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

REALM CREATIVE LIMITED

🇬🇧Reino Unido•Private Limited Company (Ltd.)•Dissolvida
Rentabilidade dos ativos (líquida) (2022)Rentabilidade dos ativos (líquida)
19%
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 registro12160713
Fundada16/08/2019
Objeto socialspecialised design activities
Endereço5 The Gabels, Alsager, Stoke-On-Trent, Staffordshire, ST7 2HT
Declaração de confirmaçãoPróximo vencimento: 29/08/2023; Última elaboração: 15/08/2022

Legal e status

Forma legalPrivate Limited Company (Ltd.)
EstadoDissolvida
Data de registro16/08/2019
Autoridade registralCompanies House
Capital registrado—

Fonte: UK Companies House · Última atualização: 03/12/2025

Linha do tempo (12 eventos)

01/11/2023

Status alterado

active → active - proposal to strike off

03/01/2023

Contas anuais apresentadas

Total exemption full accounts made up to 31 July 2022

Ver ficheiro em Documentos

16/08/2019

Nomeação Christopher J Cotterill (pessoa)

Nomeado como Director

Rede

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Profundidade da rede

Propriedade e gestão

Persons with significant control

Christopher J Cotterill

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

Nomeado em: 16/08/2019

87.5%

Officers & directors

Christopher J Cotterill

Director

Nomeado em: 16/08/2019

—
Nicholas Elliott Shaw

Director

Nomeado em: 26/08/2020 · Demitido em: 08/07/2021

—

Linha do tempo de propriedade (1 alterações)

16/08/2019

Nomeação Christopher J Cotterill (pessoa)

Pessoa com controle significativo

Acionistas

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Beneficiário efetivo

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Geografia

Sede

5 The Gabels

Alsager

Stoke-On-Trent

Staffordshire

ST7 2HT

Finanças

Indicadores das demonstrações anuais.

Converter para

2022

Lucro / (prejuízo): £2.0K

Indicadores

Lucro / (prejuízo)

2020—
2021—
2022£2.000

Ativo total

2020£1.712
2021£1.712
2022£10.513

Net Assets Liabilities

2020£1.712
2021£1.712
2022£10.513

Equity

2020£1.712
2021£1.712
2022£10.513

Current Assets

2020£18.641
2021£18.641
2022£15.627

Net Current Assets Liabilities

2020£-2.908
2021£-2.908
2022£9.034

Total Assets Less Current Liabilities

2020£2.795
2021£2.795
2022£18.146

Cash Bank On Hand

2020£13.484
2021£13.484
2022£8.703

Debtors

2020£5.157
2021£5.157
2022£6.924

Other Debtors

2020—
2021—
2022£1.224

Creditors

2020£21.549
2021£0
2022£6.593

Trade Creditors Trade Payables

2020—
2021£1
2022—

Other Creditors

2020£7.500
2021£7.500
2022£2.266

Average Number Employees During Period

20201
20211
20222

Accrued Liabilities

2020£500
2021£499
2022—

Accumulated Depreciation Impairment Property Plant Equipment

2020£2.324
2021£6.435
2022£11.227

Bank Borrowings Overdrafts

2020—
2021£0
2022£5.902

Corporation Tax Payable

2020£2.062
2021£2.062
2022—

Increase From Depreciation Charge For Year Property Plant Equipment

2020£2.324
2021£4.111
2022£2.792

Increase From Impairment Loss Recognised In Profit Or Loss Property Plant Equipment

2020—
2021—
2022£2.000

Other Taxation Social Security Payable

2020—
2021—
2022£2.730

Prepayments

2020£122
2021£122
2022—

Property Plant Equipment

2020£5.703
2021£5.703
2022£9.112

Property Plant Equipment Gross Cost

2020£8.027
2021£15.547
2022£15.547

Provisions For Liabilities Balance Sheet Subtotal

2020£1.083
2021£1.083
2022£1.731

Total Additions Including From Business Combinations Property Plant Equipment

2020£8.027
2021£7.520
2022—

Trade Debtors Trade Receivables

2020£5.035
2021£5.035
2022£5.700
Métrica202020212022
Lucro / (prejuízo)——£2.000
Ativo total£1.712£1.712£10.513
Net Assets Liabilities£1.712£1.712£10.513
Equity£1.712£1.712£10.513
Current Assets£18.641£18.641£15.627
Net Current Assets Liabilities£-2.908£-2.908£9.034
Total Assets Less Current Liabilities£2.795£2.795£18.146
Cash Bank On Hand£13.484£13.484£8.703
Debtors£5.157£5.157£6.924
Other Debtors——£1.224
Creditors£21.549£0£6.593
Trade Creditors Trade Payables—£1—
Other Creditors£7.500£7.500£2.266
Average Number Employees During Period112
Accrued Liabilities£500£499—
Accumulated Depreciation Impairment Property Plant Equipment£2.324£6.435£11.227
Bank Borrowings Overdrafts—£0£5.902
Corporation Tax Payable£2.062£2.062—
Increase From Depreciation Charge For Year Property Plant Equipment£2.324£4.111£2.792
Increase From Impairment Loss Recognised In Profit Or Loss Property Plant Equipment——£2.000
Other Taxation Social Security Payable——£2.730
Prepayments£122£122—
Property Plant Equipment£5.703£5.703£9.112
Property Plant Equipment Gross Cost£8.027£15.547£15.547
Provisions For Liabilities Balance Sheet Subtotal£1.083£1.083£1.731
Total Additions Including From Business Combinations Property Plant Equipment£8.027£7.520—
Trade Debtors Trade Receivables£5.035£5.035£5.700

Documentos

Final Gazette dissolved via voluntary strike-off

28/11/2023

Ver

First Gazette notice for voluntary strike-off

12/09/2023

Ver

Strike off from register

30/08/2023

Ver

Total exemption full accounts made up to 31 July 2022

03/01/2023

Ver

Confirmation statement

18/08/2022

Ver

Annual Accounts

Contas do exercício que termina em: 31/07/2022

Arquivado: 31/07/2022

Ver

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Total exemption full accounts made up to 31 July 2021

21/12/2021

Ver

Confirmation statement

19/08/2021

Ver

Annual Accounts

Contas do exercício que termina em: 31/07/2021

Arquivado: 31/07/2021

Ver

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CAGR ativos totais (2020–2022)CAGR ativos totais
+147,8%
Lucro / (prejuízo) por colaborador (2022)Lucro / (prejuízo) por colaborador
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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 (2021 vs. 2022)
+514,1%
Ativo circulante líquido ano contra ano (2021 vs. 2022)
+410,7%
CAGR ativos totais (2020–2022)
+147,8%

Eficiência e rentabilidade

Rentabilidade dos ativos (líquida) (2022)
19%
Lucro / (prejuízo) por colaborador (2022)
£ 1.000
  1. –
  2. –
  3. –REALM CREATIVE LIMITED

Capital circulante e liquidez

Ativo circulante líquido (2020)
-£ 2.908
Ativo circulante líquido (2021)
-£ 2.908
Ativo circulante líquido (2022)
£ 9.034

Estrutura de capital

Rácio de capital próprio (2020)
100%
Rácio de capital próprio (2021)
100%
Rácio de capital próprio (2022)
100%
Início
Reino Unido
Stoke-on-trent