<< Back
 

Company Details

The rating for this business is good

Checkaco rating
This report has limited content - click below to purchase the full version

Company Name PARTICITY LTD
Registered Number 11375698
Registered Office 63 BERMONDSEY STREET
LONDON
SE1 3XF
 
Trading Address 63 Bermondsey Street
LONDON
SE1 3XF
 
Website Address https://www.particity.co.uk
Incorporation Date 22 May 2018
Company Status Active
Company Type Private limited with Share Capital
Accounts Filing Date 28 Feb 2023
Staff Employed 7 (2022)
Principal Activity Other software publishing
Other Activities Software publishing - SIC03 code 7221
Other Key Dates Date of Last Annual Return to Registry:
  Accounting Reference Date: 31 May 2022

Risk Summary

Credit Rating & Credit Limit Checkaco Credit ratings are given in conjunction with a credit guide figure and are a summary opinion on the risk level (i.e. risk of default) associated with your enquiry subject:- A = Very low risk, B = Low risk, C = Moderate risk, D = High risk, E = No rating - could be set because the company is passive (i.e. not filing accounts). See guide for more info.
* Local credit score, as used by the supplier in the UK, ranging from 1 to 100.
** Augur Score is an empirically-derived commercial credit score ranging from 0 to 600. Predicts the likelihood of business failure within the next 12 months.
Most Recent Rating B Provider Score * 63 Augur Score ** 494 Monthly Limit £8,500.00 Contract Limit £13,000.00
The credit limit is calculated using a formula that analyses information from a company's financial accounts and payment record. The credit limit is a recommendation of the total amount of credit that should be outstanding at any one time.

Public Info - County Court Judgments, Scottish Decrees etc

Summary of CCJ's/Scottish Decrees - In England and Wales, county court judgements are legal decisions handed down by county courts. Judgements for monetary sums are entered on the Register of County Court Judgments. If a company settles a CCJ within 30 days, the Registry Trust strikes it off and the record will no longer be visible.
Mortgages / Charges More details from Companies House
Other Filings - Companies House Time-Critical Documents
Event Date
Confirmation Statement 06 Jun 2023
New Accounts Filed 03 Mar 2023
New Accounts Filed 03 Mar 2023
New Board Member Mr R.M. Thornton appointed 05 Oct 2022
New Board Member Mr P.D. Bullivant appointed 29 Sep 2022
Mr B. Vorster has left the board 28 Sep 2022
Ms C.L. Jackson has left the board 27 Sep 2022
Change of Company Postcode 16 Sep 2022
Change in Reg.Office 16 Sep 2022
Confirmation Statement 09 Jun 2022
More
Xseption (recorded when unusual patterns of behaviour or financial results have been identified)
None Recorded

Group Structure

Subsidiaries
Name AYDA SYSTEMS LIMITED
Address 19 EARDLEY ROAD, SEVENOAKS, TN13 1XX
Registration Id 13966633
 

Known Directors

Name Mr Richard Michael Thornton
Address 63 Bermondsey Street, London, SE1 3XF
Date of Appointment (appointed 03 Oct 2022)
Other Directorships
  CLARET AND YOU CONSULTING LIMITED (13151585 - Active - Accounts Filed)
  VYPR VALIDATION TECHNOLOGIES LIMITED (08589377 - Active - Accounts Filed)
  AURORA II TOPCO LIMITED (12995902 - Active - Accounts Filed)
  RELATIVE INSIGHT LIMITED (06236082 - Active - Accounts Filed)
Previous Directorships
  PATIENT INTELLIGENCE PANEL LTD (07013270 - Active - Accounts Filed)
  CINT UK LIMITED (06817353 - Active - Accounts Filed)
 
Name Mr Paul Daniel Bullivant
Address 63 Bermondsey Street, London, SE1 3XF
Date of Appointment (appointed 27 Sep 2022)
Other Directorships
  ITTIUM LIMITED (05007211 - Active - Accounts Filed)
Previous Directorships
  OXFORD ABSTRACTS LIMITED (04245686 - Active - Accounts Filed)
  HELPTEK LIMITED (07089675 - Company is dissolved)
 
Name Mrs Jane Shifra Cook
Address 63 Bermondsey Street, London, SE1 3XF
Date of Appointment (appointed 22 May 2018)
Other Directorships
  AYDA SYSTEMS LIMITED (13966633 - Active - Newly Incorporated)
 

Share Capital

Shares ORDINARY
Shareholder JANE COOK
Issued Number 100,000
Shares ORDINARY
Shareholder HUGH CHAPPELL
Issued Number 3,666
Shares ORDINARY
Shareholder PEDER BRATT
Issued Number 2,639
Shares ORDINARY
Shareholder MAINSPRING FUND SERVICES
Issued Number 1,870
Shares ORDINARY
Shareholder SEAN PHELAN
Issued Number 1,833
Shares ORDINARY
Shareholder RICHARD THORNTON
Issued Number 1,467
Shares ORDINARY
Shareholder MANFREDI SASSOLI
Issued Number 1,466
Shares ORDINARY
Shareholder JOSE VINCENT PARAU
Issued Number 1,466
Shares ORDINARY
Shareholder JOANNE DALTON
Issued Number 1,026
Shares ORDINARY
Shareholder ADAM MOULSON
Issued Number 734
Shares ORDINARY
Shareholder SHANNON PATRICK MCDERMOTT
Issued Number 733
Shares ORDINARY
Shareholder ALISON COOPER
Issued Number 733
Shares ORDINARY
Shareholder DEBORAH GRUENBERGER
Issued Number 733
Shares ORDINARY
Shareholder JANE CLEMETSON
Issued Number 733
Shares ORDINARY
Shareholder THOMAS FAIREY
Issued Number 439
Shares ORDINARY
Shareholder ROSS NICOL
Issued Number 439
Shares ORDINARY
Shareholder CLARE JACKSON
Issued Number 367
Shares ORDINARY
Shareholder MATTHEW STAFFORD
Issued Number 202
Date Latest Accounts 31 May 2022
Auditor / Accountant -
Bankers -

Financial Data – Statutory Accounts

Profit and Loss
Accounts Date31 May 202231 May 202131 May 202031 May 2019
ConsolidatedNoNoNoNo
CurrencyGBPGBPGBPGBP
Depreciation1,1621,162449-
Audit Fees0.00.00.00.0
Balance Sheet
Tangible Assets2,6663,8281,4221,495
Intangible Assets0.00.00.00.0
Total Fixed Assets2,6663,8281,4221,495
Stock0.00.00.00.0
Trade Debtors0.03,9941220.0
Other Debtors3,9863,2970.00.0
Cash310,476351,55825,5218,437
Misc Current Assets0.00.00.00.0
Total Current Assets314,462358,84925,6438,437
Total Assets317,128362,67727,0659,932
Trade Creditors3,68213,1130.00.0
Bank Borrowings Current0.00.02550.0
Other Short Term Finance0.00.06,7377,013
Misc Current Liabilities219,485281,23319,3922,879
Total Current Liabilities223,167294,34626,3849,892
Other Long Term Finance0.00.00.00.0
Total Long Term Liabilities45,27150,0000.00.0
Total Liabilities268,438344,34626,3849,892
Net Assets48,69018,33168140
Issued Share Capital1210101
Revaluation Reserve0.00.00.00.0
Revenue Reserves-231,367-1,67567139
Other Reserves280,04519,9960.00.0
Total Shareholders Equity48,69018,33168140
Financial Summary
Year2022202120202019
CurrencyGBPGBPGBPGBP
Income Statement
Net Cash Flow Before Financing0.00.00.00.0
Balance
Contingent Liabilities0.00.00.00.0
Bank Overdraft and L T L45,27150,0002550.0
Working Capital91,29564,503-741-1,455
Capital Employed93,96168,33168140
Net Worth48,69018,33168140
Financial Ratios
Current Ratio1.41.210.8
Liquidity Ratio Or Acid Test1.41.210.8
Current Debt Ratio4.616.138.7247.3
Gearing93272.837.40.0
Equity In Percentage15.45.12.50.4
Total Debt Ratio5.518.838.7247.3


  Report created on 07 Aug 2023 at 10:19