bath road taplow limited

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bath road taplow limited Company Information

Share BATH ROAD TAPLOW LIMITED

Company Number

01756963

Shareholders

taplow retail holdco ltd

Group Structure

View All

Industry

Letting and operating of own or leased real estate (other than Housing Association real estate and conference and exhibition services) n.e.c.

 

Registered Address

73 cornhill, london, EC3V 3QQ

bath road taplow limited Estimated Valuation

£11.9m

Pomanda estimates the enterprise value of BATH ROAD TAPLOW LIMITED at £11.9m based on a Turnover of £2.9m and 4.09x industry multiple (adjusted for size and gross margin).

bath road taplow limited Estimated Valuation

£0

Pomanda estimates the enterprise value of BATH ROAD TAPLOW LIMITED at £0 based on an EBITDA of £-2.5m and a 8.21x industry multiple (adjusted for size and gross margin).

bath road taplow limited Estimated Valuation

£58.6m

Pomanda estimates the enterprise value of BATH ROAD TAPLOW LIMITED at £58.6m based on Net Assets of £33.2m and 1.76x industry multiple (adjusted for liquidity).

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Bath Road Taplow Limited Overview

Bath Road Taplow Limited is a live company located in london, EC3V 3QQ with a Companies House number of 01756963. It operates in the other letting and operating of own or leased real estate sector, SIC Code 68209. Founded in September 1983, it's largest shareholder is taplow retail holdco ltd with a 100% stake. Bath Road Taplow Limited is a mature, small sized company, Pomanda has estimated its turnover at £2.9m with declining growth in recent years.

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Bath Road Taplow Limited Health Check

Pomanda's financial health check has awarded Bath Road Taplow Limited a 4 rating. We use a traffic light system to show it exceeds the industry average on 6 measures and has 2 areas for improvement. Company Health Check FAQs

Health Check Image
Health Rating4out of 5
positive_score

6 Strong

positive_score

0 Regular

positive_score

2 Weak

size

Size

annual sales of £2.9m, make it larger than the average company (£806.8k)

£2.9m - Bath Road Taplow Limited

£806.8k - Industry AVG

growth

Growth

3 year (CAGR) sales growth of -1%, show it is growing at a slower rate (1.9%)

-1% - Bath Road Taplow Limited

1.9% - Industry AVG

production

Production

with a gross margin of 100.1%, this company has a lower cost of product (74.8%)

100.1% - Bath Road Taplow Limited

74.8% - Industry AVG

profitability

Profitability

an operating margin of -86.5% make it less profitable than the average company (36.2%)

-86.5% - Bath Road Taplow Limited

36.2% - Industry AVG

employees

Employees

with 7 employees, this is above the industry average (4)

7 - Bath Road Taplow Limited

4 - Industry AVG

paystructure

Pay Structure

There is insufficient data available for this Key Performance Indicator!

- - Bath Road Taplow Limited

- - Industry AVG

efficiency

Efficiency

resulting in sales per employee of £415.9k, this is more efficient (£169.9k)

£415.9k - Bath Road Taplow Limited

£169.9k - Industry AVG

debtordays

Debtor Days

it gets paid by customers after 11 days, this is earlier than average (32 days)

11 days - Bath Road Taplow Limited

32 days - Industry AVG

creditordays

Creditor Days

There is insufficient data available for this Key Performance Indicator!

- - Bath Road Taplow Limited

- - Industry AVG

stockdays

Stock Days

There is insufficient data available for this Key Performance Indicator!

- - Bath Road Taplow Limited

- - Industry AVG

cashbalance

Cash Balance

There is insufficient data available for this Key Performance Indicator!

- - Bath Road Taplow Limited

- - Industry AVG

debtlevel

Debt Level

it has a ratio of liabilities to total assets of 39.8%, this is a lower level of debt than the average (62.9%)

39.8% - Bath Road Taplow Limited

62.9% - Industry AVG

BATH ROAD TAPLOW LIMITED financials

EXPORTms excel logo

Bath Road Taplow Limited's latest turnover from March 2023 is £2.9 million and the company has net assets of £33.2 million. According to their latest financial statements, we estimate that Bath Road Taplow Limited has 7 employees and maintains cash reserves of 0 as reported in the balance sheet.

Data source: Companies HousePomanda Estimates

Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015Mar 2014Mar 2013Mar 2012Mar 2011Mar 2010
Turnover2,911,0002,823,0002,831,0003,004,0002,990,0002,881,0002,983,0002,997,0001,543,0000214,0001,056,0001,367,0001,333,000
Other Income Or Grants00000000000000
Cost Of Sales-4,00082,000321,000148,000199,00034,000216,000290,0001,086,258149,000908,000926,000804,000755,000
Gross Profit2,915,0002,741,0002,510,0002,856,0002,791,0002,847,0002,767,0002,707,000456,742-149,000-694,000130,000563,000578,000
Admin Expenses5,432,000-11,301,0002,983,0002,045,0003,102,000-1,350,000307,000914,000-8,702,258-4,737,000-4,193,00045,00038,00029,000
Operating Profit-2,517,00014,042,000-473,000811,000-311,0004,197,0002,460,0001,793,0009,159,0004,588,0003,499,00085,000525,000549,000
Interest Payable838,000785,000840,0001,012,0001,070,0001,181,0001,291,0001,459,0001,422,000951,000680,000590,000558,000553,000
Interest Receivable000000001,000204,0008,000000
Pre-Tax Profit-3,355,00013,257,000-1,313,000-201,000-1,381,0003,016,0001,169,000334,0007,935,0003,841,0002,827,000-505,000-33,000-4,000
Tax0000000000019,00000
Profit After Tax-3,355,00013,257,000-1,313,000-201,000-1,381,0003,016,0001,169,000334,0007,935,0003,841,0002,827,000-486,000-33,000-4,000
Dividends Paid00000000000000
Retained Profit-3,355,00013,257,000-1,313,000-201,000-1,381,0003,016,0001,169,000334,0007,935,0003,841,0002,827,000-486,000-33,000-4,000
Employee Costs0000000000095,78500
Number Of Employees7899910119511454
EBITDA*-2,517,00014,042,000-473,000811,000-311,0004,197,0002,460,0001,793,0009,159,0004,588,0003,499,00085,000525,000549,000

* Earnings Before Interest, Tax, Depreciation and Amortisation

Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015Mar 2014Mar 2013Mar 2012Mar 2011Mar 2010
Tangible Assets0047,521,00050,432,00052,292,00055,328,00053,918,0000000000
Intangible Assets00000000000000
Investments & Other54,138,00059,180,00047,521,00050,432,00052,292,00055,328,00053,918,00054,155,00055,102,00036,500,00023,800,00017,989,00014,953,00011,644,000
Debtors (Due After 1 year)00000000000000
Total Fixed Assets54,138,00059,180,00047,521,00050,432,00052,292,00055,328,00053,918,00054,155,00055,102,00036,500,00023,800,00017,989,00014,953,00011,644,000
Stock & work in progress00000000000000
Trade Debtors88,00062,000362,000328,00024,000115,00039,00063,000193,00089,000101,000183,000399,000265,000
Group Debtors00000000000000
Misc Debtors948,0001,166,000968,0001,138,0001,257,0001,305,0001,396,0001,235,000291,000294,00080,00074,000120,000141,000
Cash000000000001,0001,0001,000
misc current assets00000000000000
total current assets1,036,0001,228,0001,330,0001,466,0001,281,0001,420,0001,435,0001,298,000484,000383,000181,000258,000520,000407,000
total assets55,174,00060,408,00048,851,00051,898,00053,573,00056,748,00055,353,00055,453,00055,586,00036,883,00023,981,00018,247,00015,473,00012,051,000
Bank overdraft00000000000000
Bank loan00000000000000
Trade Creditors 00000000000000
Group/Directors Accounts18,908,00020,400,0000000029,044,00028,437,00023,105,00014,029,00011,082,00010,462,0009,986,000
other short term finances00000000000000
hp & lease commitments00000000000000
other current liabilities3,063,0003,450,00025,550,00027,284,00028,758,00030,552,00032,173,0004,398,0005,472,00036,00051,00091,000269,000358,000
total current liabilities21,971,00023,850,00025,550,00027,284,00028,758,00030,552,00032,173,00033,442,00033,909,00023,141,00014,080,00011,173,00010,731,00010,344,000
loans00000000000000
hp & lease commitments00000000000000
Accruals and Deferred Income00000000000000
other liabilities00000000000000
provisions00000000000000
total long term liabilities00000000000000
total liabilities21,971,00023,850,00025,550,00027,284,00028,758,00030,552,00032,173,00033,442,00033,909,00023,141,00014,080,00011,173,00010,731,00010,344,000
net assets33,203,00036,558,00023,301,00024,614,00024,815,00026,196,00023,180,00022,011,00021,677,00013,742,0009,901,0007,074,0004,742,0001,707,000
total shareholders funds33,203,00036,558,00023,301,00024,614,00024,815,00026,196,00023,180,00022,011,00021,677,00013,742,0009,901,0007,074,0004,742,0001,707,000
Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015Mar 2014Mar 2013Mar 2012Mar 2011Mar 2010
Operating Activities
Operating Profit-2,517,00014,042,000-473,000811,000-311,0004,197,0002,460,0001,793,0009,159,0004,588,0003,499,00085,000525,000549,000
Depreciation00000000000000
Amortisation00000000000000
Tax0000000000019,00000
Stock00000000000000
Debtors-192,000-102,000-136,000185,000-139,000-15,000137,000814,000101,000202,000-76,000-262,000113,000406,000
Creditors00000000000000
Accruals and Deferred Income-387,000-22,100,000-1,734,000-1,474,000-1,794,000-1,621,00027,775,000-1,074,0005,436,000-15,000-40,000-178,000-89,000358,000
Deferred Taxes & Provisions00000000000000
Cash flow from operations-2,712,000-7,956,000-2,071,000-848,000-1,966,0002,591,00030,098,000-95,00014,494,0004,371,0003,535,000188,000323,000501,000
Investing Activities
capital expenditure047,521,0002,911,0001,860,0003,036,000-1,410,000-53,918,0000000000
Change in Investments-5,042,00011,659,000-2,911,000-1,860,000-3,036,0001,410,000-237,000-947,00018,602,00012,700,0005,811,0003,036,0003,309,00011,644,000
cash flow from investments5,042,00035,862,0005,822,0003,720,0006,072,000-2,820,000-53,681,000947,000-18,602,000-12,700,000-5,811,000-3,036,000-3,309,000-11,644,000
Financing Activities
Bank loans00000000000000
Group/Directors Accounts-1,492,00020,400,0000000-29,044,000607,0005,332,0009,076,0002,947,000620,000476,0009,986,000
Other Short Term Loans 00000000000000
Long term loans00000000000000
Hire Purchase and Lease Commitments00000000000000
other long term liabilities00000000000000
share issue000000000002,818,0003,068,0001,711,000
interest-838,000-785,000-840,000-1,012,000-1,070,000-1,181,000-1,291,000-1,459,000-1,421,000-747,000-672,000-590,000-558,000-553,000
cash flow from financing-2,330,00019,615,000-840,000-1,012,000-1,070,000-1,181,000-30,335,000-852,0003,911,0008,329,0002,275,0002,848,0002,986,00011,144,000
cash and cash equivalents
cash0000000000-1,000001,000
overdraft00000000000000
change in cash0000000000-1,000001,000

bath road taplow limited Credit Report and Business Information

Very Low Risk70 - 100
Low Risk50 - 70
Moderate Risk30 - 50
High Risk20 - 30
Very High Risk0 - 20
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Bath Road Taplow Limited Competitor Analysis

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Perform a competitor analysis for bath road taplow limited by selecting its closest rivals, whether from the REAL ESTATE ACTIVITIES sector, other small companies, companies in EC3V area or any other competitors across 12 key performance metrics.

bath road taplow limited Ownership

BATH ROAD TAPLOW LIMITED group structure

Bath Road Taplow Limited has no subsidiary companies.

Ultimate parent company

TAPLOW RETAIL HOLDCO LTD

#0171814

1 parent

BATH ROAD TAPLOW LIMITED

01756963

BATH ROAD TAPLOW LIMITED Shareholders

taplow retail holdco ltd 100%

bath road taplow limited directors

Bath Road Taplow Limited currently has 4 directors. The longest serving directors include Mr James Osborne (Jun 2024) and Mr Sebastian Lim (Jun 2024).

officercountryagestartendrole
Mr James OsborneEngland43 years Jun 2024- Director
Mr Sebastian LimEngland40 years Jun 2024- Director
Mr Mark RatazziEngland42 years Jun 2024- Director
Mr Harry HartEngland53 years Jun 2024- Director

P&L

March 2023

turnover

2.9m

+3%

operating profit

-2.5m

-118%

gross margin

100.2%

+3.13%

turnover

Turnover, or revenue, is the amount of sales generated by a company within the financial year.

Balance Sheet

March 2023

net assets

33.2m

-0.09%

total assets

55.2m

-0.09%

cash

0

0%

net assets

Total assets minus all liabilities

bath road taplow limited company details

company number

01756963

Type

Private limited with Share Capital

industry

68209 - Letting and operating of own or leased real estate (other than Housing Association real estate and conference and exhibition services) n.e.c.

incorporation date

September 1983

age

42

incorporated

UK

ultimate parent company

TAPLOW RETAIL HOLDCO LTD

accounts

Audit Exemption Subsidiary

last accounts submitted

March 2023

previous names

ls taplow limited (June 2024)

the bishop centre ltd. (December 2004)

accountant

-

auditor

-

address

73 cornhill, london, EC3V 3QQ

Bank

-

Legal Advisor

-

bath road taplow limited Charges & Mortgages

A charge, or mortgage, refers to the rights a company gives to a lender in return for a loan, often in the form of security given over business assets.

We found 4 charges/mortgages relating to bath road taplow limited. Currently there are 0 open charges and 4 have been satisfied in the past.

bath road taplow limited Capital Raised & Share Issues BETA

When a company issues new shares, e.g. to new investors following a funding round, it is required to notify Companies House within one month of making an allotment of shares.

Click to start generating capital raising & share issue transactions for BATH ROAD TAPLOW LIMITED. This can take several minutes, an email will notify you when this has completed.

bath road taplow limited Companies House Filings - See Documents

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