Founded in 2010, Bb Legal, classified under reg no. 07301278 is an active company. Currently registered at Merchant House PR1 3BN, Preston the company has been in the business for fourteen years. Its financial year was closed on 30th April and its latest financial statement was filed on April 30, 2023.
At present there are 3 directors in the the company, namely Paul P., Catherine M. and Michael F.. In addition one secretary - Paul P. - is with the firm. As of 25 April 2024, there were 4 ex directors - Jamie P., Andrew R. and others listed below. There were no ex secretaries.
Office Address | Merchant House |
Office Address2 | 38-46 Avenham Street |
Town | Preston |
Post code | PR1 3BN |
Country of origin | United Kingdom |
Registration Number | 07301278 |
Date of Incorporation | Thu, 1st Jul 2010 |
Industry | Solicitors |
End of financial Year | 30th April |
Company age | 14 years old |
Account next due date | Fri, 31st Jan 2025 (281 days left) |
Account last made up date | Sun, 30th Apr 2023 |
Next confirmation statement due date | Mon, 15th Jul 2024 (2024-07-15) |
Last confirmation statement dated | Sat, 1st Jul 2023 |
The register of persons with significant control who own or control the company includes 2 names. As we identified, there is Mrf Legal Limited from Altrincham, England. This PSC is classified as "a private company limited by shares", has 75,01-100% voting rights. This PSC has 75,01-100% voting rights. The second one in the PSC register is Michael F. This PSC owns 50,01-75% shares and has 50,01-75% voting rights.
Mrf Legal Limited
5 Cambridge Road, Hale, Altrincham, WA15 9SY, England
Legal authority | England And Wales |
Legal form | Private Company Limited By Shares |
Notified on | 9 September 2022 |
Nature of control: |
75,01-100% voting rights right to appoint and remove directors |
Michael F.
Notified on | 6 April 2016 |
Ceased on | 9 September 2022 |
Nature of control: |
50,01-75% shares 50,01-75% voting rights right to appoint and remove directors |
Profit & Loss | |||||||
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Accounts Information Date | 2017-04-30 | 2018-04-30 | 2019-04-30 | 2020-04-30 | 2021-04-30 | 2022-04-30 | 2023-04-30 |
Balance Sheet | |||||||
Cash Bank On Hand | 29 265 | 96 274 | 18 213 | 399 957 | 95 582 | 129 068 | 438 449 |
Current Assets | 7 158 912 | 6 654 570 | 7 435 079 | 7 139 193 | 7 392 114 | 8 643 083 | 7 053 338 |
Debtors | 7 129 647 | 6 558 296 | 7 416 866 | 6 739 236 | 7 296 532 | 8 514 015 | 6 614 889 |
Net Assets Liabilities | 1 708 759 | 933 908 | 582 111 | 485 298 | 1 062 076 | 2 597 052 | 2 580 607 |
Other Debtors | 125 293 | 38 422 | 79 238 | 21 800 | 9 934 | 12 318 | 78 069 |
Property Plant Equipment | 312 450 | 239 587 | 211 507 | 187 370 | 146 528 | 209 587 | 191 763 |
Other | |||||||
Audit Fees Expenses | 19 300 | 12 000 | 12 500 | 13 125 | 16 100 | 18 200 | 16 500 |
Accrued Liabilities Deferred Income | 368 654 | 250 685 | 615 865 | 653 408 | 946 840 | 1 071 691 | 432 994 |
Accumulated Amortisation Impairment Intangible Assets | 3 178 216 | 3 936 922 | 4 695 627 | 5 454 331 | 5 454 331 | ||
Accumulated Depreciation Impairment Property Plant Equipment | 926 552 | 1 012 749 | 875 590 | 920 754 | 686 618 | 729 056 | 769 276 |
Additions Other Than Through Business Combinations Property Plant Equipment | 13 334 | 26 645 | 21 027 | 70 162 | 24 088 | ||
Administrative Expenses | 15 629 905 | 15 159 908 | 15 118 391 | 13 732 708 | 11 853 630 | 12 601 879 | 11 264 100 |
Amortisation Expense Intangible Assets | 758 707 | 758 706 | 758 705 | 758 704 | |||
Amortisation Impairment Expense Intangible Assets | 758 706 | 758 705 | 758 704 | ||||
Amounts Owed By Group Undertakings | 360 000 | ||||||
Amounts Recoverable On Contracts | 4 743 795 | 4 308 627 | 5 073 495 | 4 705 696 | 5 745 843 | 6 919 386 | 2 576 947 |
Average Number Employees During Period | 306 | 285 | 269 | 246 | 223 | 220 | 187 |
Bank Borrowings | 1 351 129 | 1 841 962 | 2 752 684 | 1 829 566 | 2 230 000 | 2 153 913 | 1 700 760 |
Bank Borrowings Overdrafts | 1 082 058 | 1 026 283 | 1 783 063 | 1 117 155 | 2 152 907 | 1 686 082 | 1 189 560 |
Banking Arrangements Classified As Cash Cash Equivalents | -477 377 | -197 639 | |||||
Bank Overdrafts | 526 156 | 477 377 | 197 639 | ||||
Capital Reduction Decrease In Equity | 515 886 | 1 440 | |||||
Cash Cash Equivalents Cash Flow Value | -496 891 | -381 103 | -179 426 | 399 957 | 95 582 | ||
Comprehensive Income Expense | 91 071 | 140 329 | |||||
Corporation Tax Payable | 509 291 | 110 868 | 103 867 | 110 795 | 338 988 | 471 927 | 88 693 |
Creditors | 1 516 181 | 1 357 908 | 2 183 063 | 1 874 252 | 2 552 907 | 2 086 082 | 1 439 560 |
Current Tax For Period | 305 932 | 107 037 | 100 037 | 106 966 | 323 314 | 463 308 | 73 830 |
Deferred Tax Asset Debtors | 1 440 | 2 945 | 28 866 | 5 622 | |||
Deferred Tax Expense Credit From Unrecognised Timing Difference From Prior Period | 169 | ||||||
Deferred Tax Expense Credit Relating To Origination Reversal Timing Differences | -25 647 | -3 657 | 2 731 | -4 236 | -25 921 | 23 243 | 30 960 |
Depreciation Expense Property Plant Equipment | 102 292 | 86 197 | 47 917 | 45 164 | 45 162 | ||
Depreciation Impairment Expense Property Plant Equipment | 86 197 | 47 917 | 45 164 | 45 162 | |||
Dividends Paid | 424 000 | 400 000 | 558 196 | 253 212 | 738 728 | 455 323 | 298 749 |
Dividends Paid Classified As Financing Activities | -424 000 | -400 000 | -558 196 | -253 212 | -738 728 | ||
Dividends Paid On Shares Final | 400 000 | 558 196 | 253 212 | 738 728 | 455 323 | 298 749 | |
Fixed Assets | 2 588 667 | 1 757 098 | 970 313 | 187 472 | 146 630 | 209 689 | 191 865 |
Further Item Cash Flow From Used In Financing Activities Component Net Cash Flows From Used In Financing Activities | 1 751 871 | 979 434 | 2 189 278 | 923 118 | |||
Further Item Creditors Component Total Creditors | 38 992 | 357 097 | |||||
Further Item Interest Expense Component Total Interest Expense | 204 800 | 155 218 | 119 915 | 97 840 | 77 241 | ||
Further Item Tax Increase Decrease Component Adjusting Items | 4 188 | 3 959 | 4 892 | 2 335 | -19 835 | 5 578 | 6 702 |
Future Minimum Lease Payments Under Non-cancellable Operating Leases | 1 818 396 | 1 009 496 | 1 234 223 | 917 598 | 657 611 | 875 915 | |
Gain Loss In Cash Flows From Change In Creditors Trade Other Payables | 305 087 | -15 257 | 485 206 | ||||
Gain Loss In Cash Flows From Change In Debtors Trade Other Receivables | 860 010 | -680 575 | 531 376 | ||||
Gain Loss On Disposals Property Plant Equipment | -6 808 | -65 843 | |||||
Government Grant Income | 205 568 | 525 042 | |||||
Impairment Loss Property Plant Equipment | 114 146 | ||||||
Impairment Loss Reversal On Investments | 1 | ||||||
Income Taxes Paid Refund Classified As Operating Activities | -360 | -462 934 | -85 083 | -100 038 | -91 292 | ||
Increase Decrease In Cash Cash Equivalents Before Foreign Exchange Differences Changes In Consolidation | -115 788 | -201 677 | -579 383 | 304 375 | |||
Increase Decrease In Current Tax From Adjustment For Prior Periods | 130 788 | -42 526 | -21 955 | -3 829 | 129 | ||
Increase From Amortisation Charge For Year Intangible Assets | 758 706 | 758 705 | 758 704 | ||||
Increase From Depreciation Charge For Year Property Plant Equipment | 86 197 | 47 917 | 45 164 | 45 162 | 41 912 | ||
Intangible Assets | 2 276 115 | 1 517 409 | 758 704 | ||||
Intangible Assets Gross Cost | 5 454 331 | 5 454 331 | 5 454 331 | 5 454 331 | 5 454 331 | ||
Interest Expense On Bank Overdrafts Bank Loans Similar Borrowings | 129 626 | 82 818 | 164 428 | 174 693 | 132 138 | ||
Interest Expense On Obligations Under Finance Leases Hire Purchase Contracts | 3 167 | ||||||
Interest Expense On Redeemable Preference Shares Classified As Debt | 6 900 | 34 680 | 35 495 | 38 000 | 29 440 | ||
Interest Income On Bank Deposits | 304 038 | 158 478 | 237 864 | 328 151 | 137 151 | 125 129 | 313 333 |
Interest Income On Financial Assets That Are Not Fair Value Through Profit Or Loss | 304 038 | 158 478 | 237 864 | 328 151 | 137 151 | ||
Interest Payable Similar Charges Finance Costs | 382 205 | 357 534 | 376 128 | 364 591 | 290 715 | 189 899 | 222 778 |
Interest Received Classified As Investing Activities | -304 038 | -158 478 | -237 864 | -328 151 | -137 151 | ||
Investments Fixed Assets | 102 | 102 | 102 | 102 | 102 | 102 | 102 |
Investments In Subsidiaries | 102 | 102 | 102 | 102 | 102 | 102 | |
Issue Equity Instruments | 146 | ||||||
Key Management Personnel Compensation Total | 472 388 | 454 686 | |||||
Net Cash Flows From Used In Financing Activities | 459 446 | -349 930 | 1 103 133 | 952 299 | |||
Net Cash Flows From Used In Investing Activities | -145 144 | -211 219 | -307 124 | -66 989 | |||
Net Cash Flows From Used In Operating Activities | -430 090 | 359 472 | -1 375 392 | -580 935 | |||
Net Current Assets Liabilities | 638 490 | 615 288 | 1 904 652 | 2 325 330 | 3 727 490 | 4 627 853 | 4 008 048 |
Net Finance Income Costs | 304 038 | 158 478 | 237 864 | 328 151 | 137 151 | ||
Net Interest Paid Received Classified As Operating Activities | -382 205 | -357 534 | -376 128 | -364 591 | -290 715 | ||
Number Shares Issued Fully Paid | 36 | ||||||
Operating Profit Loss | 449 524 | 400 239 | 425 476 | 295 569 | 1 762 634 | ||
Other Creditors | 98 992 | 38 992 | 2 437 231 | 1 599 459 | 1 495 905 | 1 189 812 | 500 256 |
Other Disposals Decrease In Depreciation Impairment Property Plant Equipment | 185 076 | 279 298 | 1 692 | ||||
Other Disposals Property Plant Equipment | 191 884 | 345 140 | 1 692 | ||||
Other Interest Receivable Similar Income Finance Income | 304 038 | 158 478 | 237 864 | 328 151 | 137 151 | 125 129 | 313 333 |
Other Operating Income Format1 | 455 568 | 525 042 | |||||
Other Provisions Balance Sheet Subtotal | 108 500 | 153 252 | 259 137 | 154 408 | 154 408 | ||
Other Remaining Borrowings | 335 131 | 586 307 | 183 711 | 256 908 | 400 000 | 400 000 | 914 399 |
Other Taxation Social Security Payable | 584 915 | 575 066 | 545 937 | 973 412 | 545 526 | 535 739 | 367 102 |
Par Value Share | 1 | ||||||
Payments To Redeem Own Shares | -515 180 | ||||||
Pension Other Post-employment Benefit Costs Other Pension Costs | 137 217 | 122 639 | 195 471 | 261 053 | 219 446 | 225 824 | 217 988 |
Percentage Class Share Held In Subsidiary | 100 | 100 | 100 | ||||
Prepayments Accrued Income | 348 343 | 452 087 | 717 766 | 266 615 | 303 597 | 308 975 | 262 034 |
Proceeds From Borrowings Classified As Financing Activities | -753 612 | ||||||
Proceeds From Issuing Shares | -400 000 | ||||||
Profit Loss | 91 071 | 140 329 | 206 399 | 156 399 | 1 315 506 | 282 304 | |
Profit Loss On Ordinary Activities Before Tax | 371 356 | 201 183 | 287 212 | 259 129 | 1 609 070 | 2 476 850 | 387 094 |
Property Plant Equipment Gross Cost | 1 239 002 | 1 252 336 | 1 087 097 | 1 108 124 | 833 146 | 938 643 | 961 039 |
Provisions | 2 217 | 80 570 | 109 791 | ||||
Provisions For Liabilities Balance Sheet Subtotal | 2 217 | 80 570 | 109 791 | ||||
Purchase Property Plant Equipment | -18 964 | -13 334 | -26 645 | -21 027 | -70 162 | ||
Redemption Shares Decrease In Equity | -560 | ||||||
Social Security Costs | 7 370 | 45 847 | 47 580 | 44 508 | 40 205 | ||
Staff Costs Employee Benefits Expense | 7 692 789 | 7 663 773 | 7 809 841 | 7 821 333 | 7 399 551 | 7 825 741 | 6 810 893 |
Taxation Including Deferred Taxation Balance Sheet Subtotal | 2 217 | 1 291 | -2 945 | 25 338 | |||
Tax Decrease Increase From Effect Revenue Exempt From Taxation | 34 | ||||||
Tax Expense Credit Applicable Tax Rate | 38 225 | 54 570 | 49 235 | 305 723 | 470 602 | 75 457 | |
Tax Increase Decrease From Effect Different U K Tax Rates On Some Earnings | -222 | ||||||
Tax Increase Decrease From Effect Expenses Not Deductible In Determining Taxable Profit Or Loss | 71 565 | 61 027 | 63 378 | 70 147 | 16 229 | 13 942 | 22 599 |
Tax Tax Credit On Profit Or Loss On Ordinary Activities | 280 285 | 60 854 | 80 813 | 102 730 | 293 564 | 486 551 | 104 790 |
Total Assets Less Current Liabilities | 3 227 157 | 2 372 386 | 2 874 965 | 2 512 802 | 3 874 120 | 4 837 542 | 4 199 913 |
Total Borrowings | 1 417 189 | 2 905 646 | 3 534 034 | 2 486 474 | 2 630 000 | 2 553 913 | 2 865 159 |
Total Current Tax Expense Credit | 305 932 | 64 511 | 78 082 | 106 966 | 319 485 | ||
Total Increase Decrease In Provisions | -27 930 | -44 752 | -105 885 | ||||
Total Operating Lease Payments | 390 577 | 448 680 | 375 977 | 345 368 | 203 398 | ||
Trade Creditors Trade Payables | 524 313 | 575 155 | 476 556 | 507 470 | 260 272 | 278 230 | 230 646 |
Trade Debtors Trade Receivables | 1 912 216 | 1 757 720 | 1 546 367 | 1 742 180 | 1 208 292 | 1 267 714 | 629 347 |
Turnover Revenue | 16 079 429 | 15 560 147 | 15 543 867 | 13 572 709 | 13 091 222 | ||
Wages Salaries | 7 548 202 | 7 495 287 | 7 566 790 | 7 515 772 | 7 139 900 | 6 926 474 | 6 153 807 |
Company Contributions To Defined Benefit Plans Directors | 628 | 3 273 | 4 631 | 7 003 | 6 607 | ||
Director Remuneration | 406 835 | 373 002 | 342 603 | 418 058 | 305 820 | ||
Director Remuneration Benefits Including Payments To Third Parties | 429 814 | 411 466 | 380 005 | 349 210 | 425 893 | 313 564 |
Type | Category | Free download | |
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AA |
Full accounts data made up to April 30, 2023 filed on: 22nd, September 2023 |
accounts | Free Download (32 pages) |
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