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ResumoLegal e statusLinha do tempoRedePropriedade e gestãoAcionistasBeneficiário efetivoGeografiaFinançasSaúde financeiraDocumentos
ResumoLegal e statusLinha do tempoRedePropriedade e gestãoAcionistasBeneficiário efetivoGeografiaFinançasSaúde financeiraDocumentos

KENDOR PROJECT CONSULTANCY LTD

Private Limited Company (Ltd.)•Dissolvida
Rentabilidade dos ativos (líquida) (2017)Rentabilidade dos ativos (líquida)
111,2%
Rácio de capital próprio (2022)Rácio de capital próprio
100%
Ativos totais ano contra ano (2021 vs. 2022)Ativos totais ano contra ano

Resumo

País🇬🇧Reino Unido
EstadoDissolvida
Número de registro10287628
Fundada20/07/2016
Objeto socialPublic relations and communications activities; Management consultancy activities other than financial management
Endereço6 Festival Building, Ashley Lane, Saltaire, BD17 7DQ
Declaração de confirmaçãoPróximo vencimento: 04/04/2023; Última elaboração: 21/03/2022

Legal e status

Forma legalPrivate Limited Company (Ltd.)
EstadoDissolvida
Data de registro20/07/2016
Autoridade registral—

Fonte: — · Última atualização: 03/12/2025

Linha do tempo (19 eventos)

25/04/2026

Endereço atualizado

6 Festival Building

01/09/2022

Endereço atualizado

7 Festival Building, Ashley Lane, Saltaire, Bd17 7DQ

20/07/2016

Nomeação Jayne Jordan (pessoa)

Nomeado como Director

Rede

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Profundidade da rede

Propriedade e gestão

Persons with significant control

Jayne Jordan

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

Nomeado em: 20/07/2016

87.5%

Officers & directors

Jayne Jordan

Secretary

Nomeado em: 20/07/2016

—
Jayne Jordan

Director

Nomeado em: 20/07/2016

—

Linha do tempo de propriedade (1 alterações)

20/07/2016

Nomeação Jayne Jordan (pessoa)

Pessoa com controle significativo

Acionistas

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Beneficiário efetivo

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Geografia

Sede

6 Festival Building

Ashley Lane

Saltaire

BD17 7DQ

Finanças

Indicadores das demonstrações anuais.

Converter para

2017

Lucro / (prejuízo): £49.6K

Indicadores

Lucro / (prejuízo)

2017£49.636
2018—
2019—
2020—
2021—
2022—

Ativo total

2017£44.646
2018£44.646
2019£72.548
2020£89.697
2021£185.457
2022£278.838

Net Assets Liabilities

2017—
2018£44.646
2019£72.548
2020£89.697
2021£185.457
2022£278.838

Equity

2017£44.646
2018£44.646
2019£72.548
2020£89.697
2021£185.457
2022£278.838

Current Assets

2017£69.946
2018£69.946
2019£95.698
2020£119.244
2021£225.152
2022£315.224

Net Current Assets Liabilities

2017£43.915
2018£43.915
2019£72.177
2020£89.686
2021£185.457
2022£277.942

Total Assets Less Current Liabilities

2017£44.646
2018—
2019—
2020—
2021—
2022—

Cash Bank On Hand

2017£46.696
2018£46.696
2019£77.218
2020£99.234
2021£205.088
2022£297.668

Debtors

2017£23.250
2018£23.250
2019£18.480
2020£20.010
2021£20.064
2022£17.556

Other Debtors

2017—
2018—
2019—
2020—
2021—
2022£44

Creditors

2017£26.031
2018£26.031
2019£23.521
2020£29.558
2021£39.695
2022£37.282

Other Creditors

2017£5.332
2018£17.312
2019£64
2020£18.644
2021£685
2022£55

Issue Equity Instruments

2017£10
2018—
2019—
2020—
2021—
2022—

Number Shares Issued Fully Paid

2017—
201810
201910
202010
202110
202210

Par Value Share

2017—
2018£1
2019£1
2020£1
2021£1
2022£1

Average Number Employees During Period

2017—
20181
20191
20201
20211
20221

Accumulated Depreciation Impairment Property Plant Equipment

2017£360
2018£720
2019£1.080
2020£1.091
2021£1.533
2022£1.974

Additions Other Than Through Business Combinations Property Plant Equipment

2017£1.091
2018—
2019—
2020—
2021£1.338
2022—

Advances Credits Directors

2017£5.332
2018—
2019—
2020—
2021—
2022—

Advances Credits Made In Period Directors

2017£5.332
2018—
2019—
2020—
2021—
2022—

Comprehensive Income Expense

2017£49.636
2018—
2019—
2020—
2021—
2022—

Corporation Tax Payable

2017£11.980
2018—
2019—
2020—
2021—
2022—

Depreciation Expense Property Plant Equipment

2017—
2018—
2019—
2020£360
2021—
2022—

Depreciation Rate Used For Property Plant Equipment

2017£0
2018—
2019—
2020—
2021—
2022—

Director Remuneration

2017—
2018£6.708
2019£6.708
2020—
2021—
2022—

Dividend Per Share Interim

2017—
2018£500
2019£4.650
2020—
2021—
2022—

Dividends Paid

2017£5.000
2018—
2019—
2020—
2021—
2022—

Income Expense Recognised Directly In Equity

2017£-4.990
2018—
2019—
2020—
2021—
2022—

Increase From Depreciation Charge For Year Property Plant Equipment

2017£360
2018£360
2019£360
2020£11
2021£442
2022£441

Other Taxation Social Security Payable

2017£8.719
2018—
2019—
2020—
2021—
2022—

Property Plant Equipment

2017£731
2018£731
2019£371
2020£11
2021£896
2022£896

Property Plant Equipment Gross Cost

2017£1.091
2018£1.091
2019£1.091
2020£1.091
2021£2.429
2022£2.429

Taxation Social Security Payable

2017—
2018£8.719
2019£23.457
2020£10.914
2021£39.010
2022£37.227

Trade Debtors Trade Receivables

2017£23.250
2018£23.250
2019£18.480
2020£20.010
2021£20.064
2022£17.556
Métrica201720182019202020212022
Lucro / (prejuízo)£49.636—————
Ativo total£44.646£44.646£72.548£89.697£185.457£278.838
Net Assets Liabilities—£44.646£72.548£89.697£185.457£278.838
Equity£44.646£44.646£72.548£89.697£185.457£278.838
Current Assets£69.946£69.946£95.698£119.244£225.152£315.224
Net Current Assets Liabilities£43.915£43.915£72.177£89.686£185.457£277.942
Total Assets Less Current Liabilities£44.646—————
Cash Bank On Hand£46.696£46.696£77.218£99.234£205.088£297.668
Debtors£23.250£23.250£18.480£20.010£20.064£17.556
Other Debtors—————£44
Creditors£26.031£26.031£23.521£29.558£39.695£37.282
Other Creditors£5.332£17.312£64£18.644£685£55
Issue Equity Instruments£10—————
Number Shares Issued Fully Paid—1010101010
Par Value Share—£1£1£1£1£1
Average Number Employees During Period—11111
Accumulated Depreciation Impairment Property Plant Equipment£360£720£1.080£1.091£1.533£1.974
Additions Other Than Through Business Combinations Property Plant Equipment£1.091———£1.338—
Advances Credits Directors£5.332—————
Advances Credits Made In Period Directors£5.332—————
Comprehensive Income Expense£49.636—————
Corporation Tax Payable£11.980—————
Depreciation Expense Property Plant Equipment———£360——
Depreciation Rate Used For Property Plant Equipment£0—————
Director Remuneration—£6.708£6.708———
Dividend Per Share Interim—£500£4.650———
Dividends Paid£5.000—————
Income Expense Recognised Directly In Equity£-4.990—————
Increase From Depreciation Charge For Year Property Plant Equipment£360£360£360£11£442£441
Other Taxation Social Security Payable£8.719—————
Property Plant Equipment£731£731£371£11£896£896
Property Plant Equipment Gross Cost£1.091£1.091£1.091£1.091£2.429£2.429
Taxation Social Security Payable—£8.719£23.457£10.914£39.010£37.227
Trade Debtors Trade Receivables£23.250£23.250£18.480£20.010£20.064£17.556

Documentos

Final Gazette dissolved following liquidation

09/06/2023

Ver

Return of final meeting in a members' voluntary winding up

09/03/2023

Ver

Change of registered office address

10/02/2023

Ver

Appointment of a voluntary liquidator

24/08/2022

Ver

Resolutions LRESSP ‐ Special resolution to wind up on 2022-08-16

24/08/2022

Ver

Declaration of solvency

24/08/2022

Ver

Change of registered office address

24/08/2022

Ver

Total exemption full accounts made up to 31 May 2022

04/07/2022

Ver

Annual Accounts

Contas do exercício que termina em: 31/05/2022

Arquivado: 31/05/2022

Ver

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+50,4%
CAGR ativos totais (2017–2022)CAGR ativos totais
+44,2%
Ativo circulante líquido ano contra ano (2021 vs. 2022)Ativo circulante líquido ano contra ano
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Saúde financeira

Rácios derivados das contas anuais. Os valores são omitidos quando faltam dados ou não são significativos.

Crescimento

Ativos totais ano contra ano (2018 vs. 2019)
+62,5%
Ativo circulante líquido ano contra ano (2018 vs. 2019)
+64,4%
Ativos totais ano contra ano (2019 vs. 2020)
+23,6%
Ativo circulante líquido ano contra ano (2019 vs. 2020)
+24,3%
Ativos totais ano contra ano (2020 vs. 2021)
+106,8%
  1. –Saltaire
  2. –KENDOR PROJECT CONSULTANCY LTD
Ativo circulante líquido ano contra ano (2020 vs. 2021)
+106,8%
Ativos totais ano contra ano (2021 vs. 2022)
+50,4%
Ativo circulante líquido ano contra ano (2021 vs. 2022)
+49,9%
CAGR ativos totais (2017–2022)
+44,2%

Eficiência e rentabilidade

Rentabilidade dos ativos (líquida) (2017)
111,2%

Capital circulante e liquidez

Ativo circulante líquido (2017)
£ 43.915
Ativo circulante líquido (2018)
£ 43.915
Ativo circulante líquido (2019)
£ 72.177
Ativo circulante líquido (2020)
£ 89.686
Ativo circulante líquido (2021)
£ 185.457
Ativo circulante líquido (2022)
£ 277.942

Estrutura de capital

Rácio de capital próprio (2017)
100%
Rácio de capital próprio (2018)
100%
Rácio de capital próprio (2019)
100%
Rácio de capital próprio (2020)
100%
Rácio de capital próprio (2021)
100%
Rácio de capital próprio (2022)
100%
Início