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

MOCAP LIMITED

🇬🇧Reino Unido•Private Limited Company (Ltd.)•Ativa
Margem líquida (2023)Margem líquida
-0,5%
Receitas ano contra ano (2023 vs. 2024)Receitas ano contra ano
+4,8%
Lucro / (prejuízo) ano contra ano (2023 vs. 2024)Lucro / (prejuízo) ano contra ano

Resumo

País🇬🇧Reino Unido
EstadoAtiva
Número de registro03088682
Fundada08/08/1995
Objeto socialManufacture of other plastic products
EndereçoHortonwood 35, Telford, Shropshire, TF1 7YW
Declaração de confirmaçãoPróximo vencimento: —; Última elaboração: —

Legal e status

Forma legalPrivate Limited Company (Ltd.)
EstadoAtiva
Data de registro08/08/1995
Autoridade registralCompanies House
Capital registrado—

Fonte: UK Companies House · Última atualização: 02/12/2025

Linha do tempo (3 eventos)

31/12/2024

Contas anuais apresentadas

Annual Accounts · Exercício contabilístico que termina em 31/12/2024

Ver ficheiro em Documentos

31/12/2023

Contas anuais apresentadas

Annual Accounts · Exercício contabilístico que termina em 31/12/2023

Ver ficheiro em Documentos

08/08/1995

Empresa constituída

Data de constituição: 1995-08-08

Rede

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Profundidade da rede

Propriedade e gestão

Persons with significant control

Gregory Joseph Miller

25–50% shares

Nomeado em: 06/04/2016

37.5%
Joseph Thomas Miller

25–50% shares · Ownership Of Shares 25 To 50 Percent As Firm

Nomeado em: 06/04/2016

37.5%
Paul Thomas Miller

25–50% shares

Nomeado em: 06/04/2016

37.5%
Paul Thomas Miller

25–50% shares

Nomeado em: 06/04/2016

37.5%
Gregory Joseph Miller

25–50% shares

Nomeado em: 06/04/2016

37.5%

Mostrando 1–5 de 6

1 / 2

Linha do tempo de propriedade (3 alterações)

06/04/2016

Nomeação Gregory Joseph Miller (pessoa)

Pessoa com controle significativo

06/04/2016

Nomeação Joseph Thomas Miller (pessoa)

Pessoa com controle significativo

06/04/2016

Nomeação Paul Thomas Miller (pessoa)

Pessoa com controle significativo

Acionistas

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Beneficiário efetivo

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Geografia

Sede

Hortonwood 35

Telford

Shropshire

TF1 7YW

Finanças

Indicadores das demonstrações anuais.

Converter para

2023

Faturamento: £7.8M

Indicadores

Faturamento

2023£7.797.535
2024£8.173.454

Lucro / (prejuízo)

2023£-41.798
2024£-1.337

Lucro bruto

2023£2.079.311
2024£2.416.032

Outras receitas

2023£1.821
2024£57.750

Ativo total

2023£3.216.320
2024£3.216.320

Net Assets Liabilities

2023£3.216.320
2024£3.587.609

Equity

2023£3.216.320
2024£3.216.320

Current Assets

2023£3.898.872
2024£3.625.253

Net Current Assets Liabilities

2023£199.262
2024£294.013

Total Assets Less Current Liabilities

2023£4.672.543
2024£4.708.853

Cash Bank On Hand

2023£560.155
2024£328.219

Debtors

2023£753.554
2024£883.647

Other Debtors

2023£2.689
2024£46.781

Creditors

2023£3.699.610
2024£1.028.304

Trade Creditors Trade Payables

2023£154.630
2024£264.599

Other Creditors

2023£13.009
2024£28.082

Investments Fixed Assets

2023£469.956
2024£469.956

Number Shares Issued Fully Paid

2023111.002
2024111.002

Par Value Share

2023£1
2024£1

Average Number Employees During Period

202371
202465

Despesas administrativas

2023£1.992.694
2024£2.049.707

Accumulated Depreciation Impairment Property Plant Equipment

2023£3.384.405
2024£3.786.348

Additions Other Than Through Business Combinations Property Plant Equipment

2023£353.723
2024£470.266

Administration Support Average Number Employees

202316
202416

Amounts Owed By Related Parties

2023—
2024£81.361

Amounts Owed To Related Parties

2023£3.049.747
2024£2.547.543

Applicable Tax Rate

2023£0
2024£0

Audit Fees Expenses

2023£13.500
2024£13.800

Balances With Banks

2023£558.996
2024£327.699

Bank Borrowings

2023£321.000
2024£321.000

Capital Commitments

2023£87.099
2024£87.099

Cash Cash Equivalents

2023£560.155
2024£328.219

Cash Cash Equivalents Cash Flow Value

2023£911.959
2024£560.155

Cash Flows Used In Acquiring Or Obtaining Control Subsidiaries Or Other Businesses Classified As Investing Activities

2023—
2024£-950

Cash On Hand

2023£1.159
2024£520

Cost Sales

2023£5.718.224
2024£5.757.422

Deferred Tax Assets

2023£455.072
2024£502.218

Deferred Tax Expense Credit From Unrecognised Timing Difference From Prior Period

2023£-4.887
2024£-99.172

Deferred Tax Expense Credit Relating To Changes In Tax Rates Or Laws

2023£-1.546
2024£-1.546

Deferred Tax Expense Credit Relating To Origination Reversal Timing Differences

2023£-36.911
2024£209

Deferred Tax Liabilities

2023£549.349
2024£595.158

Depreciation Amortisation Expense

2023£355.055
2024£412.164

Depreciation Expense Property Plant Equipment

2023£355.055
2024£412.164

Disposals Decrease In Depreciation Impairment Property Plant Equipment

2023£-42.773
2024£-59.625

Disposals Property Plant Equipment

2023£-42.773
2024£-220.220

Finance Lease Liabilities Present Value Total

2023£114.490
2024£101.848

Finance Lease Payments Owing Minimum Gross

2023£140.704
2024£130.565

Financial Liabilities

2023£469.956
2024£469.956

Finished Goods Goods For Resale

2023£2.585.163
2024£2.413.387

Fixed Assets

2023£4.473.281
2024£4.414.840

Further Item Cash Flow From Used In Financing Activities Component Net Cash Flows From Used In Financing Activities

2023—
2024£-321.000

Future Minimum Lease Payments Under Non-cancellable Operating Leases

2023£2.014.149
2024£1.797.191

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

2023£-1.632.410
2024£370.873

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

2023£-211.252
2024£130.093

Gain Loss In Cash Flows From Change In Deferred Items

2023£-8.732
2024—

Gain Loss In Cash Flows From Change In Inventories

2023£381.440
2024£-171.776

Gain Loss On Disposals Property Plant Equipment

2023£-8.236
2024£6.000

Gross Profit Loss

2023£2.079.311
2024£2.416.032

Income Taxes Paid Refund Classified As Operating Activities

2023£27.786
2024—

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

2023£-351.804
2024£-231.936

Increase Decrease In Net Debt From Cash Flows

2023£99.203
2024£151.317

Increase From Depreciation Charge For Year Property Plant Equipment

2023£412.164
2024£461.568

Interest Expense On Financial Liabilities Fair Value Through Profit Or Loss

2023£44.908
2024£54.123

Interest Income On Bank Deposits

2023£1.821
2024£7.631

Interest Paid Classified As Financing Activities

2023£-44.908
2024£-54.123

Interest Paid Classified As Operating Activities

2023£44.908
2024£54.123

Interest Payable Similar Charges Finance Costs

2023£310.936
2024£54.123

Interest Received Classified As Investing Activities

2023£1.821
2024£7.631

Interest Received Classified As Operating Activities

2023£1.821
2024£7.631

Investments In Subsidiaries

2023£469.956
2024£469.956

Loss On Financing Activities Due To Foreign Exchange Differences

2023£266.028
2024£192.011

Net Cash Flows From Used In Financing Activities

2023£-376.092
2024£-385.262

Net Cash Flows From Used In Investing Activities

2023£-1.585.296
2024£-340.092

Net Cash Flows From Used In Operating Activities

2023£1.609.584
2024£493.418

Net Cash Generated From Operations

2023£1.637.370
2024—

Net Cash Inflow Outflow From Operations Before Movements In Working Capital

2023£183.880
2024£822.608

Net Debt Funds

2023£-579.846
2024£-428.529

Nominal Value Allotted Share Capital

2023£111.002
2024£111.002

Other Departments Average Number Employees

202325
202424

Other Employee Expense

2023£42.480
2024£66.679

Other Finance Income

2023£50.119
2024£50.119

Other Interest Receivable Similar Income Finance Income

2023£1.821
2024£57.750

Other Payables Accrued Expenses

2023£135.010
2024£141.299

Other Short-term Employee Benefits

2023£16.413
2024£15.507

Payments Finance Lease Liabilities Classified As Financing Activities

2023£-10.184
2024£-10.139

Pension Costs Defined Contribution Plan

2023£68.785
2024£64.940

Percentage Class Share Held In Subsidiary

2023£1
2024£0

Prepayments

2023£145.440
2024£218.200

Proceeds From Sales Property Plant Equipment

2023£1.851
2024£6.000

Production Average Number Employees

202330
202425

Profit Loss On Ordinary Activities Before Tax

2023£-222.498
2024£369.952

Property Plant Equipment

2023£4.003.325
2024£3.944.884

Property Plant Equipment Gross Cost

2023£7.329.289
2024£7.579.335

Provisions

2023£92.940
2024£92.940

Provisions For Liabilities Balance Sheet Subtotal

2023£94.277
2024£92.940

Purchase Property Plant Equipment

2023£-1.588.968
2024£-353.723

Repayments Borrowings Classified As Financing Activities

2023£-321.000
2024—

Revenue From Sale Goods

2023£7.797.535
2024£8.173.454

Social Security Costs

2023£228.055
2024£213.433

Staff Costs Employee Benefits Expense

2023£2.602.804
2024£2.480.774

Tax Expense Credit Applicable Tax Rate

2023£-42.275
2024£92.488

Tax Increase Decrease From Effect Capital Allowances Depreciation

2023£-165
2024£-165

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

2023£5.364
2024£7.058

Tax Increase Decrease From Effect Unrelieved Tax Losses Carried Forward

2023—
2024£104.772

Tax Tax Credit On Profit Or Loss On Ordinary Activities

2023£-41.798
2024£-1.337

Total Borrowings

2023£347.214
2024£349.717

Total Deferred Tax Expense Credit

2023£-41.798
2024£-1.337

Total Inventories

2023£2.585.163
2024£2.413.387

Total Operating Lease Payments

2023—
2024£11.598

Trade Debtors Trade Receivables

2023£605.425
2024£618.666

Turnover Revenue

2023£7.797.535
2024£8.173.454

Wages Salaries

2023£2.247.071
2024£2.120.215
Métrica20232024
Faturamento£7.797.535£8.173.454
Lucro / (prejuízo)£-41.798£-1.337
Lucro bruto£2.079.311£2.416.032
Outras receitas£1.821£57.750
Ativo total£3.216.320£3.216.320
Net Assets Liabilities£3.216.320£3.587.609
Equity£3.216.320£3.216.320
Current Assets£3.898.872£3.625.253
Net Current Assets Liabilities£199.262£294.013
Total Assets Less Current Liabilities£4.672.543£4.708.853
Cash Bank On Hand£560.155£328.219
Debtors£753.554£883.647
Other Debtors£2.689£46.781
Creditors£3.699.610£1.028.304
Trade Creditors Trade Payables£154.630£264.599
Other Creditors£13.009£28.082
Investments Fixed Assets£469.956£469.956
Number Shares Issued Fully Paid111.002111.002
Par Value Share£1£1
Average Number Employees During Period7165
Despesas administrativas£1.992.694£2.049.707
Accumulated Depreciation Impairment Property Plant Equipment£3.384.405£3.786.348
Additions Other Than Through Business Combinations Property Plant Equipment£353.723£470.266
Administration Support Average Number Employees1616
Amounts Owed By Related Parties—£81.361
Amounts Owed To Related Parties£3.049.747£2.547.543
Applicable Tax Rate£0£0
Audit Fees Expenses£13.500£13.800
Balances With Banks£558.996£327.699
Bank Borrowings£321.000£321.000
Capital Commitments£87.099£87.099
Cash Cash Equivalents£560.155£328.219
Cash Cash Equivalents Cash Flow Value£911.959£560.155
Cash Flows Used In Acquiring Or Obtaining Control Subsidiaries Or Other Businesses Classified As Investing Activities—£-950
Cash On Hand£1.159£520
Cost Sales£5.718.224£5.757.422
Deferred Tax Assets£455.072£502.218
Deferred Tax Expense Credit From Unrecognised Timing Difference From Prior Period£-4.887£-99.172
Deferred Tax Expense Credit Relating To Changes In Tax Rates Or Laws£-1.546£-1.546
Deferred Tax Expense Credit Relating To Origination Reversal Timing Differences£-36.911£209
Deferred Tax Liabilities£549.349£595.158
Depreciation Amortisation Expense£355.055£412.164
Depreciation Expense Property Plant Equipment£355.055£412.164
Disposals Decrease In Depreciation Impairment Property Plant Equipment£-42.773£-59.625
Disposals Property Plant Equipment£-42.773£-220.220
Finance Lease Liabilities Present Value Total£114.490£101.848
Finance Lease Payments Owing Minimum Gross£140.704£130.565
Financial Liabilities£469.956£469.956
Finished Goods Goods For Resale£2.585.163£2.413.387
Fixed Assets£4.473.281£4.414.840
Further Item Cash Flow From Used In Financing Activities Component Net Cash Flows From Used In Financing Activities—£-321.000
Future Minimum Lease Payments Under Non-cancellable Operating Leases£2.014.149£1.797.191
Gain Loss In Cash Flows From Change In Creditors Trade Other Payables£-1.632.410£370.873
Gain Loss In Cash Flows From Change In Debtors Trade Other Receivables£-211.252£130.093
Gain Loss In Cash Flows From Change In Deferred Items£-8.732—
Gain Loss In Cash Flows From Change In Inventories£381.440£-171.776
Gain Loss On Disposals Property Plant Equipment£-8.236£6.000
Gross Profit Loss£2.079.311£2.416.032
Income Taxes Paid Refund Classified As Operating Activities£27.786—
Increase Decrease In Cash Cash Equivalents Before Foreign Exchange Differences Changes In Consolidation£-351.804£-231.936
Increase Decrease In Net Debt From Cash Flows£99.203£151.317
Increase From Depreciation Charge For Year Property Plant Equipment£412.164£461.568
Interest Expense On Financial Liabilities Fair Value Through Profit Or Loss£44.908£54.123
Interest Income On Bank Deposits£1.821£7.631
Interest Paid Classified As Financing Activities£-44.908£-54.123
Interest Paid Classified As Operating Activities£44.908£54.123
Interest Payable Similar Charges Finance Costs£310.936£54.123
Interest Received Classified As Investing Activities£1.821£7.631
Interest Received Classified As Operating Activities£1.821£7.631
Investments In Subsidiaries£469.956£469.956
Loss On Financing Activities Due To Foreign Exchange Differences£266.028£192.011
Net Cash Flows From Used In Financing Activities£-376.092£-385.262
Net Cash Flows From Used In Investing Activities£-1.585.296£-340.092
Net Cash Flows From Used In Operating Activities£1.609.584£493.418
Net Cash Generated From Operations£1.637.370—
Net Cash Inflow Outflow From Operations Before Movements In Working Capital£183.880£822.608
Net Debt Funds£-579.846£-428.529
Nominal Value Allotted Share Capital£111.002£111.002
Other Departments Average Number Employees2524
Other Employee Expense£42.480£66.679
Other Finance Income£50.119£50.119
Other Interest Receivable Similar Income Finance Income£1.821£57.750
Other Payables Accrued Expenses£135.010£141.299
Other Short-term Employee Benefits£16.413£15.507
Payments Finance Lease Liabilities Classified As Financing Activities£-10.184£-10.139
Pension Costs Defined Contribution Plan£68.785£64.940
Percentage Class Share Held In Subsidiary£1£0
Prepayments£145.440£218.200
Proceeds From Sales Property Plant Equipment£1.851£6.000
Production Average Number Employees3025
Profit Loss On Ordinary Activities Before Tax£-222.498£369.952
Property Plant Equipment£4.003.325£3.944.884
Property Plant Equipment Gross Cost£7.329.289£7.579.335
Provisions£92.940£92.940
Provisions For Liabilities Balance Sheet Subtotal£94.277£92.940
Purchase Property Plant Equipment£-1.588.968£-353.723
Repayments Borrowings Classified As Financing Activities£-321.000—
Revenue From Sale Goods£7.797.535£8.173.454
Social Security Costs£228.055£213.433
Staff Costs Employee Benefits Expense£2.602.804£2.480.774
Tax Expense Credit Applicable Tax Rate£-42.275£92.488
Tax Increase Decrease From Effect Capital Allowances Depreciation£-165£-165
Tax Increase Decrease From Effect Expenses Not Deductible In Determining Taxable Profit Or Loss£5.364£7.058
Tax Increase Decrease From Effect Unrelieved Tax Losses Carried Forward—£104.772
Tax Tax Credit On Profit Or Loss On Ordinary Activities£-41.798£-1.337
Total Borrowings£347.214£349.717
Total Deferred Tax Expense Credit£-41.798£-1.337
Total Inventories£2.585.163£2.413.387
Total Operating Lease Payments—£11.598
Trade Debtors Trade Receivables£605.425£618.666
Turnover Revenue£7.797.535£8.173.454
Wages Salaries£2.247.071£2.120.215

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+96,8%
Margem bruta (2024)Margem bruta
29,6%
Rentabilidade dos ativos (líquida) (2023)Rentabilidade dos ativos (líquida)
-1,3%

Saúde financeira

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

Margens

Margem líquida (2023)
-0,5%
Margem bruta (2023)
26,7%
Despesas administrativas % das receitas (2023)
25,6%
Margem bruta (2024)
29,6%
Despesas administrativas % das receitas (2024)
25,1%
  1. –
  2. –
  3. –MOCAP LIMITED

Crescimento

Receitas ano contra ano (2023 vs. 2024)
+4,8%
Lucro / (prejuízo) ano contra ano (2023 vs. 2024)
+96,8%
Ativo circulante líquido ano contra ano (2023 vs. 2024)
+47,6%
CAGR receitas (2023–2024)
+4,8%

Eficiência e rentabilidade

Rotação de ativos (2023)
2,42×
Rentabilidade dos ativos (líquida) (2023)
-1,3%
Receitas por colaborador (2023)
£ 109.824
Lucro / (prejuízo) por colaborador (2023)
-£ 589
Rotação de ativos (2024)
2,54×
Receitas por colaborador (2024)
£ 125.745
Lucro / (prejuízo) por colaborador (2024)
-£ 21

Capital circulante e liquidez

Ativo circulante líquido (2023)
£ 199.262
Ativo circulante líquido (2024)
£ 294.013

Contas a receber e a pagar

Dias de clientes (debtor days) (2023)
35dias
Dias de fornecedores (vs receitas) (2023)
7dias
Dias de clientes (debtor days) (2024)
39dias
Dias de fornecedores (vs receitas) (2024)
12dias

Estrutura de capital

Rácio de capital próprio (2023)
100%
Rácio de capital próprio (2024)
100%

Qualidade e mix

Outros rendimentos % das receitas (2024)
0,7%
Início
Reino Unido
Shropshire