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ResumoLegal e statusLinha do tempoRedePropriedade e gestãoAcionistasBeneficiário efetivoGeografiaFinançasSaúde financeiraDocumentos

TALENTBOX LTD

Private Limited Company (Ltd.)•Dissolvida

Resumo

País🇬🇧Reino Unido
EstadoDissolvida
Número de registro11293264
Fundada05/04/2018
Objeto socialOther activities of employment placement agencies; Temporary employment agency activities
Endereço7 St. Petersgate, Stockport, SK1 1EB
Declaração de confirmaçãoPróximo vencimento: —; Última elaboração: —

Legal e status

Forma legalPrivate Limited Company (Ltd.)
EstadoDissolvida
Data de registro05/04/2018
Autoridade registral—

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

Linha do tempo (18 eventos)

01/03/2024

Endereço atualizado

7 St. Petersgate, Stockport, Sk1 1EB

01/03/2024

Status alterado

active → liquidation

05/04/2018

Nomeação Cooperfaure Limited (pessoa)

Nomeado como Secretary

Rede

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Profundidade da rede

Propriedade e gestão

Persons with significant control

Benjamin Robert Darke

25–50% shares · 25–50% voting rights

Nomeado em: 05/04/2018

37.5%
Edward Moore

25–50% shares · 25–50% voting rights

Nomeado em: 05/04/2018

37.5%

Officers & directors

Edward Moore

Director

Nomeado em: 03/09/2019

—
Benjamin Robert Darke

Director

Nomeado em: 05/04/2018

—
Cooperfaure Limited

Secretary

Nomeado em: 05/04/2018 · Demitido em: 19/04/2021

—

Linha do tempo de propriedade (2 alterações)

05/04/2018

Nomeação Benjamin Robert Darke (pessoa)

Pessoa com controle significativo

05/04/2018

Nomeação Edward Moore (pessoa)

Pessoa com controle significativo

Acionistas

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Beneficiário efetivo

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Geografia

Sede

7 St. Petersgate

Stockport

SK1 1EB

Finanças

Indicadores das demonstrações anuais.

Converter para

2019

Ativo total: £78.0K

Indicadores

Ativo total

2019£77.956
2020£77.956
2021£110.718
2022—
2023£232.758

Net Assets Liabilities

2019£77.956
2020—
2021£110.718
2022—
2023£232.758

Equity

2019£77.956
2020£77.956
2021£110.718
2022—
2023£232.758

Current Assets

2019£121.091
2020£121.091
2021£143.361
2022—
2023£510.148

Net Current Assets Liabilities

2019£74.200
2020—
2021£104.577
2022—
2023£248.851

Total Assets Less Current Liabilities

2019£77.956
2020—
2021£110.718
2022—
2023£274.425

Cash Bank On Hand

2019£22.645
2020—
2021—
2022—
2023£175.873

Debtors

2019£98.446
2020—
2021—
2022—
2023£334.275

Other Debtors

2019£2.464
2020—
2021—
2022—
2023£33.437

Creditors

2019£46.891
2020£13.204
2021£0
2022—
2023£261.297

Trade Creditors Trade Payables

2019£8.472
2020—
2021—
2022—
2023—

Other Creditors

2019£1.268
2020—
2021—
2022—
2023£98.007

Average Number Employees During Period

2019—
20203
202110
202237
202337

Accumulated Depreciation Impairment Property Plant Equipment

2019£1.252
2020—
2021—
2022—
2023£19.415

Additions Other Than Through Business Combinations Property Plant Equipment

2019—
2020—
2021—
2022—
2023£10.872

Bank Borrowings Overdrafts

2019—
2020—
2021—
2022—
2023£41.667

Corporation Tax Payable

2019—
2020—
2021—
2022—
2023£70.226

Fixed Assets

2019£3.756
2020£3.756
2021£6.141
2022—
2023—

Increase From Depreciation Charge For Year Property Plant Equipment

2019£1.252
2020—
2021—
2022—
2023£8.511

Other Taxation Social Security Payable

2019—
2020—
2021—
2022—
2023£87.508

Property Plant Equipment

2019£3.756
2020—
2021—
2022—
2023£25.574

Property Plant Equipment Gross Cost

2019£5.008
2020—
2021—
2022—
2023£47.350

Provisions For Liabilities Balance Sheet Subtotal

2019—
2020£33.687
2021—
2022—
2023—

Taxation Social Security Payable

2019£37.151
2020—
2021—
2022—
2023—

Total Additions Including From Business Combinations Property Plant Equipment

2019£5.008
2020—
2021—
2022—
2023—

Total Liabilities

2019—
2020£124.847
2021—
2022—
2023—

Trade Debtors Trade Receivables

2019£95.982
2020—
2021—
2022—
2023£300.838
Métrica20192020202120222023
Ativo total£77.956£77.956£110.718—£232.758
Net Assets Liabilities£77.956—£110.718—£232.758
Equity£77.956£77.956£110.718—£232.758
Current Assets£121.091£121.091£143.361—£510.148
Net Current Assets Liabilities£74.200—£104.577—£248.851
Total Assets Less Current Liabilities£77.956—£110.718—£274.425
Cash Bank On Hand£22.645———£175.873
Debtors£98.446———£334.275
Other Debtors£2.464———£33.437
Creditors£46.891£13.204£0—£261.297
Trade Creditors Trade Payables£8.472————
Other Creditors£1.268———£98.007
Average Number Employees During Period—3103737
Accumulated Depreciation Impairment Property Plant Equipment£1.252———£19.415
Additions Other Than Through Business Combinations Property Plant Equipment————£10.872
Bank Borrowings Overdrafts————£41.667
Corporation Tax Payable————£70.226
Fixed Assets£3.756£3.756£6.141——
Increase From Depreciation Charge For Year Property Plant Equipment£1.252———£8.511
Other Taxation Social Security Payable————£87.508
Property Plant Equipment£3.756———£25.574
Property Plant Equipment Gross Cost£5.008———£47.350
Provisions For Liabilities Balance Sheet Subtotal—£33.687———
Taxation Social Security Payable£37.151————
Total Additions Including From Business Combinations Property Plant Equipment£5.008————
Total Liabilities—£124.847———
Trade Debtors Trade Receivables£95.982———£300.838

Documentos

Final Gazette dissolved following liquidation

29/01/2026

Ver

Return of final meeting in a members' voluntary winding up

29/10/2025

Ver

Liquidators' statement of receipts and payments to 11 January 2025

04/02/2025

Ver

Change of registered office address

17/01/2024

Ver

Resolutions LRESSP ‐ Special resolution to wind up on 2024-01-12

16/01/2024

Ver

IA de documentos

Em breve

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Declaration of solvency

16/01/2024

Ver

Appointment of a voluntary liquidator

16/01/2024

Ver

Total exemption full accounts made up to 31 March 2023

09/08/2023

Ver

Confirmation statement

03/04/2023

Ver

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Passivos / capital próprio (2020)Passivos / capital próprio
1,6×
Passivos / ativos totais (2020)Passivos / ativos totais
160,2%
Rácio de capital próprio (2023)Rácio de capital próprio
100%
Ativos totais ano contra ano (2020 vs. 2021)Ativos totais ano contra ano
+42%
CAGR ativos totais (2019–2023)CAGR ativos totais
+31,5%

Saúde financeira

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

Crescimento

Ativos totais ano contra ano (2020 vs. 2021)
+42%
CAGR ativos totais (2019–2023)
+31,5%

Capital circulante e liquidez

Ativo circulante líquido (2019)
£ 74.200
Ativo circulante líquido (2021)
£ 104.577
Ativo circulante líquido (2023)
£ 248.851
  1. –Stockport
  2. –TALENTBOX LTD

Estrutura de capital

Rácio de capital próprio (2019)
100%
Rácio de capital próprio (2020)
100%
Passivos / ativos totais (2020)
160,2%
Passivos / capital próprio (2020)
1,6×
Rácio de capital próprio (2021)
100%
Rácio de capital próprio (2023)
100%
Início