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Ppc Promotion Ltd COVENTRY


Ppc Promotion Ltd is a private limited company that can be found at 41 Hillfray Drive, Coventry CV3 4FW. Its total net worth is estimated to be roughly 3246 pounds, while the fixed assets belonging to the company amount to 1111 pounds. Incorporated on 2009-02-25, this 15-year-old company is run by 2 directors and 1 secretary.
Director Alison M., appointed on 25 February 2009. Director Robert M., appointed on 25 February 2009.
Moving on to secretaries, we can mention: Alison M., appointed on 25 February 2009.
The company is officially classified as "media representation services" (Standard Industrial Classification code: 73120). According to CH information there was a name change on 2011-07-22 and their previous name was Adwords-Secrets.co.uk Limited.
The last confirmation statement was sent on 2023-02-28 and the date for the next filing is 2024-03-14. Additionally, the accounts were filed on 28 February 2023 and the next filing is due on 30 November 2024.

Ppc Promotion Ltd Address / Contact

Office Address 41 Hillfray Drive
Town Coventry
Post code CV3 4FW
Country of origin United Kingdom

Company Information / Profile

Registration Number 06829291
Date of Incorporation Wed, 25th Feb 2009
Industry Media representation services
End of financial Year 28th February
Company age 15 years old
Account next due date Sat, 30th Nov 2024 (182 days left)
Account last made up date Tue, 28th Feb 2023
Next confirmation statement due date Thu, 14th Mar 2024 (2024-03-14)
Last confirmation statement dated Tue, 28th Feb 2023

Company staff

Alison M.

Position: Director

Appointed: 25 February 2009

Alison M.

Position: Secretary

Appointed: 25 February 2009

Robert M.

Position: Director

Appointed: 25 February 2009

People with significant control

The register of PSCs who own or control the company includes 1 name. As BizStats found, there is Robert M. This PSC and has 50,01-75% shares.

Robert M.

Notified on 7 January 2017
Nature of control: 50,01-75% shares

Company previous names

Adwords-secrets..uk July 22, 2011

Annual reports financial information

Profit & Loss
Accounts Information Date 2011-02-282012-02-282013-02-282014-02-282015-02-282016-02-292017-02-282018-02-282019-02-282020-02-292021-02-282022-02-282023-02-28
Net Worth3 2466 1184 5123 6923 5143 4384 990      
Balance Sheet
Cash Bank On Hand           102464
Current Assets2 1353 5422 5801 8431 6766371 932250492 0502 907102464
Net Assets Liabilities      3 4271 5142 8664 1005 8143 300564
Cash Bank In Hand1 165642398361         
Debtors9702 9002 1821 482         
Net Assets Liabilities Including Pension Asset Liability3 2466 1184 5123 6923 5143 4384 990      
Tangible Fixed Assets1 1112 5761 9321 749         
Reserves/Capital
Called Up Share Capital100100100100         
Profit Loss Account Reserve962 9681 362463         
Shareholder Funds3 2466 1184 5123 6923 5143 4384 990      
Other
Administrative Expenses           14 29112 160
Average Number Employees During Period         1111
Called Up Share Capital Not Paid Not Expressed As Current Asset   100100100100100100100100  
Creditors      1921 6821 782200   
Depreciation Amortisation Impairment Expense      406304681681494773 
Fixed Assets1 1112 5761 9321 7491 7381 4191 2189141 3381 7832 807100100
Gross Profit Loss           12 93313 290
Intangible Assets           100100
Intangible Assets Gross Cost           100100
Interest Payable Similar Charges Finance Costs           14 291 
Net Current Assets Liabilities2 1353 5422 5801 8431 7761 9193 8645001 4282 2172 9073 300464
Operating Profit Loss           -1 3581 130
Other Operating Expenses Format2      19 06819 73214 98611 200 596 
Prepayments Accrued Income Not Expressed Within Current Asset Subtotal     1 2821 9321 9321 723367   
Profit Loss      676-8117835202 2241 1261 130
Profit Loss On Ordinary Activities Before Tax           -15 6491 130
Raw Materials Consumables Used        2 5182 699182238 
Staff Costs Employee Benefits Expense          11 00011 200 
Total Assets Less Current Liabilities3 2466 1184 5123 6923 5143 4385 1821 5141 4284 1005 8143 300564
Turnover Revenue      20 15019 22516 45015 10013 90013 933 
Share Premium Account3 0503 0503 050          
Tangible Fixed Assets Additions 2 325 400         
Tangible Fixed Assets Cost Or Valuation1 7873 4361 9322 332         
Tangible Fixed Assets Depreciation6768601 504583         
Tangible Fixed Assets Depreciation Charge For Period 860           
Depreciation Other Amounts Written Off Tangible Intangible Fixed Assets   583631        
Number Shares Allotted  100100         
Other Operating Charges Format2   17 71517 027        
Par Value Share  11         
Profit Loss For Period   -899-288        
Provisions For Liabilities Charges      192      
Tangible Fixed Assets Depreciation Charged In Period  644583         
Revaluation Reserve  3 0503 029         
Share Capital Allotted Called Up Paid  100100         
Turnover Gross Operating Revenue   17 39917 370        

Company filings

Filing category
Accounts Annual return Change of name Confirmation statement Incorporation Officers
Confirmation statement with no updates 28th February 2023
filed on: 24th, March 2023
Free Download (3 pages)

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