Founded in 2002, Loans 2 Go, classified under reg no. 04519020 is an active company. Currently registered at Bridge Studios SW15 2NN, Putney the company has been in the business for twenty two years. Its financial year was closed on Mon, 30th Dec and its latest financial statement was filed on 2022-12-30.
The company has 7 directors, namely Liam H., Paul T. and Marieta K. and others. Of them, Matthew C. has been with the company the longest, being appointed on 30 September 2013 and Liam H. and Paul T. have been with the company for the least time - from 18 January 2023. At the moment there are several former directors listed by the company. In addition, the company lists several former secretaries. The full list of both former directors and former secretaries might be found in the box below.
Office Address | Bridge Studios |
Office Address2 | 34a Deodar Road |
Town | Putney |
Post code | SW15 2NN |
Country of origin | United Kingdom |
Registration Number | 04519020 |
Date of Incorporation | Tue, 27th Aug 2002 |
Industry | Credit granting by non-deposit taking finance houses and other specialist consumer credit grantors |
End of financial Year | 30th December |
Company age | 22 years old |
Account next due date | Mon, 30th Sep 2024 (153 days left) |
Account last made up date | Fri, 30th Dec 2022 |
Next confirmation statement due date | Mon, 9th Sep 2024 (2024-09-09) |
Last confirmation statement dated | Sat, 26th Aug 2023 |
The list of PSCs who own or control the company consists of 1 name. As we identified, there is Money In Minutes Limited from London, England. The abovementioned PSC is categorised as "a limited company", has 75,01-100% voting rights and has 75,01-100% shares. The abovementioned PSC has 75,01-100% voting rights and has 75,01-100% shares.
Money In Minutes Limited
34a Deodar Road, London, SW15 2NN, England
Legal authority | Companies Act 2006 |
Legal form | Limited Company |
Notified on | 6 April 2016 |
Nature of control: |
75,01-100% shares 75,01-100% voting rights |
Profit & Loss | ||
---|---|---|
Accounts Information Date | 2021-12-30 | 2022-12-30 |
Balance Sheet | ||
Cash Bank On Hand | 3 026 732 | 6 692 276 |
Current Assets | 34 980 594 | 42 291 738 |
Debtors | 31 953 862 | 35 599 462 |
Net Assets Liabilities | 22 775 639 | 25 084 855 |
Other Debtors | 119 710 | 69 026 |
Property Plant Equipment | 581 147 | 317 576 |
Other | ||
Audit Fees Expenses | 18 500 | |
Accrued Liabilities Deferred Income | 1 010 853 | 618 581 |
Accumulated Amortisation Impairment Intangible Assets | 1 095 852 | 1 115 817 |
Accumulated Depreciation Impairment Property Plant Equipment | 124 214 | 162 756 |
Additions Other Than Through Business Combinations Property Plant Equipment | 67 670 | |
Administrative Expenses | 22 162 718 | 22 561 691 |
Average Number Employees During Period | 112 | 114 |
Corporation Tax Payable | 417 146 | 864 669 |
Creditors | 12 990 078 | 15 022 908 |
Current Tax For Period | 417 146 | 864 669 |
Deferred Tax Asset Debtors | 441 042 | |
Deferred Tax Expense Credit From Unrecognised Tax Loss Or Credit | -538 896 | 39 151 |
Deferred Tax Expense Credit Relating To Origination Reversal Timing Differences | -441 042 | 454 747 |
Dividends Paid | 3 000 000 | |
Dividends Paid On Shares Interim | 3 000 000 | |
Fixed Assets | 785 123 | 501 587 |
Gain Loss Due To Foreign Exchange Differences Recognised In Profit Or Loss | -39 550 | |
Increase Decrease In Current Tax From Adjustment For Prior Periods | -607 | |
Increase From Amortisation Charge For Year Intangible Assets | 19 965 | |
Increase From Depreciation Charge For Year Property Plant Equipment | 331 241 | |
Intangible Assets | 203 976 | 184 011 |
Intangible Assets Gross Cost | 1 299 828 | |
Interest Payable Similar Charges Finance Costs | 1 719 176 | 1 886 642 |
Loans From Group Undertakings | 10 311 656 | 15 022 908 |
Net Current Assets Liabilities | 21 990 516 | 39 619 881 |
Other Creditors | 15 775 | 1 600 |
Other Disposals Decrease In Depreciation Impairment Property Plant Equipment | 292 699 | |
Other Disposals Property Plant Equipment | 292 699 | |
Other Interest Expense | 1 719 176 | 1 886 642 |
Other Remaining Borrowings | 10 311 656 | 15 022 908 |
Other Taxation Social Security Payable | 162 319 | 187 653 |
Pension Other Post-employment Benefit Costs Other Pension Costs | 94 365 | 117 506 |
Prepayments Accrued Income | 460 429 | 387 455 |
Profit Loss | -6 896 884 | 2 315 013 |
Profit Loss On Ordinary Activities Before Tax | 9 188 001 | 6 628 025 |
Property Plant Equipment Gross Cost | 705 361 | 480 332 |
Provisions For Liabilities Balance Sheet Subtotal | 13 705 | |
Staff Costs Employee Benefits Expense | 6 077 362 | 6 850 964 |
Tax Decrease From Utilisation Tax Losses | 1 231 138 | |
Tax Expense Credit Applicable Tax Rate | 1 745 720 | 1 259 325 |
Tax Increase Decrease From Effect Different Tax Rates On Some Earnings | 20 333 | |
Tax Increase Decrease From Effect Expenses Not Deductible In Determining Taxable Profit Or Loss | 418 | |
Tax Tax Credit On Profit Or Loss On Ordinary Activities | -23 896 | 1 318 809 |
Total Assets Less Current Liabilities | 22 775 639 | 40 121 468 |
Total Borrowings | 10 311 656 | 15 022 908 |
Total Current Tax Expense Credit | 417 146 | 864 062 |
Trade Creditors Trade Payables | 1 072 329 | 999 354 |
Trade Debtors Trade Receivables | 30 932 681 | 35 142 981 |
Wages Salaries | 5 373 172 | 6 003 980 |
Company Contributions To Defined Benefit Plans Directors | 5 400 | 6 550 |
Director Remuneration | 942 645 | 1 229 525 |
Director Remuneration Benefits Including Payments To Third Parties | 948 045 | 1 236 075 |
Type | Category | Free download | |
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AA |
Full accounts data made up to 2022-12-30 filed on: 29th, September 2023 |
accounts | Free Download (25 pages) |
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