Founded in 2015, Kaill Consultancy & Training, classified under reg no. 09831698 is an active company. Currently registered at 88 Great Meadow Way HP19 7GY, Aylesbury the company has been in the business for nine years. Its financial year was closed on April 1 and its latest financial statement was filed on Sat, 1st Apr 2023. Since Wed, 4th Aug 2021 Kaill Consultancy & Training Ltd is no longer carrying the name Kaill Training.
The firm has one director. David G., appointed on 19 October 2015. There are currently no secretaries appointed. As of 30 April 2024, there was 1 ex director - Michele G.. There were no ex secretaries.
Office Address | 88 Great Meadow Way |
Town | Aylesbury |
Post code | HP19 7GY |
Country of origin | United Kingdom |
Registration Number | 09831698 |
Date of Incorporation | Mon, 19th Oct 2015 |
Industry | Other education not elsewhere classified |
End of financial Year | 1st April |
Company age | 9 years old |
Account next due date | Wed, 1st Jan 2025 (246 days left) |
Account last made up date | Sat, 1st Apr 2023 |
Next confirmation statement due date | Mon, 2nd Sep 2024 (2024-09-02) |
Last confirmation statement dated | Sat, 19th Aug 2023 |
The register of PSCs that own or control the company is made up of 2 names. As we found, there is David G. The abovementioned PSC and has 50,01-75% shares. Another one in the PSC register is Michele G. This PSC owns 25-50% shares.
David G.
Notified on | 6 April 2016 |
Nature of control: |
50,01-75% shares |
Michele G.
Notified on | 6 April 2016 |
Ceased on | 15 September 2020 |
Nature of control: |
25-50% shares |
Kaill Training | August 4, 2021 |
Profit & Loss | |||||||||
---|---|---|---|---|---|---|---|---|---|
Accounts Information Date | 2016-03-31 | 2016-04-01 | 2017-04-01 | 2018-03-31 | 2019-04-02 | 2020-03-31 | 2021-04-01 | 2022-04-01 | 2023-04-01 |
Net Worth | -3 811 | ||||||||
Balance Sheet | |||||||||
Current Assets | 113 | 113 | 1 | 172 | 564 | 1 170 | 1 237 | 921 | 864 |
Net Assets Liabilities | -3 811 | 779 | 328 | -1 727 | -4 486 | -11 647 | -10 685 | -23 484 | |
Cash Bank In Hand | 113 | ||||||||
Net Assets Liabilities Including Pension Asset Liability | -3 811 | ||||||||
Tangible Fixed Assets | 1 354 | ||||||||
Reserves/Capital | |||||||||
Called Up Share Capital | 100 | ||||||||
Profit Loss Account Reserve | -3 911 | ||||||||
Shareholder Funds | -3 811 | ||||||||
Other | |||||||||
Average Number Employees During Period | 2 | 1 | 1 | 1 | |||||
Creditors | 5 278 | 2 532 | 1 250 | 2 141 | 5 443 | 7 449 | 7 449 | 23 627 | |
Fixed Assets | 1 354 | 1 354 | 1 752 | 750 | 173 | 110 | 1 666 | 1 666 | 3 089 |
Net Current Assets Liabilities | -5 165 | -5 165 | 1 | 172 | -1 577 | -4 273 | -6 528 | -6 528 | -22 763 |
Profit Loss | -176 | -749 | -2 586 | 2 237 | 1 579 | ||||
Raw Materials Consumables Used | 1 194 | 730 | 864 | 1 666 | 1 666 | ||||
Staff Costs Employee Benefits Expense | 12 084 | 15 324 | 24 726 | 29 515 | 29 515 | ||||
Total Assets Less Current Liabilities | -3 811 | -3 811 | 1 753 | 922 | -1 404 | -4 163 | -6 635 | -4 862 | -19 674 |
Turnover Revenue | 13 102 | 15 305 | 23 004 | 27 760 | 27 760 | ||||
Creditors Due Within One Year | 5 278 | ||||||||
Tangible Fixed Assets Additions | 1 438 | ||||||||
Tangible Fixed Assets Cost Or Valuation | 1 438 | ||||||||
Tangible Fixed Assets Depreciation | 84 | ||||||||
Tangible Fixed Assets Depreciation Charged In Period | 84 |
Type | Category | Free download | |
---|---|---|---|
CS01 |
Confirmation statement with no updates Sat, 19th Aug 2023 filed on: 19th, August 2023 |
confirmation statement | Free Download (3 pages) |
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