

2021£13 336
2022£14 244
2023£21 208
2024£32 596
2025£15 841

Comprehensive Income Expense

2021£677 972
2022£1 045 229
2023£280 341
2024£475 998
2025£626 927

Corporation Tax Payable

2021£101 606
2022£62 141
2023—
2024—
2025—

Corporation Tax Recoverable

2021—
2022£0
2023£67 064
2024—
2025—

Cost Sales

2021£14 297 775
2022£14 886 356
2023£16 746 297
2024£14 269 034
2025£13 797 462

Current Tax For Period

2021£101 606
2022£62 141
2023£-67 064
2024—
2025—

Debt Securities Held In Defined Benefit Plan Fair Value

2021£890 000
2022£937 000
2023£854 000
2024£895 000
2025£883 000

Decrease In Assets Defined Benefit Plan From Benefits Paid

2021£-171 000
2022£-175 000
2023£-171 000
2024—
2025—

Decrease In Assets Or Liabilities Defined Benefit Plan From Benefits Paid

2021—
2022—
2023—
2024£-177 000
2025£-177 000

Deferred Tax Liabilities

2021£132 357
2022£290 747
2023£0
2024£-199 442
2025£-126 899

Deficit Surplus In Defined Benefit Plan

2021£407 000
2022£497 000
2023£79 000
2024£0
2025£0

Defined Benefit Liabilities From Plans That Are Wholly Or Partly Funded Present Value

2021£4 289 000
2022£4 469 000
2023£4 090 000
2024£3 061 000
2025£2 925 000

Depreciation Amortisation Expense

2021£336 040
2022£368 355
2023£367 756
2024£272 863
2025£360 583

Depreciation Expense Property Plant Equipment

2021£148 109
2022£180 933
2023£67 150
2024£112 175
2025£135 994

Director Remuneration

2021£142 395
2022£142 903
2023£134 477
2024£90 879
2025£164 725

Discount Rate Used Defined Benefit Plan

2021£2
2022£1
2023£2
2024£4
2025£5

Disposals Decrease In Depreciation Impairment Property Plant Equipment

2021£1 012 084
2022£95 476
2023£171 823
2024£159 045
2025£128 262

Disposals Property Plant Equipment

2021£2 070 967
2022£95 476
2023£222 420
2024£204 945
2025£151 694

Distribution Costs

2021£261 275
2022£288 448
2023£271 439
2024£215 800
2025£151 153

Dividends Paid

2021£53 502
2022£48 844
2023£12 928
2024£39 664
2025£39 664

Dividends Paid Classified As Financing Activities

2021£-31 446
2022£-45 496
2023£-53 502
2024£-48 844
2025£-39 664

Dividends Paid On Shares Final

2021£45 496
2022£53 502
2023£48 844
2024£12 928
2025£39 664

Equity Securities Held In Defined Benefit Plan Fair Value

2021£1 656 000
2022£1 691 000
2023£1 963 000
2024£679 000
2025£672 000

Fair Value Assets Defined Benefit Plan

2021£3 882 000
2022£3 972 000
2023£4 011 000
2024£3 273 000
2025£3 052 000

Fair Value Assets In Defined Benefit Plans Less Present Value Funded Obligations

2021£3 882 000
2022£3 972 000
2023£4 011 000
2024£3 273 000
2025£3 052 000

Finance Lease Liabilities Present Value Total

2021£459 003
2022£533 007
2023£509 735
2024£472 167
2025£402 116

Finished Goods

2021£597 397
2022£578 014
2023£605 873
2024£802 845
2025£784 367

Fixed Assets

2021£4 399 348
2022£4 323 604
2023£6 808 227
2024£7 588 494
2025£7 810 746

Further Item Cash Flow From Used In Operating Activities Component Total Net Cash Flows From Used In Operating Activities

2021£-134 000
2022£0
2023£66 546
2024£67 064
2025£-134 000

Further Item Gain Loss In Other Comprehensive Income Before Tax Component Total Other Comprehensive Income Before Tax

2021£-25 000
2022£-184 000
2023£290 000
2024£-212 000
2025£85 000

Future Minimum Lease Payments Under Non-cancellable Operating Leases

2021£60 765
2022£47 204
2023£33 745
2024£116 730
2025£125 110

Gain Loss Due To Foreign Exchange Differences Recognised In Profit Or Loss

2021£140 358
2022£199 567
2023£119 230
2024£205 143
2025£159 087

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

2021£870 689
2022£-879 142
2023£1 118 642
2024£761 367
2025£729 606

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

2021£168 437
2022£314 944
2023£-1 221 560
2024£49 294
2025£-978 300

Gain Loss On Disposal Assets Income Statement Subtotal

2021£13 406
2022£-75 151
2023£55 417
2024£12 804
2025£57 626

Gain Loss On Disposals Property Plant Equipment

2021£13 406
2022£-75 151
2023£55 417
2024£12 804
2025£57 626

Government Grants Payable

2021£248 590
2022£300 000
2023£200 000
2024—
2025—

Gross Profit Loss

2021£4 031 912
2022£4 409 416
2023£4 315 433
2024£3 379 374
2025£4 856 517

Income From Related Parties

2021£35 126
2022£61 945
2023£124 343
2024£0
2025£32 211

Income Taxes Paid Refund Classified As Operating Activities

2021£-24 028
2022£-101 606
2023£-62 141
2024—
2025—

Income Tax Expense Credit On Components Other Comprehensive Income

2021£8 350
2022£-17 100
2023£74 680
2024£19 750
2025£0

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

2021£954 778
2022£-2 120 190
2023£-254 976
2024£341 561
2025£397 072

Increase Decrease In Current Tax From Adjustment For Prior Periods

2021£-10 490
2022£66 545
2023£-66 546
2024£0
2025£-2 087

Increase Decrease In Liabilities Defined Benefit Plan From Past Service Cost Gains Losses Arising From Settlements

2021£0
2022£35 000
2023—
2024—
2025—

Increase Decrease In Stocks Inventories Finished Goods Work In Progress

2021£270 210
2022£-199 506
2023£228 687
2024£849 471
2025£-385 807

Increase From Depreciation Charge For Year Property Plant Equipment

2021£368 355
2022£367 756
2023£272 863
2024£360 583
2025£367 269

Increase In Assets Defined Benefit Plan From Contributions By Employer

2021£134 000
2022£134 000
2023£134 000
2024£134 000
2025£134 000

Increase In Liabilities Defined Benefit Plan From Interest Expense

2021£100 000
2022£71 000
2023£61 000
2024£86 000
2025£131 000

Interest Expense On Bank Loans Similar Borrowings

2021£0
2022£26 433
2023£30 901
2024£43 530
2025£121 741

Interest Expense On Bank Overdrafts

2021£24 958
2022£51 488
2023£24 197
2024£48 607
2025£31 455

Interest Expense On Obligations Under Finance Leases Hire Purchase Contracts

2021£25 909
2022£23 522
2023£19 949
2024£24 707
2025£25 321

Interest Paid Classified As Operating Activities

2021£-24 958
2022£-77 921
2023£-55 098
2024£-92 137
2025£-153 196

Interest Payable Similar Charges Finance Costs

2021£50 867
2022£101 443
2023£75 047
2024£116 844
2025£178 517

Investments In Group Undertakings

2021£24 560
2022£24 560
2023£24 560
2024£24 560
2025£24 560

Investments In Joint Ventures

2021£100
2022£100
2023£100
2024£100
2025£100

Key Management Personnel Compensation Total

2021£282 751
2022£423 601
2023£483 805
2024£520 591
2025£618 917

Liabilities Defined Benefit Plan Present Value

2021£4 289 000
2022£4 469 000
2023£4 090 000
2024£3 061 000
2025£2 925 000

Loans Owed By Related Parties

2021£95 099
2022£158 940
2023£186 017
2024£0
2025£286 455

Loans Owed To Related Parties

2021£-25 000
2022£-25 000
2023£-25 000
2024£0
2025£-11 244

Net Assets Liabilities Associates

2021£-300
2022£-1 760
2023£-3 229
2024£-6 424
2025£-7 190

Net Cash Flows From Used In Financing Activities

2021£-862 884
2022£-134 016
2023£313 122
2024£-128 747
2025£342 690

Net Cash Flows From Used In Investing Activities

2021£2 308 376
2022£126 478
2023£2 640 928
2024£796 101
2025£399 204

Net Cash Flows From Used In Operating Activities

2021£-1 851 936
2022£-947 240
2023£-833 860
2024£-412 378
2025£-1 083 455

Net Cash Generated From Operations

2021£-2 060 831
2022£-1 284 289
2023£-1 038 502
2024£-596 158
2025£-1 395 972

Net Interest Received Paid Classified As Investing Activities

2021£-3 511
2022£-5 999
2023£-168
2024£-493
2025£-3 895

Number Directors Accruing Benefits Under Money Purchase Scheme

2021£3
2022£3
2023£5
2024£5
2025£5

Operating Profit Loss

2021£969 281
2022£1 205 475
2023£1 057 768
2024£374 909
2025£955 902

Other Comprehensive Income Expense Net Tax

2021£-33 350
2022£-166 900
2023£215 320
2024£-74 750
2025£-146 000

Other Deferred Tax Expense Credit

2021£-3 221
2022£163 018
2023£280 590
2024£-96 533
2025£171 282

Other Finance Costs

2021£12 000
2022£40 000
2023£6 000
2024—
2025£-0

Other Finance Income

2021—
2022—
2023—
2024£0
2025£12 000

Other Interest Receivable Similar Income Finance Income

2021£3 511
2022£5 999
2023£168
2024£493
2025£3 895

Other Operating Income Format1

2021£0
2022£163 113
2023£172 597
2024£308 609
2025£42 590

Other Taxation Social Security Payable

2021£122 192
2022£123 929
2023£125 024
2024£108 463
2025£128 189

Past Service Cost Defined Benefit Plan

2021£0
2022£35 000
2023£0
2024—
2025—

Payments Finance Lease Liabilities Classified As Financing Activities

2021£-168 974
2022£-161 281
2023£-179 138
2024£-281 300
2025£-192 161

Payments To Related Parties

2021—
2022—
2023—
2024£0
2025£148 494

Pension Other Post-employment Benefit Costs Other Pension Costs

2021£220 914
2022£215 622
2023£259 093
2024£266 082
2025£287 031

Percentage Class Share Held In Associate

2021£100
2022£100
2023£100
2024£100
2025£100

Prepayments Accrued Income

2021£170 517
2022£183 363
2023£231 867
2024£134 560
2025£606 930

Proceeds From Borrowings Classified As Financing Activities

2021£-1 063 304
2022£-1 400 000
2023£0
2024£-554 700
2025—

Proceeds From Sales Property Plant Equipment

2021£-41 446
2022£-983 732
2023£-55 417
2024£-63 401
2025£-103 526

Profit Loss From Continuing Operations Associates

2021£1 996
2022£1 460
2023£1 469
2024£3 195
2025£766

Profit Loss On Ordinary Activities Before Tax

2021£909 925
2022£1 070 031
2023£976 889
2024£258 558
2025£793 280

Property Plant Equipment

2021£4 374 688
2022£4 298 944
2023£6 783 567
2024£7 563 834
2025£7 786 086

Property Plant Equipment Gross Cost

2021£6 980 353
2022£9 737 256
2023£10 618 563
2024£11 042 353
2025£11 410 479

Provisions

2021£183 335
2022£538 605
2023£461 822
2024£633 104
2025£807 659

Provisions For Liabilities Balance Sheet Subtotal

2021£37 417
2022£183 335
2023£538 605
2024£461 822
2025£633 104

Purchase Property Plant Equipment

2021£-2 353 333
2022£-1 116 209
2023£-2 696 513
2024£-859 995
2025£-506 625

Raw Materials

2021£1 564 230
2022£1 614 799
2023£1 808 208
2024£1 863 834
2025£1 967 994

Recoverable Value-added Tax

2021£275 678
2022£75 686
2023—
2024—
2025—

Repayments Borrowings Classified As Financing Activities

2021£0
2022£-1 059 207
2023£-80 482
2024£-95 809
2025£-137 601

Retirement Benefit Obligations Surplus

2021£407 000
2022£497 000
2023£79 000
2024£0
2025£0

Return On Assets Benefit Plan

2021£504 000
2022£131 000
2023£76 000
2024£695 000
2025£178 000

Social Security Costs

2021£502 109
2022£534 825
2023£541 006
2024£573 458
2025£597 865

Staff Costs Employee Benefits Expense

2021£6 100 150
2022£6 591 850
2023£6 501 749
2024£6 688 299
2025£7 220 851

Tax Decrease Increase From Effect Revenue Exempt From Taxation

2021£0
2022£19 000
2023£25 000
2024£75 000
2025£36 500

Tax Expense Credit Applicable Tax Rate

2021£172 886
2022£203 306
2023£244 222
2024£64 640
2025£198 320

Tax Increase Decrease From Effect Expenses Not Deductible In Determining Taxable Profit Or Loss

2021£-17 105
2022£25 450
2023£-23 300
2024£-55 391
2025£11 549

Tax Tax Credit On Profit Or Loss On Ordinary Activities

2021£98 385
2022£225 159
2023£146 980
2024£-96 533
2025£171 282

Total Additions Including From Business Combinations Property Plant Equipment

2021£1 351 494
2022£2 852 379
2023£1 103 727
2024£628 735
2025£519 820

Total Borrowings

2021£1 522 307
2022£1 937 104
2023£1 833 350
2024£2 254 673
2025£2 047 021

Total Current Tax Expense Credit

2021—
2022£62 141
2023£-133 610
2024—
2025—

Total Inventories

2021£3 296 533
2022£3 097 027
2023£3 325 714
2024£4 175 185
2025£3 789 378

Total Operating Lease Payments

2021£80 514
2022£19 923
2023£15 762
2024£22 389
2025£27 958

Trade Debtors Trade Receivables

2021£1 535 168
2022£1 412 849
2023£2 663 580
2024£2 711 104
2025£2 938 467

Turnover Revenue

2021£18 329 687
2022£19 295 772
2023£21 061 730
2024£17 648 408
2025£18 653 979

Wages Salaries

2021£5 377 127
2022£5 841 403
2023£5 701 650
2024£5 848 759
2025£6 335 955

Work In Progress

2021£1 134 906
2022£904 214
2023£911 633
2024£1 508 506
2025£1 037 017
Métrique20212022202320242025
Chiffre d'affaires£0£19 000£25 000£75 000£36 500
Bénéfice / (perte)£844 872£829 909£355 091£621 998£731 927
Autres revenus£3 511£5 999£168£0£12 000
Total des actifs£1 656 000£1 691 000£1 963 000£679 000£672 000
Net Assets Liabilities£5 630 088£6 254 558£7 250 943£7 518 356£7 954 690
Equity£145 000£145 000£145 000£145 000£145 000
Current Assets£7 143 542£7 583 870£6 980 991£7 459 128£8 393 182
Net Current Assets Liabilities£3 310 495£4 604 331£2 850 915£2 389 372£2 516 364
Total Assets Less Current Liabilities£7 709 843£8 927 935£9 659 142£9 977 866£10 327 110
Cash Bank On Hand£1 824 671£2 779 449£659 259£404 283£745 844
Debtors£2 022 338£1 707 394£2 996 018£2 879 660£3 857 960
Other Debtors£14 220£6 845£2 645£746£288 286
Creditors£1 635 338£1 993 042£1 790 594£1 997 688£1 739 316
Trade Creditors Trade Payables£983 848£934 422£1 546 812£1 902 983£1 397 544
Other Creditors£1 953 547£804 376£1 444 933£1 774 922£2 388 913
Amounts Owed To Group Undertakings£25 000£25 000£25 000£25 000£25 000
Investments Fixed Assets£24 660£24 660£24 660£24 660£24 660
Number Shares Issued Fully Paid50 00050 00050 00050 00050 000
Par Value Share£1£1£1£1£1
Average Number Employees During Period172179174177173
Frais administratifs£2 801 356£3 078 606£3 158 823£3 097 274£3 792 052
Accrued Liabilities Deferred Income£465 799£632 107£575 052£835 847£1 392 233
Accumulated Depreciation Impairment Property Plant Equipment£2 681 409£2 953 689£3 054 729£3 256 267£3 495 274
Additional Provisions Increase From New Provisions Recognised£163 018£280 590£-96 533£171 282£174 555
Amounts Owed By Group Undertakings£26 755£28 651£30 862£33 250£24 277
Applicable Tax Rate£19£19£25£25£25
Assumed Percentage Employees Opting For Early Retirement55555
Assumed Rate Increase In Retirement Healthcare Costs£2£2£3£3£3
Assumed Rate Increase Pensionable Salaries£3£3£4£3£3
Assumed Rate Increase Pensions In Payment Deferred Pensions£2£3£3£3£3
Audit Fees Expenses£11 850£12 450£16 000£20 000£21 500
Bank Borrowings£1 063 304£1 404 097£1 323 615£1 782 506£1 644 905
Bank Borrowings Overdrafts£1 063 304£1 323 505£1 241 403£1 700 022£1 538 549
Capital Commitments£637 432£1 062 276£101 581£291 067—
Cash Cash Equivalents Cash Flow Value£1 824 671£2 779 449£659 259£404 283£745 844
Company Contributions To Money Purchase Plans Directors£13 336£14 244£21 208£32 596£15 841
Comprehensive Income Expense£677 972£1 045 229£280 341£475 998£626 927
Corporation Tax Payable£101 606£62 141———
Corporation Tax Recoverable—£0£67 064——
Cost Sales£14 297 775£14 886 356£16 746 297£14 269 034£13 797 462
Current Tax For Period£101 606£62 141£-67 064——
Debt Securities Held In Defined Benefit Plan Fair Value£890 000£937 000£854 000£895 000£883 000
Decrease In Assets Defined Benefit Plan From Benefits Paid£-171 000£-175 000£-171 000——
Decrease In Assets Or Liabilities Defined Benefit Plan From Benefits Paid———£-177 000£-177 000
Deferred Tax Liabilities£132 357£290 747£0£-199 442£-126 899
Deficit Surplus In Defined Benefit Plan£407 000£497 000£79 000£0£0
Defined Benefit Liabilities From Plans That Are Wholly Or Partly Funded Present Value£4 289 000£4 469 000£4 090 000£3 061 000£2 925 000
Depreciation Amortisation Expense£336 040£368 355£367 756£272 863£360 583
Depreciation Expense Property Plant Equipment£148 109£180 933£67 150£112 175£135 994
Director Remuneration£142 395£142 903£134 477£90 879£164 725
Discount Rate Used Defined Benefit Plan£2£1£2£4£5
Disposals Decrease In Depreciation Impairment Property Plant Equipment£1 012 084£95 476£171 823£159 045£128 262
Disposals Property Plant Equipment£2 070 967£95 476£222 420£204 945£151 694
Distribution Costs£261 275£288 448£271 439£215 800£151 153
Dividends Paid£53 502£48 844£12 928£39 664£39 664
Dividends Paid Classified As Financing Activities£-31 446£-45 496£-53 502£-48 844£-39 664
Dividends Paid On Shares Final£45 496£53 502£48 844£12 928£39 664
Equity Securities Held In Defined Benefit Plan Fair Value£1 656 000£1 691 000£1 963 000£679 000£672 000
Fair Value Assets Defined Benefit Plan£3 882 000£3 972 000£4 011 000£3 273 000£3 052 000
Fair Value Assets In Defined Benefit Plans Less Present Value Funded Obligations£3 882 000£3 972 000£4 011 000£3 273 000£3 052 000
Finance Lease Liabilities Present Value Total£459 003£533 007£509 735£472 167£402 116
Finished Goods£597 397£578 014£605 873£802 845£784 367
Fixed Assets£4 399 348£4 323 604£6 808 227£7 588 494£7 810 746
Further Item Cash Flow From Used In Operating Activities Component Total Net Cash Flows From Used In Operating Activities£-134 000£0£66 546£67 064£-134 000
Further Item Gain Loss In Other Comprehensive Income Before Tax Component Total Other Comprehensive Income Before Tax£-25 000£-184 000£290 000£-212 000£85 000
Future Minimum Lease Payments Under Non-cancellable Operating Leases£60 765£47 204£33 745£116 730£125 110
Gain Loss Due To Foreign Exchange Differences Recognised In Profit Or Loss£140 358£199 567£119 230£205 143£159 087
Gain Loss In Cash Flows From Change In Creditors Trade Other Payables£870 689£-879 142£1 118 642£761 367£729 606
Gain Loss In Cash Flows From Change In Debtors Trade Other Receivables£168 437£314 944£-1 221 560£49 294£-978 300
Gain Loss On Disposal Assets Income Statement Subtotal£13 406£-75 151£55 417£12 804£57 626
Gain Loss On Disposals Property Plant Equipment£13 406£-75 151£55 417£12 804£57 626
Government Grants Payable£248 590£300 000£200 000——
Gross Profit Loss£4 031 912£4 409 416£4 315 433£3 379 374£4 856 517
Income From Related Parties£35 126£61 945£124 343£0£32 211
Income Taxes Paid Refund Classified As Operating Activities£-24 028£-101 606£-62 141——
Income Tax Expense Credit On Components Other Comprehensive Income£8 350£-17 100£74 680£19 750£0
Increase Decrease In Cash Cash Equivalents Before Foreign Exchange Differences Changes In Consolidation£954 778£-2 120 190£-254 976£341 561£397 072
Increase Decrease In Current Tax From Adjustment For Prior Periods£-10 490£66 545£-66 546£0£-2 087
Increase Decrease In Liabilities Defined Benefit Plan From Past Service Cost Gains Losses Arising From Settlements£0£35 000———
Increase Decrease In Stocks Inventories Finished Goods Work In Progress£270 210£-199 506£228 687£849 471£-385 807
Increase From Depreciation Charge For Year Property Plant Equipment£368 355£367 756£272 863£360 583£367 269
Increase In Assets Defined Benefit Plan From Contributions By Employer£134 000£134 000£134 000£134 000£134 000
Increase In Liabilities Defined Benefit Plan From Interest Expense£100 000£71 000£61 000£86 000£131 000
Interest Expense On Bank Loans Similar Borrowings£0£26 433£30 901£43 530£121 741
Interest Expense On Bank Overdrafts£24 958£51 488£24 197£48 607£31 455
Interest Expense On Obligations Under Finance Leases Hire Purchase Contracts£25 909£23 522£19 949£24 707£25 321
Interest Paid Classified As Operating Activities£-24 958£-77 921£-55 098£-92 137£-153 196
Interest Payable Similar Charges Finance Costs£50 867£101 443£75 047£116 844£178 517
Investments In Group Undertakings£24 560£24 560£24 560£24 560£24 560
Investments In Joint Ventures£100£100£100£100£100
Key Management Personnel Compensation Total£282 751£423 601£483 805£520 591£618 917
Liabilities Defined Benefit Plan Present Value£4 289 000£4 469 000£4 090 000£3 061 000£2 925 000
Loans Owed By Related Parties£95 099£158 940£186 017£0£286 455
Loans Owed To Related Parties£-25 000£-25 000£-25 000£0£-11 244
Net Assets Liabilities Associates£-300£-1 760£-3 229£-6 424£-7 190
Net Cash Flows From Used In Financing Activities£-862 884£-134 016£313 122£-128 747£342 690
Net Cash Flows From Used In Investing Activities£2 308 376£126 478£2 640 928£796 101£399 204
Net Cash Flows From Used In Operating Activities£-1 851 936£-947 240£-833 860£-412 378£-1 083 455
Net Cash Generated From Operations£-2 060 831£-1 284 289£-1 038 502£-596 158£-1 395 972
Net Interest Received Paid Classified As Investing Activities£-3 511£-5 999£-168£-493£-3 895
Number Directors Accruing Benefits Under Money Purchase Scheme£3£3£5£5£5
Operating Profit Loss£969 281£1 205 475£1 057 768£374 909£955 902
Other Comprehensive Income Expense Net Tax£-33 350£-166 900£215 320£-74 750£-146 000
Other Deferred Tax Expense Credit£-3 221£163 018£280 590£-96 533£171 282
Other Finance Costs£12 000£40 000£6 000—£-0
Other Finance Income———£0£12 000
Other Interest Receivable Similar Income Finance Income£3 511£5 999£168£493£3 895
Other Operating Income Format1£0£163 113£172 597£308 609£42 590
Other Taxation Social Security Payable£122 192£123 929£125 024£108 463£128 189
Past Service Cost Defined Benefit Plan£0£35 000£0——
Payments Finance Lease Liabilities Classified As Financing Activities£-168 974£-161 281£-179 138£-281 300£-192 161
Payments To Related Parties———£0£148 494
Pension Other Post-employment Benefit Costs Other Pension Costs£220 914£215 622£259 093£266 082£287 031
Percentage Class Share Held In Associate£100£100£100£100£100
Prepayments Accrued Income£170 517£183 363£231 867£134 560£606 930
Proceeds From Borrowings Classified As Financing Activities£-1 063 304£-1 400 000£0£-554 700—
Proceeds From Sales Property Plant Equipment£-41 446£-983 732£-55 417£-63 401£-103 526
Profit Loss From Continuing Operations Associates£1 996£1 460£1 469£3 195£766
Profit Loss On Ordinary Activities Before Tax£909 925£1 070 031£976 889£258 558£793 280
Property Plant Equipment£4 374 688£4 298 944£6 783 567£7 563 834£7 786 086
Property Plant Equipment Gross Cost£6 980 353£9 737 256£10 618 563£11 042 353£11 410 479
Provisions£183 335£538 605£461 822£633 104£807 659
Provisions For Liabilities Balance Sheet Subtotal£37 417£183 335£538 605£461 822£633 104
Purchase Property Plant Equipment£-2 353 333£-1 116 209£-2 696 513£-859 995£-506 625
Raw Materials£1 564 230£1 614 799£1 808 208£1 863 834£1 967 994
Recoverable Value-added Tax£275 678£75 686———
Repayments Borrowings Classified As Financing Activities£0£-1 059 207£-80 482£-95 809£-137 601
Retirement Benefit Obligations Surplus£407 000£497 000£79 000£0£0
Return On Assets Benefit Plan£504 000£131 000£76 000£695 000£178 000
Social Security Costs£502 109£534 825£541 006£573 458£597 865
Staff Costs Employee Benefits Expense£6 100 150£6 591 850£6 501 749£6 688 299£7 220 851
Tax Decrease Increase From Effect Revenue Exempt From Taxation£0£19 000£25 000£75 000£36 500
Tax Expense Credit Applicable Tax Rate£172 886£203 306£244 222£64 640£198 320
Tax Increase Decrease From Effect Expenses Not Deductible In Determining Taxable Profit Or Loss£-17 105£25 450£-23 300£-55 391£11 549
Tax Tax Credit On Profit Or Loss On Ordinary Activities£98 385£225 159£146 980£-96 533£171 282
Total Additions Including From Business Combinations Property Plant Equipment£1 351 494£2 852 379£1 103 727£628 735£519 820
Total Borrowings£1 522 307£1 937 104£1 833 350£2 254 673£2 047 021
Total Current Tax Expense Credit—£62 141£-133 610——
Total Inventories£3 296 533£3 097 027£3 325 714£4 175 185£3 789 378
Total Operating Lease Payments£80 514£19 923£15 762£22 389£27 958
Trade Debtors Trade Receivables£1 535 168£1 412 849£2 663 580£2 711 104£2 938 467
Turnover Revenue£18 329 687£19 295 772£21 061 730£17 648 408£18 653 979
Wages Salaries£5 377 127£5 841 403£5 701 650£5 848 759£6 335 955
Work In Progress£1 134 906£904 214£911 633£1 508 506£1 037 017

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🇮🇪KILDALE LIMITED🇮🇪BRAMBURY LIMITED🇮🇪CLOVERWOOD LIMITEDMICHEL REUSJNIDAL BOUGHANNANJAIME PLACIDO
Marge nette (2025)Marge nette
2 005,3 %
CA année sur année (2024 vs 2025)CA année sur année
-51,3 %
Dettes / capitaux propres (2025)Dettes / capitaux propres
3,63×
Résultat net année sur année (2024 vs 2025)Résultat net année sur année
+17,7 %
Rentabilité économique (nette) (2025)Rentabilité économique (nette)
108,9 %

Santé financière

Ratios dérivés des comptes annuels. Les valeurs sont omises lorsque les données manquent ou ne sont pas pertinentes.

Marges

Marge nette (2022)
4 367,9 %
Frais administratifs % du chiffre d'affaires (2022)
16 203,2 %
Marge nette (2023)
1 420,4 %
Frais administratifs % du chiffre d'affaires (2023)
12 635,3 %
Marge nette (2024)
829,3 %
  1. –
  2. –
  3. –TONG ENGINEERING LIMITED
Frais administratifs % du chiffre d'affaires (2024)
4 129,7 %
Marge nette (2025)
2 005,3 %
Frais administratifs % du chiffre d'affaires (2025)
10 389,2 %

Croissance

Résultat net année sur année (2021 vs 2022)
-1,8 %
Total actifs année sur année (2021 vs 2022)
+2,1 %
Actif circulant net année sur année (2021 vs 2022)
+39,1 %
CA année sur année (2022 vs 2023)
+31,6 %
Résultat net année sur année (2022 vs 2023)
-57,2 %
Total actifs année sur année (2022 vs 2023)
+16,1 %
Actif circulant net année sur année (2022 vs 2023)
-38,1 %
CA année sur année (2023 vs 2024)
+200 %
Résultat net année sur année (2023 vs 2024)
+75,2 %
Total actifs année sur année (2023 vs 2024)
-65,4 %
Actif circulant net année sur année (2023 vs 2024)
-16,2 %
CA année sur année (2024 vs 2025)
-51,3 %
Résultat net année sur année (2024 vs 2025)
+17,7 %
Total actifs année sur année (2024 vs 2025)
-1 %
Actif circulant net année sur année (2024 vs 2025)
+5,3 %
TCAC résultat net (2021–2025)
-3,5 %
TCAC total actifs (2021–2025)
-20,2 %

Efficacité et rentabilité

Rentabilité économique (nette) (2021)
51 %
Résultat par salarié (2021)
4 912 £GB
Rotation de l'actif (2022)
0,01×
Rentabilité économique (nette) (2022)
49,1 %
Chiffre d'affaires par salarié (2022)
106 £GB
Résultat par salarié (2022)
4 636 £GB
Rotation de l'actif (2023)
0,01×
Rentabilité économique (nette) (2023)
18,1 %
Chiffre d'affaires par salarié (2023)
144 £GB
Résultat par salarié (2023)
2 041 £GB
Rotation de l'actif (2024)
0,11×
Rentabilité économique (nette) (2024)
91,6 %
Chiffre d'affaires par salarié (2024)
424 £GB
Résultat par salarié (2024)
3 514 £GB
Rotation de l'actif (2025)
0,05×
Rentabilité économique (nette) (2025)
108,9 %
Chiffre d'affaires par salarié (2025)
211 £GB
Résultat par salarié (2025)
4 231 £GB

Fonds de roulement et liquidité

Actif circulant net (2021)
3 310 495 £GB
Actif circulant net (2022)
4 604 331 £GB
Actif circulant net (2023)
2 850 915 £GB
Actif circulant net (2024)
2 389 372 £GB
Actif circulant net (2025)
2 516 364 £GB

Créances et dettes fournisseurs

Délai clients (jours) (2022)
32 800jours
Délai fournisseurs (vs chiffre d'affaires) (2022)
17 951jours
Délai clients (jours) (2023)
43 742jours
Délai fournisseurs (vs chiffre d'affaires) (2023)
22 583jours
Délai clients (jours) (2024)
14 014jours
Délai fournisseurs (vs chiffre d'affaires) (2024)
9 261jours
Délai clients (jours) (2025)
38 580jours
Délai fournisseurs (vs chiffre d'affaires) (2025)
13 975jours

Structure du capital

Ratio d'équité (2021)
8,8 %
Dettes / total actifs (2021)
91,2 %
Dettes / capitaux propres (2021)
10,42×
Ratio d'équité (2022)
8,6 %
Dettes / total actifs (2022)
91,4 %
Dettes / capitaux propres (2022)
10,66×
Ratio d'équité (2023)
7,4 %
Dettes / total actifs (2023)
92,6 %
Dettes / capitaux propres (2023)
12,54×
Ratio d'équité (2024)
21,4 %
Dettes / total actifs (2024)
78,6 %
Dettes / capitaux propres (2024)
3,68×
Ratio d'équité (2025)
21,6 %
Dettes / total actifs (2025)
78,4 %
Dettes / capitaux propres (2025)
3,63×

Qualité et mix

Autres produits % du CA (2022)
31,6 %
Autres produits % du CA (2023)
0,7 %
Autres produits % du CA (2025)
32,9 %
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