Hopeflow Services Ltd FRINTON-ON-SEA


Hopeflow Services Ltd is a private limited company situated at 12 Halstead Road, Kirby Cross, Frinton-On-Sea CO13 0LW. Its net worth is valued to be 0 pounds, and the fixed assets that belong to the company amount to 0 pounds. Incorporated on 2021-07-28, this 2-year-old company is run by 2 directors.
Director Kelly D., appointed on 13 August 2021. Director Jack H., appointed on 28 July 2021.
The company is categorised as "construction of roads and motorways" (SIC: 42110).
The latest confirmation statement was filed on 2023-07-27 and the date for the following filing is 2024-08-10. Furthermore, the statutory accounts were filed on 31 July 2022 and the next filing is due on 30 April 2024.

Hopeflow Services Ltd Address / Contact

Office Address 12 Halstead Road
Office Address2 Kirby Cross
Town Frinton-on-sea
Post code CO13 0LW
Country of origin United Kingdom

Company Information / Profile

Registration Number 13536266
Date of Incorporation Wed, 28th Jul 2021
Industry Construction of roads and motorways
End of financial Year 31st July
Company age 3 years old
Account next due date Tue, 30th Apr 2024 (35 days after)
Account last made up date Sun, 31st Jul 2022
Next confirmation statement due date Sat, 10th Aug 2024 (2024-08-10)
Last confirmation statement dated Thu, 27th Jul 2023

Company staff

Kelly D.

Position: Director

Appointed: 13 August 2021

Jack H.

Position: Director

Appointed: 28 July 2021

People with significant control

The list of persons with significant control that own or have control over the company includes 2 names. As BizStats identified, there is Kelly D. The abovementioned PSC has 25-50% voting rights and has 25-50% shares. Another entity in the PSC register is Jack H. This PSC owns 75,01-100% shares and has 75,01-100% voting rights.

Kelly D.

Notified on 22 September 2023
Nature of control: 25-50% voting rights
25-50% shares

Jack H.

Notified on 28 July 2021
Nature of control: 75,01-100% shares
75,01-100% voting rights
right to appoint and remove directors

Annual reports financial information

Profit & Loss
Accounts Information Date 2022-07-312023-07-31
Balance Sheet
Cash Bank On Hand6 4117 726
Current Assets9 7338 362
Debtors3 322636
Net Assets Liabilities9 7591 072
Other Debtors272504
Property Plant Equipment25 30119 602
Other
Description Principal Activities42 11042 110
Accumulated Depreciation Impairment Property Plant Equipment6 67713 034
Average Number Employees During Period12
Creditors25 27526 892
Finance Lease Liabilities Present Value Total20 24216 422
Fixed Assets25 30119 602
Increase From Depreciation Charge For Year Property Plant Equipment6 6776 357
Net Current Assets Liabilities-15 542-18 530
Other Creditors4 5116 520
Prepayments Accrued Income 132
Property Plant Equipment Gross Cost31 97832 636
Taxation Social Security Payable 3 693
Total Additions Including From Business Combinations Property Plant Equipment31 978658
Total Assets Less Current Liabilities9 7591 072
Trade Creditors Trade Payables522257
Trade Debtors Trade Receivables3 050 

Company filings

Filing category
Accounts Capital Confirmation statement Incorporation Officers Persons with significant control
Total exemption full accounts record for the accounting period up to Monday 31st July 2023
filed on: 15th, November 2023
Free Download (8 pages)

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