Cloud Nine Professional Services Limited CHRISTCHURCH


Founded in 2003, Cloud Nine Professional Services, classified under reg no. 04822973 is an active company. Currently registered at The Studio 3 Cranemoor Gardens BH23 5AW, Christchurch the company has been in the business for twenty one years. Its financial year was closed on 31st July and its latest financial statement was filed on Sunday 31st July 2022. Since Tuesday 7th June 2011 Cloud Nine Professional Services Limited is no longer carrying the name Turning Point Coaching.

Currently there are 2 directors in the the company, namely David R. and Susan H.. In addition one secretary - David R. - is with the firm. As of 1 November 2024, our data shows no information about any ex officers on these positions.

Cloud Nine Professional Services Limited Address / Contact

Office Address The Studio 3 Cranemoor Gardens
Office Address2 Highcliffe-on-sea
Town Christchurch
Post code BH23 5AW
Country of origin United Kingdom

Company Information / Profile

Registration Number 04822973
Date of Incorporation Mon, 7th Jul 2003
Industry specialised design activities
Industry Management consultancy activities other than financial management
End of financial Year 31st July
Company age 21 years old
Account next due date Tue, 30th Apr 2024 (185 days after)
Account last made up date Sun, 31st Jul 2022
Next confirmation statement due date Sun, 21st Jul 2024 (2024-07-21)
Last confirmation statement dated Fri, 7th Jul 2023

Company staff

David R.

Position: Director

Appointed: 07 July 2003

David R.

Position: Secretary

Appointed: 07 July 2003

Susan H.

Position: Director

Appointed: 07 July 2003

Qa Registrars Limited

Position: Corporate Nominee Secretary

Appointed: 07 July 2003

Resigned: 07 July 2003

Qa Nominees Limited

Position: Corporate Nominee Director

Appointed: 07 July 2003

Resigned: 07 July 2003

Company previous names

Turning Point Coaching June 7, 2011

Annual reports financial information

Profit & Loss
Accounts Information Date 2014-07-312015-07-312016-07-312017-07-312018-07-312019-07-312020-07-312021-07-312022-07-312023-07-31
Balance Sheet
Cash Bank On Hand  43 0462 8771 2673 2123 7184 3874 0625 669
Current Assets35 79734 88776 1709 01011 6636 13810 32310 69315 05616 411
Debtors8 1337 88033 1246 13310 3972 9266 6058 00310 99410 742
Net Assets Liabilities  2 679-302-18 228-28 612-31 835-36 421-49 692-49 233
Property Plant Equipment  5 7312 069 1 7459311 203  
Cash Bank In Hand27 66427 00743 046       
Intangible Fixed Assets2 8002 4002 000       
Net Assets Liabilities Including Pension Asset Liability-24 155-39 8792 679       
Tangible Fixed Assets11 8249 3925 731       
Reserves/Capital
Called Up Share Capital222       
Profit Loss Account Reserve-24 157-39 8812 677       
Other
Accumulated Amortisation Impairment Intangible Assets  2 0002 4002 8003 2003 6004 0004 0004 000
Accumulated Depreciation Impairment Property Plant Equipment  12 57616 23820 09421 12722 19123 33324 53624 536
Additions Other Than Through Business Combinations Property Plant Equipment    1 7872 7782501 414  
Average Number Employees During Period   2321111
Creditors  81 22212 74431 09237 29543 4899718311 496
Deferred Tax Asset Debtors    3 3705 8066 5627 73710 85010 742
Fixed Assets14 62411 7927 7313 6691 2002 5451 3311 203  
Increase From Amortisation Charge For Year Intangible Assets   400400400400400  
Increase From Depreciation Charge For Year Property Plant Equipment   3 6623 8561 0331 0641 1421 203 
Intangible Assets  2 0001 6001 200800400   
Intangible Assets Gross Cost  4 0004 0004 0004 0004 0004 0004 0004 000
Net Current Assets Liabilities-38 779-51 671-5 052-3 734-19 428-31 157-33 16611 37714 22514 915
Other Creditors  1   334334334 
Property Plant Equipment Gross Cost  18 30718 30720 09422 87223 12224 53624 53624 536
Provisions For Liabilities Balance Sheet Subtotal   237      
Taxation Social Security Payable  13 71875-439844712741211 189
Total Assets Less Current Liabilities  2 679-65-18 228  12 58014 22514 915
Trade Creditors Trade Payables  4 1037 4491 5462 289890363376307
Trade Debtors Trade Receivables  33 1246 1337 027-2 88043224144 
Capital Employed-24 155-39 8792 679       
Creditors Due Within One Year74 57686 55881 222       
Intangible Fixed Assets Aggregate Amortisation Impairment1 2001 6002 000       
Intangible Fixed Assets Amortisation Charged In Period 400400       
Intangible Fixed Assets Cost Or Valuation4 0004 0004 000       
Number Shares Allotted 22       
Par Value Share 11       
Share Capital Allotted Called Up Paid222       
Tangible Fixed Assets Additions 599        
Tangible Fixed Assets Cost Or Valuation17 70818 30718 307       
Tangible Fixed Assets Depreciation5 8848 91512 576       
Tangible Fixed Assets Depreciation Charged In Period 3 0313 661       

Company filings

Filing category
Accounts Address Annual return Capital Change of name Confirmation statement Incorporation Officers Resolution
Total exemption full accounts record for the accounting period up to Monday 31st July 2023
filed on: 23rd, April 2024
Free Download (6 pages)

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