The Digital Hearing Aid Centre started in year 2014 as Private Limited Company with registration number 08902268. The The Digital Hearing Aid Centre company has been functioning successfully for ten years now and its status is active. The firm's office is based in Alfreton at 10 High Street. Postal code: DE55 7BN.
The firm has 2 directors, namely Catherine T., Stephen T.. Of them, Stephen T. has been with the company the longest, being appointed on 19 February 2014 and Catherine T. has been with the company for the least time - from 29 September 2017. As of 24 April 2024, our data shows no information about any ex officers on these positions.
Office Address | 10 High Street |
Town | Alfreton |
Post code | DE55 7BN |
Country of origin | United Kingdom |
Registration Number | 08902268 |
Date of Incorporation | Wed, 19th Feb 2014 |
Industry | Other human health activities |
End of financial Year | 28th February |
Company age | 10 years old |
Account next due date | Sat, 30th Nov 2024 (220 days left) |
Account last made up date | Tue, 28th Feb 2023 |
Next confirmation statement due date | Thu, 15th Feb 2024 (2024-02-15) |
Last confirmation statement dated | Wed, 1st Feb 2023 |
The list of PSCs who own or control the company includes 2 names. As BizStats found, there is Stephen T. This PSC has 25-50% voting rights and has 25-50% shares. The second one in the persons with significant control register is Catherine T. This PSC owns 25-50% shares and has 25-50% voting rights.
Stephen T.
Notified on | 30 June 2016 |
Nature of control: |
25-50% voting rights right to appoint and remove directors 25-50% shares |
Catherine T.
Notified on | 15 November 2018 |
Nature of control: |
25-50% voting rights right to appoint and remove directors 25-50% shares |
Profit & Loss | |||
---|---|---|---|
Accounts Information Date | 2015-02-28 | 2016-02-29 | 2017-02-28 |
Net Worth | 25 | ||
Balance Sheet | |||
Current Assets | 31 284 | 37 301 | 51 839 |
Net Assets Liabilities | -986 | -1 734 | |
Cash Bank In Hand | 530 | ||
Cash Bank On Hand | 530 | 1 702 | |
Debtors | 30 754 | 35 599 | |
Other Debtors | 26 454 | 28 599 | |
Property Plant Equipment | 699 | 1 036 | |
Tangible Fixed Assets | 699 | ||
Reserves/Capital | |||
Called Up Share Capital | 1 | ||
Profit Loss Account Reserve | 24 | ||
Shareholder Funds | 25 | ||
Other | |||
Accrued Liabilities Not Expressed Within Creditors Subtotal | 2 100 | ||
Average Number Employees During Period | 1 | 1 | |
Creditors | 31 958 | 38 294 | 52 783 |
Fixed Assets | 1 036 | 1 310 | |
Net Current Assets Liabilities | -674 | -993 | -944 |
Total Assets Less Current Liabilities | 25 | 43 | 366 |
Advances Credits Directors | 37 770 | ||
Accumulated Depreciation Impairment Property Plant Equipment | 239 | 585 | |
Creditors Due Within One Year | 31 958 | ||
Increase From Depreciation Charge For Year Property Plant Equipment | 346 | ||
Number Shares Allotted | 1 | ||
Other Creditors | 1 250 | 1 250 | |
Other Taxation Social Security Payable | 3 581 | 2 295 | |
Par Value Share | 1 | ||
Property Plant Equipment Gross Cost | 938 | 1 621 | |
Share Capital Allotted Called Up Paid | 1 | ||
Tangible Fixed Assets Additions | 938 | ||
Tangible Fixed Assets Cost Or Valuation | 938 | ||
Tangible Fixed Assets Depreciation | 239 | ||
Tangible Fixed Assets Depreciation Charged In Period | 239 | ||
Total Additions Including From Business Combinations Property Plant Equipment | 683 | ||
Trade Creditors Trade Payables | 27 127 | 34 749 | |
Trade Debtors Trade Receivables | 4 300 | 7 000 |
Type | Category | Free download | |
---|---|---|---|
CS01 |
Confirmation statement with no updates 1st February 2024 filed on: 1st, February 2024 |
confirmation statement | Free Download (3 pages) |
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