ACTIVE FACILITIES MANAGEMENT LTD. are a long established Private Limited Company . They've been in business for 25 years. Their area of operation is the Other business support service activities n.e.c. sector, the SIC for which is 82990. Their registered office is situated in the WOODLEY area of READING.
Their legal country of registration is United Kingdom. Private Limited Companys are required to file accounts on an annual basis and their last set of accounts was made up until 31/05/2021.
ACTIVE FACILITIES MANAGEMENT LTD. are next due to file for year 2024 by the 28/02/2023
Their status at Companies House is Active which means they are most likely to be trading. Their unique company number is 03764475. Their legal form is a Private Limited Company
Accounts | 2021 | 2020 | 2019 | 2018 | 2017 |
---|---|---|---|---|---|
Cash | £0 | £1,793,729 | £1,224,919 | £866,604 | £792,083 |
Net Worth | £0 | £1,308,325 | £1,409,259 | £1,094,855 | £867,151 |
Current Assets | £0 | £2,172,735 | £2,225,364 | £1,869,105 | £2,051,206 |
Current Liabilities | £0 | £2,172,735 | £2,225,364 | £1,869,105 | £2,051,206 |
Number of Employees | 0 | 31 | 30 | 32 | 30 |
30-04-2024 |
Cash has increased from 2020 by 46.44%, the ratio of cash to net worth is 137.10% which indicates a strong cash position.
Net worth has changed by £-100,934 which is a reduction of -7.16% from 2020
The quick ratio of current assets to current liabilities at 1.00 represents a Reasonable asset position, always consider the absolute level of cash at £1,793,729 when looking at this ratio
The number of employees has increased by 1 since 2020
Cash has increased from 2019 by 41.35%, the ratio of cash to net worth is 86.92% which indicates a strong cash position..
Net worth has changed by £314,404 which is a increase of 28.72% from 2020
The quick ratio of current assets to current liabilities at 1.00 represents a Reasonable asset position, always consider the absolute level of cash at £1,224,919 when looking at this ratio
The number of employees has remained unchanged by 0 since 2019
Cash has increased from 2018 by 9.41%, the ratio of cash to net worth is 79.15% which indicates a strong cash position..
Net worth has changed by £227,704 which is a increase of 26.26% from 2020
The quick ratio of current assets to current liabilities at 1.00 represents a Reasonable asset position, always consider the absolute level of cash at £866,604 when looking at this ratio
The number of employees has increased by 2 since 2019
Name | Role | Date of Birth | Appointed | Resigned |
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is the longest serving director having been a member of the board of ACTIVE FACILITIES MANAGEMENT LTD. for 0 years
Entry Name | Office Address | Incorporation Date |
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ACTIVE FACILITIES MANAGEMENT LTD. | UNIT 4, HEADLEY PARK 10 HEADLEY ROAD EAST, WOODLEY, READING, BERKSHIRE, ENGLAND. RG5 4SW | 04/05/1999 |
Entry Name | Office Address | Incorporation Date |
---|---|---|
2 SCOOP DESIGNS LIMITED | 191 HURRICANE WAY, WOODLEY, READING, , ENGLAND. RG5 4UH | 21/08/2014 |
2020 PUBS LTD | 198 THE CHEQUERS 198-200 CROCKHAMWELL ROAD, , WOODLEY READING, BERKSHIRE, UNITED KINGDOM. RG5 3JH | 08/09/2020 |
3 2 CUSTOM LIMITED | 61-63 CROCKHAMWELL ROAD, WOODLEY, READING, BERKSHIRE, . RG5 3JP | 09/05/2019 |
3 WAY HEALTHCARE LIMITED | 11 HEADLEY ROAD, WOODLEY, READING, , . RG5 4JB | 23/09/2013 |
30/32 DUNBAR DRIVE FREEHOLD LIMITED | 30 DUNBAR DRIVE, WOODLEY, READING, BERKSHIRE, . RG5 4HA | 27/01/2011 |
360 MEDIA STUDIO LTD | 19 MASTER CLOSE, WOODLEY, READING, BERKSHIRE, , . RG5 4UB | 27/05/2005 |
365 OFFICE LTD | 295 HEADLEY ROAD EAST, , READING, , ENGLAND. RG5 4SE | 19/01/2021 |
3G CAPITAL LIMITED | ACCOUNTING WORX LTD 61-63 CROCKHAMWELL ROAD, WOODLEY, READING, , ENGLAND. RG5 3JP | 08/04/2015 |
3R DELUXE LTD | 58 MALVERN CLOSE, WOODLEY, READING, , ENGLAND. RG5 4HL | 18/11/2021 |
Type | Created | Registered | Personnel Entitled | Status |
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Company number 03764475 overview of filed records at companies house for ACTIVE FACILITIES MANAGEMENT LTD. brought to you free by Reporting Accounts
There are no related companies
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