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4front Car Sales Limited LONDON


4front Car Sales started in year 2002 as Private Limited Company with registration number 04366797. The 4front Car Sales company has been functioning successfully for twenty three years now and its status is active. The firm's office is based in London at 39-40 Skylines Village. Postal code: E14 9TS. Since 2002/07/16 4front Car Sales Limited is no longer carrying the name Medecon Designs.

The firm has one director. Gary B., appointed on 8 July 2002. There are currently no secretaries appointed. As of 6 July 2025, there were 2 ex secretaries - Mark B., Joseph A. and others listed below. There were no ex directors.

4front Car Sales Limited Address / Contact

Office Address 39-40 Skylines Village
Office Address2 Limeharbour
Town London
Post code E14 9TS
Country of origin United Kingdom

Company Information / Profile

Registration Number 04366797
Date of Incorporation Tue, 5th Feb 2002
Industry Sale of used cars and light motor vehicles
End of financial Year 30th April
Company age 23 years old
Account next due date Wed, 31st Jan 2024 (522 days after)
Account last made up date Sat, 30th Apr 2022
Next confirmation statement due date Tue, 13th Feb 2024 (2024-02-13)
Last confirmation statement dated Mon, 30th Jan 2023

Company staff

Gary B.

Position: Director

Appointed: 08 July 2002

Mark B.

Position: Secretary

Appointed: 10 January 2007

Resigned: 16 September 2010

Joseph A.

Position: Secretary

Appointed: 08 July 2002

Resigned: 10 January 2007

Temple Secretaries Limited

Position: Corporate Nominee Secretary

Appointed: 05 February 2002

Resigned: 08 July 2002

Company Directors Limited

Position: Corporate Nominee Director

Appointed: 05 February 2002

Resigned: 08 July 2002

People with significant control

The register of persons with significant control who own or control the company consists of 1 name. As we found, there is Gary B. The abovementioned PSC and has 75,01-100% shares.

Gary B.

Notified on 6 April 2016
Nature of control: 75,01-100% shares

Company previous names

Medecon Designs July 16, 2002

Annual reports financial information

Profit & Loss
Accounts Information Date 2019-04-302020-04-302021-04-302022-04-302023-04-302024-04-30
Balance Sheet
Cash Bank On Hand12 9014 3937 437215 364271 733726
Current Assets3 700 4663 565 8924 402 6476 310 1816 484 5946 603 819
Debtors53 85251 45253 967105 84874 88284 012
Net Assets Liabilities1 914 4411 974 5862 484 9593 463 0264 457 1594 875 124
Other Debtors29 84730 42731 660   
Property Plant Equipment186 847189 634167 797143 814121 738100 897
Total Inventories3 633 7133 510 0474 341 2435 988 9696 137 9796 519 081
Other
Audit Fees Expenses   9 3509 3509 350
Accrued Liabilities Deferred Income  11 75016 10016 10015 350
Accumulated Amortisation Impairment Intangible Assets 1 052 9991 052 9991 052 9991 052 9991 052 999
Accumulated Depreciation Impairment Property Plant Equipment326 647353 280379 302403 901427 414450 059
Additions Other Than Through Business Combinations Property Plant Equipment   6161 4371 804
Administration Support Average Number Employees   332
Administrative Expenses  1 036 5701 298 4391 174 010794 124
Amortisation Government Grants  -132 486-761  
Amounts Owed To Directors  229 6721 221 1991 396 9991 128 549
Average Number Employees During Period544 32
Bank Borrowings Overdrafts1 412 6761 439 5511 455 0331 232 3093 078292 382
Bank Overdrafts  237 85930 3123 078292 382
Cash Cash Equivalents Cash Flow Value  -230 422185 052268 655-291 656
Comprehensive Income Expense88 60960 145510 373978 066994 133417 965
Corporation Tax Payable25 44718 686124 718234 906245 971146 174
Cost Sales  19 083 12029 521 63722 809 53815 558 514
Creditors1 972 8731 780 9412 085 4862 990 9702 149 1741 829 593
Current Tax For Period  124 718234 906245 971146 174
Depreciation Expense Property Plant Equipment  26 02224 60023 51322 645
Depreciation Rate Used For Property Plant Equipment  15151515
Finished Goods  4 341 2435 988 9696 137 9796 519 081
Fixed Assets186 848189 635167 798143 815121 739100 898
Gain Loss In Cash Flows From Change In Accrued Items  1 1504 350 -750
Gain Loss In Cash Flows From Change In Creditors Trade Other Payables  27 97622 143200 570-239 888
Gain Loss In Cash Flows From Change In Debtors Trade Other Receivables  -2 515-51 88130 966-9 130
Gain Loss In Cash Flows From Change In Inventories  -831 196-1 647 726-149 010-381 102
Government Grant Income  132 486761  
Gross Profit Loss  1 539 1752 510 6502 414 1141 358 263
Income Taxes Paid Refund Classified As Operating Activities  18 686124 718234 906245 971
Increase Decrease In Cash Cash Equivalents Before Foreign Exchange Differences Changes In Consolidation  -96 933415 47483 603-560 311
Increase Decrease In Net Debt From Cash Flows   560 8761 109 800291 861
Increase From Depreciation Charge For Year Property Plant Equipment 26 63326 02224 60023 51322 645
Intangible Assets111111
Intangible Assets Gross Cost1 053 0001 053 0001 053 0001 053 0001 053 0001 053 000
Net Cash Flows From Used In Financing Activities  201 896977 111-1 026 197-268 450
Net Cash Flows From Used In Investing Activities  -4 185-616-1 437-1 804
Net Cash Flows From Used In Operating Activities  -294 644-561 0211 111 237-290 057
Net Cash Generated From Operations  -275 958-436 3031 346 143-44 086
Net Current Assets Liabilities1 727 5931 784 9512 317 1613 319 2114 335 4204 774 226
Net Debt Funds  1 677 2682 238 1441 128 3441 420 205
Operating Profit Loss  635 0911 212 9721 240 104564 139
Other Creditors97 34987 6131 058322266389
Other Operating Income Format1  132 486761  
Other Taxation Social Security Payable59 05229 434100 36497 83498 86790 711
Pension Costs Defined Contribution Plan  1 0601 5661 4051 835
Pension Other Post-employment Benefit Costs Other Pension Costs  1 0601 5661 4051 835
Prepayments Accrued Income  31 66059 84853 68260 812
Proceeds From Borrowings Classified As Financing Activities  69 410976 350-1 026 197-268 450
Proceeds From Government Grants Classified As Financing Activities  132 486761  
Profit Loss88 60960 145510 373978 066994 133417 965
Profit Loss Attributable To Ordinary Equity Holders Parent Entity Basic  510 373978 066994 133417 965
Profit Loss On Ordinary Activities Before Tax  635 0911 212 9721 240 104564 139
Property Plant Equipment Gross Cost513 494542 914547 099547 715549 152550 956
Purchase Property Plant Equipment  4 1856161 4371 804
Revenue From Sale Goods   32 032 28725 223 652 
Social Security Costs  2 9285 0851 864460
Staff Costs Employee Benefits Expense  88 084106 75498 08759 881
Tax Tax Credit On Profit Or Loss On Ordinary Activities  124 718234 906245 971146 174
Total Additions Including From Business Combinations Property Plant Equipment 29 4204 185   
Total Assets Less Current Liabilities1 914 4411 974 5862 484 9593 463 0264 457 1594 875 124
Total Operating Lease Payments  254 637308 885283 153234 000
Trade Creditors Trade Payables378 349205 657162 891188 300387 893156 038
Trade Debtors Trade Receivables24 00521 02522 30746 00021 20023 200
Turnover Revenue  20 622 29532 032 28725 223 65216 916 777
Wages Salaries  84 096100 10394 81857 586
Advances Credits Directors82 86175 767229 6721 221 1991 396 9991 128 549
Advances Credits Made In Period Directors252 200248 963373 0001 037 845175 800 
Advances Credits Repaid In Period Directors171 709256 057219 09546 318  

Company filings

Filing category
Accounts Address Annual return Change of name Confirmation statement Incorporation Mortgage Officers
Full accounts for the period ending 2024/04/30
filed on: 31st, January 2025
Free Download (26 pages)

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