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

REINFORCEMENT ENGINEERING LTD

🇬🇧Reino Unido•Private Limited Company (Ltd.)•Dissolvida
Rácio de liquidez corrente (2016)Rácio de liquidez corrente
1,32×
Rentabilidade dos ativos (líquida) (2021)Rentabilidade dos ativos (líquida)
-0,1%
Rácio de capital próprio (2023)Rácio de capital próprio

Resumo

País🇬🇧Reino Unido
EstadoDissolvida
Número de registro09825733
Fundada15/10/2015
Objeto socialOther engineering activities
Endereço293 Green Lanes, Palmers Green, London, N13 4XS
Declaração de confirmaçãoPróximo vencimento: 29/10/2024; Última elaboração: 15/10/2023

Legal e status

Forma legalPrivate Limited Company (Ltd.)
EstadoDissolvida
Data de registro15/10/2015
Autoridade registralCompanies House
Capital registrado—

Fonte: UK Companies House · Última atualização: 01/12/2025

Linha do tempo (22 eventos)

01/05/2026

Endereço atualizado

Palmers Green, London

01/10/2024

Status alterado

active → active - proposal to strike off

15/10/2015

Nomeação Eren Kilavuz (pessoa)

Nomeado como Director

Rede

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Profundidade da rede

Propriedade e gestão

Persons with significant control

Eren Kilavuz

75–100% shares · 75–100% voting rights

Nomeado em: 06/04/2016

87.5%

Officers & directors

Eren Kilavuz

Director

Nomeado em: 15/10/2015

—

Linha do tempo de propriedade (1 alterações)

06/04/2016

Nomeação Eren Kilavuz (pessoa)

Pessoa com controle significativo

Acionistas

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Beneficiário efetivo

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Geografia

Sede

293 Green Lanes

Palmers Green

London

N13 4XS

Finanças

Indicadores das demonstrações anuais.

Converter para

2021

Lucro / (prejuízo): £-38

Indicadores

Lucro / (prejuízo)

2016—
2017—
2018—
2019—
2020—
2021£-38
2022—
2023—

Ativo total

2016£4.308
2017£4.308
2018£3.679
2019£19.638
2020£38.633
2021£38.385
2022£43.384
2023£54.878

Net Assets Liabilities

2016—
2017£4.308
2018£3.679
2019£19.638
2020£38.633
2021£38.385
2022£43.384
2023£54.878

Equity

2016—
2017£4.308
2018£3.679
2019£19.638
2020£38.633
2021£38.385
2022£43.384
2023£54.878

Current Assets

2016£17.810
2017—
2018—
2019£44.330
2020£64.596
2021£88.645
2022—
2023£68.678

Net Current Assets Liabilities

2016£4.308
2017£4.308
2018£2.166
2019£18.706
2020£38.124
2021£-297.721
2022£-292.560
2023£-280.941

Total Assets Less Current Liabilities

2016£4.308
2017£4.308
2018£4.057
2019£20.125
2020£39.188
2021£38.537
2022£43.498
2023£54.968

Cash Bank On Hand

2016—
2017£17.810
2018£27.004
2019£44.330
2020£61.466
2021£83.845
2022£58.152
2023£68.678

Debtors

2016—
2017—
2018—
2019£0
2020£3.130
2021£4.800
2022—
2023£0

Creditors

2016—
2017£13.502
2018£24.838
2019£25.624
2020£26.472
2021£386.366
2022£350.712
2023£349.619

Other Creditors

2016—
2017£8.800
2018£21.171
2019£20.333
2020£20.275
2021£379.401
2022£350.401
2023£349.601

Average Number Employees During Period

2016—
20171
2018—
20191
20201
20211
20221
20231

Accumulated Depreciation Impairment Property Plant Equipment

2016—
2017£631
2018£1.103
2019£1.458
2020£1.724
2021£1.924
2022£2.073
2023£2.185

Additional Provisions Increase From New Provisions Recognised

2016—
2017—
2018—
2019—
2020£-403
2021—
2022£-24
2023—

Additional Provisions Increase From New Provisions Recognised In Profit Or Loss

2016—
2017—
2018—
2019—
2020—
2021£-38
2022—
2023—

Additions Other Than Through Business Combinations Investment Property Fair Value Model

2016—
2017—
2018—
2019—
2020£335.460
2021—
2022—
2023—

Capital Reserves

2016£4.308
2017—
2018—
2019—
2020—
2021—
2022—
2023—

Creditors Due Within One Year

2016£13.502
2017—
2018—
2019—
2020—
2021—
2022—
2023—

Fixed Assets

2016—
2017—
2018—
2019—
2020£1.064
2021£336.258
2022£336.058
2023£335.909

Increase From Depreciation Charge For Year Property Plant Equipment

2016—
2017£631
2018£472
2019£355
2020£266
2021£200
2022£149
2023£112

Investment Property

2016—
2017—
2018—
2019—
2020£335.460
2021£335.460
2022£335.460
2023£335.460

Investment Property Fair Value Model

2016—
2017—
2018—
2019—
2020£335.460
2021£335.460
2022£335.460
2023£335.460

Other Taxation Social Security Payable

2016—
2017£4.702
2018£3.667
2019£5.291
2020£6.197
2021£6.965
2022£311
2023£18

Property Plant Equipment

2016—
2017£1.891
2018£1.891
2019£1.419
2020£1.064
2021£798
2022£598
2023£449

Property Plant Equipment Gross Cost

2016—
2017£2.522
2018£2.522
2019£2.522
2020£2.522
2021£2.522
2022£2.522
2023£2.522

Provisions

2016—
2017—
2018—
2019—
2020£152
2021£114
2022£90
2023£90

Provisions For Liabilities Balance Sheet Subtotal

2016—
2017£0
2018£378
2019£487
2020£555
2021£152
2022£114
2023£90

Total Additions Including From Business Combinations Property Plant Equipment

2016—
2017£2.522
2018—
2019—
2020—
2021—
2022—
2023—

Trade Debtors Trade Receivables

2016—
2017—
2018—
2019£0
2020£3.130
2021£4.800
2022—
2023£0
Métrica20162017201820192020202120222023
Lucro / (prejuízo)—————£-38——
Ativo total£4.308£4.308£3.679£19.638£38.633£38.385£43.384£54.878
Net Assets Liabilities—£4.308£3.679£19.638£38.633£38.385£43.384£54.878
Equity—£4.308£3.679£19.638£38.633£38.385£43.384£54.878
Current Assets£17.810——£44.330£64.596£88.645—£68.678
Net Current Assets Liabilities£4.308£4.308£2.166£18.706£38.124£-297.721£-292.560£-280.941
Total Assets Less Current Liabilities£4.308£4.308£4.057£20.125£39.188£38.537£43.498£54.968
Cash Bank On Hand—£17.810£27.004£44.330£61.466£83.845£58.152£68.678
Debtors———£0£3.130£4.800—£0
Creditors—£13.502£24.838£25.624£26.472£386.366£350.712£349.619
Other Creditors—£8.800£21.171£20.333£20.275£379.401£350.401£349.601
Average Number Employees During Period—1—11111
Accumulated Depreciation Impairment Property Plant Equipment—£631£1.103£1.458£1.724£1.924£2.073£2.185
Additional Provisions Increase From New Provisions Recognised————£-403—£-24—
Additional Provisions Increase From New Provisions Recognised In Profit Or Loss—————£-38——
Additions Other Than Through Business Combinations Investment Property Fair Value Model————£335.460———
Capital Reserves£4.308———————
Creditors Due Within One Year£13.502———————
Fixed Assets————£1.064£336.258£336.058£335.909
Increase From Depreciation Charge For Year Property Plant Equipment—£631£472£355£266£200£149£112
Investment Property————£335.460£335.460£335.460£335.460
Investment Property Fair Value Model————£335.460£335.460£335.460£335.460
Other Taxation Social Security Payable—£4.702£3.667£5.291£6.197£6.965£311£18
Property Plant Equipment—£1.891£1.891£1.419£1.064£798£598£449
Property Plant Equipment Gross Cost—£2.522£2.522£2.522£2.522£2.522£2.522£2.522
Provisions————£152£114£90£90
Provisions For Liabilities Balance Sheet Subtotal—£0£378£487£555£152£114£90
Total Additions Including From Business Combinations Property Plant Equipment—£2.522——————
Trade Debtors Trade Receivables———£0£3.130£4.800—£0

Documentos

Final Gazette dissolved via voluntary strike-off

26/11/2024

Ver

Confirmation statement

05/11/2024

Ver

Change of director details

05/11/2024

Ver

Change of details for person with significant control

05/11/2024

Ver

IA de documentos

Em breve

Companexia Document AI

Faça perguntas sobre entregas e extratos—a nossa IA lerá os documentos e responderá em contexto.

First Gazette notice for voluntary strike-off

10/09/2024

Ver

Strike off from register

28/08/2024

Ver

Confirmation statement

16/10/2023

Ver

Total exemption full accounts made up to 31 July 2023

06/10/2023

Ver

Annual Accounts

Contas do exercício que termina em: 31/07/2023

Arquivado: 31/07/2023

Ver

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CAGR ativos totais (2016–2023)CAGR ativos totais
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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 (2017 vs. 2018)
-14,6%
Ativo circulante líquido ano contra ano (2017 vs. 2018)
-49,7%
Ativos totais ano contra ano (2018 vs. 2019)
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Ativo circulante líquido ano contra ano (2019 vs. 2020)
+103,8%
Ativos totais ano contra ano (2020 vs. 2021)
-0,6%
Ativo circulante líquido ano contra ano (2020 vs. 2021)
-880,9%
Ativos totais ano contra ano (2021 vs. 2022)
+13%
Ativo circulante líquido ano contra ano (2021 vs. 2022)
+1,7%
Ativos totais ano contra ano (2022 vs. 2023)
+26,5%
Ativo circulante líquido ano contra ano (2022 vs. 2023)
+4%
CAGR ativos totais (2016–2023)
+43,8%

Eficiência e rentabilidade

Rentabilidade dos ativos (líquida) (2021)
-0,1%
Lucro / (prejuízo) por colaborador (2021)
-£ 38

Capital circulante e liquidez

Rácio de liquidez corrente (2016)
1,32×
Ativo circulante líquido (2016)
£ 4.308
Ativo circulante líquido (2017)
£ 4.308
Ativo circulante líquido (2018)
£ 2.166
Ativo circulante líquido (2019)
£ 18.706
Ativo circulante líquido (2020)
£ 38.124
Ativo circulante líquido (2021)
-£ 297.721
Ativo circulante líquido (2022)
-£ 292.560
Ativo circulante líquido (2023)
-£ 280.941

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%
Rácio de capital próprio (2023)
100%
Início
Reino Unido
London