Edron Engineering Services Limited CAMBRIDGE


Founded in 2004, Edron Engineering Services, classified under reg no. 05131381 is an active company. Currently registered at 106 Cottenham Road CB24 9ET, Cambridge the company has been in the business for 20 years. Its financial year was closed on Fri, 31st May and its latest financial statement was filed on Tuesday 31st May 2022.

Currently there are 2 directors in the the company, namely Jacqueline J. and Edward J.. In addition one secretary - Jacqueline J. - is with the firm. Currenlty, the company lists one former director, whose name is Ron J. and who left the the company on 31 May 2006. In addition, there is one former secretary - Ron J. who worked with the the company until 31 May 2006.

Edron Engineering Services Limited Address / Contact

Office Address 106 Cottenham Road
Office Address2 Histon
Town Cambridge
Post code CB24 9ET
Country of origin United Kingdom

Company Information / Profile

Registration Number 05131381
Date of Incorporation Tue, 18th May 2004
Industry Manufacture of other fabricated metal products n.e.c.
End of financial Year 31st May
Company age 20 years old
Account next due date Thu, 29th Feb 2024 (74 days after)
Account last made up date Tue, 31st May 2022
Next confirmation statement due date Sat, 1st Jun 2024 (2024-06-01)
Last confirmation statement dated Thu, 18th May 2023

Company staff

Jacqueline J.

Position: Director

Appointed: 01 June 2006

Jacqueline J.

Position: Secretary

Appointed: 01 June 2006

Edward J.

Position: Director

Appointed: 18 May 2004

Ron J.

Position: Director

Appointed: 18 May 2004

Resigned: 31 May 2006

Paramount Company Searches Limited

Position: Corporate Nominee Secretary

Appointed: 18 May 2004

Resigned: 18 May 2004

Ron J.

Position: Secretary

Appointed: 18 May 2004

Resigned: 31 May 2006

Paramount Properties (uk) Limited

Position: Corporate Nominee Director

Appointed: 18 May 2004

Resigned: 18 May 2004

Annual reports financial information

Profit & Loss
Accounts Information Date 2014-05-312015-05-312016-05-312017-05-312018-05-312019-05-312020-05-312021-05-312022-05-312023-05-31
Net Worth7 34659 06859 457       
Balance Sheet
Cash Bank On Hand  37 87236 27358 10644 133118 0309 93529 8235 127
Current Assets55 733163 386122 288135 789165 691114 957164 970158 56182 98975 328
Debtors44 929106 86683 41698 516106 58570 16946 253147 85752 27369 308
Other Debtors  12 73521 42921 4294 511 40 000  
Property Plant Equipment  10 2109 3778 75427 67322 47546 57636 655 
Total Inventories  1 0001 0001 000655687769893893
Net Assets Liabilities     85 04687 02780 19490 216 
Cash Bank In Hand7 80455 52037 872       
Net Assets Liabilities Including Pension Asset Liability7 34659 06859 457       
Stocks Inventory3 0001 0001 000       
Tangible Fixed Assets14 06310 76110 210       
Reserves/Capital
Called Up Share Capital444       
Profit Loss Account Reserve7 34259 06459 453       
Shareholder Funds7 34659 06859 457       
Other
Accrued Liabilities   1 2751 5001 5001 5001 7502 0002 300
Accumulated Depreciation Impairment Property Plant Equipment  70 02870 86171 48478 41683 61496 846106 76741 244
Average Number Employees During Period   7777765
Bank Borrowings Overdrafts  21 52530 75131 45715 13919 84316 860 13 584
Corporation Tax Payable   31 22534 7438 22912 85219 5117 609-5 735
Creditors  73 04195 26597 67457 58450 00050 00029 42866 572
Increase From Depreciation Charge For Year Property Plant Equipment   8336236 9325 19813 2329 92123 306
Net Current Assets Liabilities6 91254 15539 44338 40768 01757 373114 55283 61853 5618 756
Other Creditors  2 1952795 279 1 288   
Other Remaining Borrowings     12 19250 00050 0007 768 
Other Taxation Social Security Payable  31 25233 3423 5552 5191 4872 1713 980706
Property Plant Equipment Gross Cost  80 23880 23880 238106 089106 089143 4226 881133 719
Recoverable Value-added Tax   8 42518 25214 03214 29613 4053396 693
Total Additions Including From Business Combinations Property Plant Equipment     25 851 37 333 54 990
Total Assets Less Current Liabilities86 975130 916115 65347 78476 77185 046137 027130 19490 21685 555
Trade Creditors Trade Payables  18 06931 56113 15118 0056 08125 3368 07117 212
Trade Debtors Trade Receivables  70 68166 54566 90451 62631 95794 45251 93462 615
Creditors Due After One Year79 62971 84856 196       
Creditors Due Within One Year48 821109 23182 845       
Fixed Assets80 06376 76176 210       
Investments Fixed Assets66 00066 00066 000       
Tangible Fixed Assets Additions 2 369558       
Tangible Fixed Assets Cost Or Valuation77 31179 68080 238       
Tangible Fixed Assets Depreciation63 24868 91970 028       
Tangible Fixed Assets Depreciation Charged In Period 5 6711 109       

Company filings

Filing category
Accounts Address Annual return Capital Confirmation statement Incorporation Mortgage Officers
Total exemption full accounts record for the accounting period up to Wednesday 31st May 2023
filed on: 14th, November 2023
Free Download (8 pages)

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