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PAGECOM COMPUTING LIMITED

Private Limited Company (Ltd.)•Liquidação
Rácio de liquidez corrente (2016)Rácio de liquidez corrente
1,01×
Lucro / (prejuízo) ano contra ano (2021 vs. 2022)Lucro / (prejuízo) ano contra ano
-13,1%
Rentabilidade dos ativos (líquida) (2022)Rentabilidade dos ativos (líquida)

Resumo

País🇬🇧Reino Unido
EstadoLiquidação
Número de registro08202953
Fundada05/09/2012
Objeto socialInformation technology consultancy activities
EndereçoThe Manor House, 280 Ecclesall Road South, Sheffield, S11 9PS
Declaração de confirmaçãoPróximo vencimento: —; Última elaboração: —

Legal e status

Forma legalPrivate Limited Company (Ltd.)
EstadoLiquidação
Data de registro05/09/2012
Autoridade registral—

Fonte: — · Última atualização: 02/12/2025

Linha do tempo (26 eventos)

01/11/2023

Endereço atualizado

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

01/11/2023

Status alterado

active → liquidation

05/09/2012

Nomeação Robert William Logan (pessoa)

Nomeado como Director

Rede

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Profundidade da rede

Propriedade e gestão

Persons with significant control

Caroline Elizabeth Logan

25–50% shares · Right to appoint directors

Nomeado em: 10/09/2020

37.5%
Robert William Logan

25–50% shares

Nomeado em: 06/04/2016

37.5%
Robert William Logan

25–50% shares

Nomeado em: 06/04/2016

37.5%

Officers & directors

Caroline Elizabeth Logan

Director

Nomeado em: 10/09/2020

—
Robert William Logan

Director

Nomeado em: 05/09/2012

—

Linha do tempo de propriedade (2 alterações)

10/09/2020

Nomeação Caroline Elizabeth Logan (pessoa)

Pessoa com controle significativo

06/04/2016

Nomeação Robert William Logan (pessoa)

Pessoa com controle significativo

Acionistas

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Beneficiário efetivo

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Geografia

Sede

The Manor House

280 Ecclesall Road South

Sheffield

S11 9PS

Finanças

Indicadores das demonstrações anuais.

Converter para

2013

Lucro / (prejuízo): £3.6K

Indicadores

Lucro / (prejuízo)

2013£3.567
2014£3.567
2015—
2016£0
2017—
2018—
2019—
2020£76.385
2021£97.073
2022£84.364

Ativo total

2013£3.667
2014£3.667
2015£100
2016£100
2017£9.911
2018£0
2019£10.709
2020£1.892
2021£177
2022£500

Net Assets Liabilities

2013—
2014—
2015—
2016—
2017—
2018—
2019£10.709
2020£1.892
2021£277
2022£800

Equity

2013—
2014—
2015—
2016—
2017£9.911
2018£0
2019£10.709
2020£1.892
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£3.667
2014£3.667
2015£100
2016£100
2017£9.911
2018£0
2019£10.209
2020£7.815
2021£56.811
2022£35.741

Total Assets Less Current Liabilities

2013£3.667
2014£3.667
2015£100
2016£100
2017£9.911
2018£0
2019£10.709
2020£9.133
2021£59.885
2022£37.527

Cash Bank On Hand

2013—
2014—
2015—
2016—
2017—
2018—
2019—
2020£43
2021£12.677
2022£4.274

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£7.241
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£2.732
2021£3.379
2022£0

Advances Credits Directors

2013£0
2014—
2015£6.160
2016£0
2017—
2018—
2019—
2020—
2021—
2022—

Advances Credits Made In Period Directors

2013£7.000
2014—
2015£6.160
2016£10.854
2017—
2018—
2019—
2020—
2021—
2022—

Advances Credits Repaid In Period Directors

2013£7.000
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£8.175
2016£3.167
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£-1.540
2015£-1.540
2016£-1.540
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£1.881
2021£1.703
2022—

Other Disposals Decrease In Depreciation Impairment Property Plant Equipment

2013—
2014—
2015—
2016—
2017—
2018—
2019—
2020—
2021£1.056
2022£3.379

Other Disposals Property Plant Equipment

2013—
2014—
2015—
2016—
2017—
2018—
2019—
2020—
2021£1.790
2022£5.165

Profit Loss Account Reserve

2013£3.567
2014£3.567
2015—
2016£0
2017—
2018—
2019—
2020—
2021—
2022—

Property Plant Equipment

2013—
2014—
2015—
2016—
2017—
2018—
2019—
2020£1.318
2021£3.074
2022£1.786

Property Plant Equipment Gross Cost

2013—
2014—
2015—
2016—
2017—
2018—
2019—
2020£5.806
2021£5.165
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£3.667
2014£3.667
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£3.637
2021£1.149
2022—
Métrica2013201420152016201720182019202020212022
Lucro / (prejuízo)£3.567£3.567—£0———£76.385£97.073£84.364
Ativo total£3.667£3.667£100£100£9.911£0£10.709£1.892£177£500
Net Assets Liabilities——————£10.709£1.892£277£800
Equity————£9.911£0£10.709£1.892£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£3.667£3.667£100£100£9.911£0£10.209£7.815£56.811£35.741
Total Assets Less Current Liabilities£3.667£3.667£100£100£9.911£0£10.709£9.133£59.885£37.527
Cash Bank On Hand———————£43£12.677£4.274
Debtors£16.861£16.861£10.608£15.154———£63.973£81.188£77.736
Creditors————£27.869£36.760£0£7.241£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———————£2.732£3.379£0
Advances Credits Directors£0—£6.160£0——————
Advances Credits Made In Period Directors£7.000—£6.160£10.854——————
Advances Credits Repaid In Period Directors£7.000—£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£8.175£3.167——————
Creditors Due Within One Year£13.912£13.912£18.683£18.221——————
Debtors Due After One Year—£-1.540£-1.540£-1.540——————
Fixed Assets—————£0£500———
Increase From Depreciation Charge For Year Property Plant Equipment———————£1.881£1.703—
Other Disposals Decrease In Depreciation Impairment Property Plant Equipment————————£1.056£3.379
Other Disposals Property Plant Equipment————————£1.790£5.165
Profit Loss Account Reserve£3.567£3.567—£0——————
Property Plant Equipment———————£1.318£3.074£1.786
Property Plant Equipment Gross Cost———————£5.806£5.165£0
Share Capital Allotted Called Up Paid£100£100£100£100——————
Shareholder Funds£3.667£3.667£100£100——————
Total Additions Including From Business Combinations Property Plant Equipment———————£3.637£1.149—

Documentos

Liquidators' statement of receipts and payments to 27 July 2025

26/09/2025

Ver

Liquidators' statement of receipts and payments to 27 July 2024

27/09/2024

Ver

Appointment of a voluntary liquidator

22/05/2024

Ver

Removal of liquidator by court order

15/04/2024

Ver

IA de documentos

Em breve

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Change of registered office address

09/09/2023

Ver

Change of registered office address

15/08/2023

Ver

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

15/08/2023

Ver

Statement of affairs

15/08/2023

Ver

Appointment of a voluntary liquidator

15/08/2023

Ver

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Rácio de capital próprio (2022)Rácio de capital próprio
100%
CAGR lucro / (prejuízo) (2013–2022)CAGR lucro / (prejuízo)
+42,1%

Saúde financeira

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

Crescimento

Ativos totais ano contra ano (2014 vs. 2015)
-97,3%
Ativo circulante líquido ano contra ano (2014 vs. 2015)
-97,3%
Ativos totais ano contra ano (2016 vs. 2017)
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Ativo circulante líquido ano contra ano (2016 vs. 2017)
+9.811%
Ativos totais ano contra ano (2017 vs. 2018)
-100%
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Ativo circulante líquido ano contra ano (2017 vs. 2018)
-100%
Ativos totais ano contra ano (2019 vs. 2020)
-82,3%
Ativo circulante líquido ano contra ano (2019 vs. 2020)
-23,4%
Lucro / (prejuízo) ano contra ano (2020 vs. 2021)
+27,1%
Ativos totais ano contra ano (2020 vs. 2021)
-90,6%
Ativo circulante líquido ano contra ano (2020 vs. 2021)
+626,9%
Lucro / (prejuízo) ano contra ano (2021 vs. 2022)
-13,1%
Ativos totais ano contra ano (2021 vs. 2022)
+182,5%
Ativo circulante líquido ano contra ano (2021 vs. 2022)
-37,1%
CAGR lucro / (prejuízo) (2013–2022)
+42,1%
CAGR ativos totais (2013–2022)
-19,9%

Eficiência e rentabilidade

Rentabilidade dos ativos (líquida) (2013)
97,3%
Rentabilidade dos ativos (líquida) (2014)
97,3%
Rentabilidade dos ativos (líquida) (2020)
4.037,3%
Lucro / (prejuízo) por colaborador (2020)
£ 19.096
Rentabilidade dos ativos (líquida) (2021)
54.843,5%
Lucro / (prejuízo) por colaborador (2021)
£ 24.268
Rentabilidade dos ativos (líquida) (2022)
16.872,8%
Lucro / (prejuízo) por colaborador (2022)
£ 28.121

Capital circulante e liquidez

Rácio de liquidez corrente (2013)
1,26×
Ativo circulante líquido (2013)
£ 3.667
Rácio de liquidez corrente (2014)
1,26×
Ativo circulante líquido (2014)
£ 3.667
Rácio de liquidez corrente (2015)
1,01×
Ativo circulante líquido (2015)
£ 100
Rácio de liquidez corrente (2016)
1,01×
Ativo circulante líquido (2016)
£ 100
Ativo circulante líquido (2017)
£ 9.911
Ativo circulante líquido (2019)
£ 10.209
Ativo circulante líquido (2020)
£ 7.815
Ativo circulante líquido (2021)
£ 56.811
Ativo circulante líquido (2022)
£ 35.741

Estrutura de capital

Rácio de capital próprio (2017)
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