objective clarity ltd

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objective clarity ltd Company Information

Share OBJECTIVE CLARITY LTD

Company Number

06549068

Shareholders

dominic balfe

lois balfe

Group Structure

View All

Industry

Management consultancy activities (other than financial management)

 

Registered Address

belmont suite,, paragon business park, bolton, BL6 6HG

Website

-

objective clarity ltd Estimated Valuation

£44.2k

Pomanda estimates the enterprise value of OBJECTIVE CLARITY LTD at £44.2k based on a Turnover of £115.9k and 0.38x industry multiple (adjusted for size and gross margin).

objective clarity ltd Estimated Valuation

£48.5k

Pomanda estimates the enterprise value of OBJECTIVE CLARITY LTD at £48.5k based on an EBITDA of £15.8k and a 3.07x industry multiple (adjusted for size and gross margin).

objective clarity ltd Estimated Valuation

£119.4k

Pomanda estimates the enterprise value of OBJECTIVE CLARITY LTD at £119.4k based on Net Assets of £44.8k and 2.66x industry multiple (adjusted for liquidity).

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Objective Clarity Ltd Overview

Objective Clarity Ltd is a live company located in bolton, BL6 6HG with a Companies House number of 06549068. It operates in the management consultancy activities other than financial management sector, SIC Code 70229. Founded in March 2008, it's largest shareholder is dominic balfe with a 93.8% stake. Objective Clarity Ltd is a established, micro sized company, Pomanda has estimated its turnover at £115.9k with rapid growth in recent years.

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Objective Clarity Ltd Health Check

Pomanda's financial health check has awarded Objective Clarity Ltd a 4 rating. We use a traffic light system to show it exceeds the industry average on 4 measures and has 4 areas for improvement. Company Health Check FAQs

Health Check Image
Health Rating4out of 5
positive_score

4 Strong

positive_score

2 Regular

positive_score

4 Weak

size

Size

annual sales of £115.9k, make it smaller than the average company (£552.5k)

£115.9k - Objective Clarity Ltd

£552.5k - Industry AVG

growth

Growth

3 year (CAGR) sales growth of 30%, show it is growing at a faster rate (11.4%)

30% - Objective Clarity Ltd

11.4% - Industry AVG

production

Production

with a gross margin of 24.7%, this company has a higher cost of product (59.8%)

24.7% - Objective Clarity Ltd

59.8% - Industry AVG

profitability

Profitability

an operating margin of 13.6% make it more profitable than the average company (8.2%)

13.6% - Objective Clarity Ltd

8.2% - Industry AVG

employees

Employees

with 1 employees, this is below the industry average (5)

1 - Objective Clarity Ltd

5 - Industry AVG

paystructure

Pay Structure

on an average salary of £52.7k, the company has an equivalent pay structure (£52.7k)

£52.7k - Objective Clarity Ltd

£52.7k - Industry AVG

efficiency

Efficiency

resulting in sales per employee of £115.9k, this is equally as efficient (£126k)

£115.9k - Objective Clarity Ltd

£126k - Industry AVG

debtordays

Debtor Days

it gets paid by customers after 174 days, this is later than average (61 days)

174 days - Objective Clarity Ltd

61 days - Industry AVG

creditordays

Creditor Days

its suppliers are paid after 99 days, this is slower than average (24 days)

99 days - Objective Clarity Ltd

24 days - Industry AVG

stockdays

Stock Days

There is insufficient data available for this Key Performance Indicator!

- - Objective Clarity Ltd

- - Industry AVG

cashbalance

Cash Balance

There is insufficient data available for this Key Performance Indicator!

- - Objective Clarity Ltd

- - Industry AVG

debtlevel

Debt Level

it has a ratio of liabilities to total assets of 34.6%, this is a lower level of debt than the average (52.6%)

34.6% - Objective Clarity Ltd

52.6% - Industry AVG

OBJECTIVE CLARITY LTD financials

EXPORTms excel logo

Objective Clarity Ltd's latest turnover from June 2024 is estimated at £115.9 thousand and the company has net assets of £44.8 thousand. According to their latest financial statements, Objective Clarity Ltd has 1 employee and maintains cash reserves of 0 as reported in the balance sheet.

Data source: Companies HousePomanda Estimates

Jun 2024Jun 2023Jun 2022Jun 2021Jun 2020Jun 2019Jun 2018Jun 2017Jun 2016Jun 2015Jun 2014Jun 2013Jun 2012Jun 2011Jun 2010
Turnover115,88992,82698,31952,265157,428114,325141,536126,09866,21263,96542,22437,18944,47845,20080,107
Other Income Or Grants000000000000000
Cost Of Sales87,23768,26472,75638,796116,58182,993100,04986,21447,19545,48629,49026,00229,93529,51352,008
Gross Profit28,65324,56325,56313,46940,84731,33241,48839,88419,01818,47912,73311,18714,54315,68828,099
Admin Expenses12,86023,68817,87840,68011,94741,61627,01179,51589,81227,658-11,272-22,646-35,02228,825-76,160
Operating Profit15,7938757,685-27,21128,900-10,28414,477-39,631-70,794-9,17924,00533,83349,565-13,137104,259
Interest Payable000000000000000
Interest Receivable000000090517725764684515429222
Pre-Tax Profit15,7938757,685-27,21128,900-10,28414,477-39,541-70,277-8,45424,76834,51750,080-12,708104,481
Tax-3,948-219-1,4600-5,4910-2,751000-5,201-7,939-12,0190-29,255
Profit After Tax11,8456566,225-27,21123,409-10,28411,726-39,541-70,277-8,45419,56726,57838,061-12,70875,226
Dividends Paid000000000000000
Retained Profit11,8456566,225-27,21123,409-10,28411,726-39,541-70,277-8,45419,56726,57838,061-12,70875,226
Employee Costs52,74848,68795,38045,46682,78299,648100,30448,04051,51450,40351,80452,16953,16248,85748,380
Number Of Employees112122211111111
EBITDA*15,7938757,685-27,21128,900-10,28414,477-39,631-69,937-8,32224,00533,83349,565-13,137104,259

* Earnings Before Interest, Tax, Depreciation and Amortisation

Jun 2024Jun 2023Jun 2022Jun 2021Jun 2020Jun 2019Jun 2018Jun 2017Jun 2016Jun 2015Jun 2014Jun 2013Jun 2012Jun 2011Jun 2010
Tangible Assets1,4401,6892,8121,1021,2511,5211,38108831,74000000
Intangible Assets000000000000000
Investments & Other000000000000000
Debtors (Due After 1 year)000000000000000
Total Fixed Assets1,4401,6892,8121,1021,2511,5211,38108831,74000000
Stock & work in progress000000000000000
Trade Debtors55,50549,19846,80221,51583,08351,74367,17656,83521,05519,54810,7108,2329,89910,74320,585
Group Debtors000000000000000
Misc Debtors11,586284297000000000000
Cash0000000072,047134,796155,084150,447123,09382,88788,821
misc current assets0003,47500000000000
total current assets67,09149,48247,09924,99083,08351,74367,17656,83593,102154,344165,794158,679132,99293,630109,406
total assets68,53151,17149,91126,09284,33453,26468,55756,83593,985156,084165,794158,679132,99293,630109,406
Bank overdraft000000000000000
Bank loan000000000000000
Trade Creditors 23,71318,19817,594031,03121,52228,18928,38325,99017,81219,06831,52032,41131,11034,178
Group/Directors Accounts000001,84819000000000
other short term finances000000000000000
hp & lease commitments000000000000000
other current liabilities000000000000000
total current liabilities23,71318,19817,594031,03123,37028,37928,38325,99017,81219,06831,52032,41131,11034,178
loans000000000000000
hp & lease commitments000000000000000
Accruals and Deferred Income000000000000000
other liabilities000000000000000
provisions000000000000000
total long term liabilities000000000000000
total liabilities23,71318,19817,594031,03123,37028,37928,38325,99017,81219,06831,52032,41131,11034,178
net assets44,81832,97332,31726,09253,30329,89440,17828,45267,995138,272146,726127,159100,58162,52075,228
total shareholders funds44,81832,97332,31726,09253,30329,89440,17828,45267,995138,272146,726127,159100,58162,52075,228
Jun 2024Jun 2023Jun 2022Jun 2021Jun 2020Jun 2019Jun 2018Jun 2017Jun 2016Jun 2015Jun 2014Jun 2013Jun 2012Jun 2011Jun 2010
Operating Activities
Operating Profit15,7938757,685-27,21128,900-10,28414,477-39,631-70,794-9,17924,00533,83349,565-13,137104,259
Depreciation0000000085785700000
Amortisation000000000000000
Tax-3,948-219-1,4600-5,4910-2,751000-5,201-7,939-12,0190-29,255
Stock000000000000000
Debtors17,6092,38325,584-61,56831,340-15,43310,34135,7801,5078,8382,478-1,667-844-9,84220,585
Creditors5,51560417,594-31,0319,509-6,667-1942,3938,178-1,256-12,452-8911,301-3,06834,178
Accruals and Deferred Income000000000000000
Deferred Taxes & Provisions000000000000000
Cash flow from operations-249-1,123-1,7653,3261,578-1,5181,191-73,018-63,266-18,4163,87426,67039,691-6,36388,597
Investing Activities
capital expenditure2491,123-1,710149270-140-1,3818830-2,59700000
Change in Investments000000000000000
cash flow from investments2491,123-1,710149270-140-1,3818830-2,59700000
Financing Activities
Bank loans000000000000000
Group/Directors Accounts0000-1,8481,65819000000000
Other Short Term Loans 000000000000000
Long term loans000000000000000
Hire Purchase and Lease Commitments000000000000000
other long term liabilities000000000000000
share issue0000000-20000002
interest000000090517725764684515429222
cash flow from financing0000-1,8481,65819088517725764684515429224
cash and cash equivalents
cash0000000-72,047-62,749-20,2884,63727,35440,206-5,93488,821
overdraft000000000000000
change in cash0000000-72,047-62,749-20,2884,63727,35440,206-5,93488,821

objective clarity ltd 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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Objective Clarity Ltd Competitor Analysis

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Perform a competitor analysis for objective clarity ltd by selecting its closest rivals, whether from the PROFESSIONAL, SCIENTIFIC AND TECHNICAL ACTIVITIES sector, other micro companies, companies in BL6 area or any other competitors across 12 key performance metrics.

objective clarity ltd Ownership

OBJECTIVE CLARITY LTD group structure

Objective Clarity Ltd has no subsidiary companies.

Ultimate parent company

OBJECTIVE CLARITY LTD

06549068

OBJECTIVE CLARITY LTD Shareholders

dominic balfe 93.75%
lois balfe 6.25%

objective clarity ltd directors

Objective Clarity Ltd currently has 2 directors. The longest serving directors include Mr Dominic Balfe (Mar 2008) and Mrs Lois Balfe (Jan 2017).

officercountryagestartendrole
Mr Dominic BalfeEngland51 years Mar 2008- Director
Mrs Lois BalfeEngland50 years Jan 2017- Director

P&L

June 2024

turnover

115.9k

+25%

operating profit

15.8k

0%

gross margin

24.8%

-6.56%

turnover

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

Balance Sheet

June 2024

net assets

44.8k

+0.36%

total assets

68.5k

+0.34%

cash

0

0%

net assets

Total assets minus all liabilities

objective clarity ltd company details

company number

06549068

Type

Private limited with Share Capital

industry

70229 - Management consultancy activities (other than financial management)

incorporation date

March 2008

age

17

incorporated

UK

ultimate parent company

None

accounts

Micro-Entity Accounts

last accounts submitted

June 2024

previous names

N/A

accountant

-

auditor

-

address

belmont suite,, paragon business park, bolton, BL6 6HG

Bank

YASUDA TRUST & BANK PLC

Legal Advisor

-

objective clarity ltd 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 did not find charges/mortgages relating to objective clarity ltd.

objective clarity ltd 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.

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objective clarity ltd Companies House Filings - See Documents

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