Mss Facilities Services Ltd
Combined facilities support activities · Cheshire
ActiveUnited KingdomIncorporated 2005Private Limited Company
Financial position
Accounts to 2022-03-31 · GBP · unknown scope
Net assets
£1,187,129
Cash
£811,699
Turnover
£15,143,322
Profit / loss
£405,069
Current assets
£6,359,568
Creditors < 1 year
£5,396,762
Equity
£1,187,129
Average employees
409
Balance-sheet trend
GBP · unknownTwo periods with a known, matching scope are needed for a trend.
Financial statements
Selected figures from the best-ranked available filing for each period. Missing values remain unknown.
| Reported figures | 2022-03-31GBP · unknown | 2021-03-31GBP · unknown | 2020-03-31GBP · unknown | 2019-03-31GBP · unknown | 2018-03-31GBP · unknown | 2017-03-31GBP · unknown | 2016-03-31GBP · unknown |
|---|---|---|---|---|---|---|---|
| Balance sheet | |||||||
| Net assets | £1,187,129 | £782,060 | — | — | — | £392,731 | — |
| Equity | £1,187,129 | £782,060 | £368,263 | £606,889 | £607,544 | £392,731 | — |
| Assets | |||||||
| Fixed assets | £356,921 | £329,729 | — | — | — | — | — |
| Intangible assets | — | — | — | — | — | £48,162 | — |
| Property, plant & equipment | £338,969 | £305,735 | — | — | — | £378,695 | £403,471 |
| Current assets | £6,359,568 | £6,708,302 | — | — | — | £3,939,549 | — |
| Cash at bank | £811,699 | £815,349 | — | — | — | £517,754 | — |
| Debtors | £5,547,869 | £5,892,953 | — | — | — | £3,421,795 | £2,526,038 |
| Stock | — | — | — | — | — | — | £4,875 |
| Liabilities | |||||||
| Creditors within one year | £5,396,762 | £6,092,739 | — | — | — | — | — |
| Creditors after one year | £61,051 | £92,879 | — | — | — | — | — |
| Provisions | — | — | — | — | — | £43,963 | — |
| Net current assets | £962,806 | £615,563 | — | — | — | £322,367 | — |
| Assets less current liabilities | £1,319,727 | £945,292 | — | — | — | £749,224 | — |
| Profit & loss | |||||||
| Turnover | £15,143,322 | £13,369,204 | — | — | — | £8,128,711 | £6,585,201 |
| Gross profit | £3,697,989 | £3,418,894 | — | — | — | £2,071,235 | £2,071,718 |
| Operating profit | £515,944 | £551,791 | — | — | — | £222,860 | £347,051 |
| Profit before tax | £504,106 | £526,932 | — | — | — | £205,050 | £340,987 |
| Profit / loss | £405,069 | £413,797 | — | — | — | £167,114 | £271,207 |
| People | |||||||
| Average employees | 409 | 381 | — | — | — | — | — |
| Source evidence | View filing | View filing | View filing | View filing | View filing | View filing | View filing |
Secured borrowing
Registered charges, lenders and security interests.
Charges and related records
2 outstanding chargesAll Assets · created 2024-09-06
—
OutstandingAll Assets · created 2022-09-15
—
OutstandingShow 7 satisfied / released
All Assets · created 2014-05-06 · satisfied 2022-09-02
—
SatisfiedFixed · created 2013-08-08 · satisfied 2018-10-03
—
SatisfiedFixed · created 2013-08-06 · satisfied 2016-04-13
—
SatisfiedAll Assets · created 2013-08-06 · satisfied 2016-04-13
—
SatisfiedUnknown · created 2011-02-02 · satisfied 2016-05-18
All monies
SatisfiedAll Assets · created 2005-11-07 · satisfied 2012-01-28
All monies
SatisfiedAll Assets · created 2005-11-07 · satisfied 2016-04-12
All monies
Satisfied