The White Way Body Shop Limited MAIDSTONE


The White Way Body Shop Limited is a private limited company registered at Pollyfield Farm Scragged Oak Road, Detling, Maidstone ME14 3HL. Its total net worth is estimated to be around 0 pounds, while the fixed assets the company owns come to 0 pounds. Incorporated on 2019-03-11, this 5-year-old company is run by 1 director and 1 secretary.
Director Roy W., appointed on 11 March 2019.
Switching the focus to secretaries, we can mention: Stephen T., appointed on 11 March 2019.
The company is officially classified as "maintenance and repair of motor vehicles" (SIC: 45200).
The last confirmation statement was sent on 2023-03-10 and the due date for the subsequent filing is 2024-03-24. What is more, the annual accounts were filed on 31 March 2023 and the next filing should be sent on 31 December 2024.

The White Way Body Shop Limited Address / Contact

Office Address Pollyfield Farm Scragged Oak Road
Office Address2 Detling
Town Maidstone
Post code ME14 3HL
Country of origin United Kingdom

Company Information / Profile

Registration Number 11874361
Date of Incorporation Mon, 11th Mar 2019
Industry Maintenance and repair of motor vehicles
End of financial Year 31st March
Company age 5 years old
Account next due date Tue, 31st Dec 2024 (245 days left)
Account last made up date Fri, 31st Mar 2023
Next confirmation statement due date Sun, 24th Mar 2024 (2024-03-24)
Last confirmation statement dated Fri, 10th Mar 2023

Company staff

Stephen T.

Position: Secretary

Appointed: 11 March 2019

Roy W.

Position: Director

Appointed: 11 March 2019

People with significant control

The register of PSCs who own or have control over the company consists of 1 name. As we researched, there is Roy W. This PSC has 75,01-100% voting rights and has 75,01-100% shares.

Roy W.

Notified on 11 March 2019
Nature of control: 75,01-100% shares
75,01-100% voting rights
right to appoint and remove directors

Annual reports financial information

Profit & Loss
Accounts Information Date 2020-03-312021-03-312022-03-312023-03-31
Balance Sheet
Cash Bank On Hand6 3652 5962201 200
Current Assets7 7653 99610 20812 098
Debtors  8 5887 718
Net Assets Liabilities1 309-3 064734-3 712
Property Plant Equipment10 5908 3746 6265 245
Total Inventories1 4001 4001 4003 180
Other
Amount Specific Advance Or Credit Directors16 03814 72214 92620 131
Accumulated Depreciation Not Including Impairment Property Plant Equipment2 8105 0266 7748 155
Average Number Employees During Period1111
Creditors17 04615 43416 10021 055
Finished Goods Goods For Resale1 4001 4001 4003 180
Fixed Assets10 5908 3746 6265 245
Increase From Depreciation Charge For Year Property Plant Equipment2 8102 216 1 381
Net Current Assets Liabilities-9 281-11 438-5 892-8 957
Other Creditors17 04615 43415 82021 055
Property Plant Equipment Gross Cost13 40013 400 13 400
Total Additions Including From Business Combinations Property Plant Equipment13 400   
Total Assets Less Current Liabilities1 309-3 064734-3 712
Total Borrowings  280 
Trade Debtors Trade Receivables  8 5887 718

Company filings

Filing category
Accounts Confirmation statement Incorporation
Total exemption full accounts record for the accounting period up to Friday 31st March 2023
filed on: 18th, October 2023
Free Download (7 pages)

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