Founded in 2017, Dynamic Uk Contractors, classified under reg no. 10701072 is an active company. Currently registered at 8 Stuart Mantle Way DA8 3LQ, Erith the company has been in the business for seven years. Its financial year was closed on Sun, 31st Mar and its latest financial statement was filed on March 31, 2023. Since April 20, 2017 Dynamic Uk Contractors Ltd is no longer carrying the name Dynamic Constraction Services.
The company has one director. Vasile A., appointed on 19 April 2017. There are currently no secretaries appointed. As of 27 April 2024, there was 1 ex director - Lilia S.. There were no ex secretaries.
Office Address | 8 Stuart Mantle Way |
Town | Erith |
Post code | DA8 3LQ |
Country of origin | United Kingdom |
Registration Number | 10701072 |
Date of Incorporation | Fri, 31st Mar 2017 |
Industry | Development of building projects |
End of financial Year | 31st March |
Company age | 7 years old |
Account next due date | Tue, 31st Dec 2024 (248 days left) |
Account last made up date | Fri, 31st Mar 2023 |
Next confirmation statement due date | Fri, 2nd Feb 2024 (2024-02-02) |
Last confirmation statement dated | Thu, 19th Jan 2023 |
The register of persons with significant control who own or control the company includes 2 names. As we found, there is Vasile A. The abovementioned PSC and has 25-50% shares. The second one in the PSC register is Lilia S. This PSC owns 75,01-100% shares.
Vasile A.
Notified on | 19 April 2017 |
Nature of control: |
25-50% shares |
Lilia S.
Notified on | 31 March 2017 |
Ceased on | 19 April 2017 |
Nature of control: |
75,01-100% shares |
Dynamic Constraction Services | April 20, 2017 |
Profit & Loss | ||||||
---|---|---|---|---|---|---|
Accounts Information Date | 2018-03-31 | 2019-03-31 | 2020-03-31 | 2021-03-31 | 2022-03-31 | 2023-03-31 |
Balance Sheet | ||||||
Cash Bank On Hand | 8 128 | 660 | 23 853 | 15 726 | 32 113 | 31 498 |
Current Assets | 47 137 | 100 662 | 180 430 | 290 112 | 267 931 | 224 634 |
Debtors | 39 009 | 100 002 | 146 219 | 274 386 | 169 820 | 193 136 |
Net Assets Liabilities | -62 978 | -62 675 | 78 972 | 121 456 | 133 129 | 127 683 |
Other Debtors | 17 625 | 72 067 | 73 389 | 753 | 54 388 | |
Property Plant Equipment | 22 818 | 20 133 | 43 569 | 114 808 | ||
Other | ||||||
Description Principal Activities | 41 100 | 41 100 | 41 100 | 41 100 | ||
Accumulated Depreciation Impairment Property Plant Equipment | 1 342 | 4 027 | 7 586 | 25 940 | ||
Administrative Expenses | 65 421 | 166 738 | ||||
Average Number Employees During Period | 1 | 1 | ||||
Bank Borrowings Overdrafts | 24 920 | 74 833 | 117 834 | |||
Cost Sales | 638 563 | 1 409 110 | ||||
Creditors | 110 115 | 163 337 | 94 102 | 119 458 | 105 296 | 93 925 |
Fixed Assets | 22 818 | 20 133 | 43 569 | 114 808 | ||
Gross Profit Loss | 2 433 | 179 300 | ||||
Increase From Depreciation Charge For Year Property Plant Equipment | 1 342 | 3 559 | 18 354 | |||
Interest Payable Similar Charges Finance Costs | 12 350 | |||||
Net Current Assets Liabilities | -62 978 | -62 675 | 75 970 | 165 653 | 30 639 | 130 709 |
Operating Profit Loss | -62 988 | 12 562 | ||||
Other Creditors | 94 | 24 920 | ||||
Other Interest Receivable Similar Income Finance Income | 91 | |||||
Prepayments Accrued Income | 2 452 | 4 934 | 21 502 | |||
Prepayments Accrued Income Not Expressed Within Current Asset Subtotal | 2 452 | 1 751 | ||||
Profit Loss | -62 988 | 303 | ||||
Profit Loss On Ordinary Activities Before Tax | -62 988 | 303 | ||||
Property Plant Equipment Gross Cost | 24 160 | 24 160 | 51 155 | 140 748 | ||
Provisions For Liabilities Balance Sheet Subtotal | 5 002 | 5 002 | ||||
Taxation Social Security Payable | 110 021 | 137 798 | 91 375 | 56 153 | 32 979 | |
Total Additions Including From Business Combinations Property Plant Equipment | 24 160 | 26 995 | 89 593 | |||
Total Assets | 205 700 | 310 244 | ||||
Total Assets Less Current Liabilities | -62 978 | -62 676 | 98 788 | 185 786 | 74 208 | 245 517 |
Total Liabilities | 205 700 | 310 244 | ||||
Trade Creditors Trade Payables | 619 | 2 727 | 40 308 | 60 946 | ||
Trade Debtors Trade Receivables | 21 384 | 27 935 | 70 378 | 164 133 | 117 246 | |
Turnover Revenue | 640 996 | 1 588 410 |
Type | Category | Free download | |
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CS01 |
Confirmation statement with no updates January 19, 2024 filed on: 29th, January 2024 |
confirmation statement | Free Download (3 pages) |
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