gsk property ltd

2

gsk property ltd Company Information

Share GSK PROPERTY LTD
Live 
Established

Company Number

07781043

Website

-

Registered Address

18 flatfield road, hemel hempstead, hertfordshire, HP3 8EX

Industry

Construction of domestic buildings

 

Telephone

-

Next Accounts Due

June 2024

Group Structure

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Directors

Jamil Hussain12 Years

Shareholders

jamil hussain 70%

shazida begum 10%

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gsk property ltd Estimated Valuation

£0

Pomanda estimates the enterprise value of GSK PROPERTY LTD at £0 based on a Turnover of £0 and 0.36x industry multiple (adjusted for size and gross margin).

gsk property ltd Estimated Valuation

£404.9k

Pomanda estimates the enterprise value of GSK PROPERTY LTD at £404.9k based on an EBITDA of £135k and a 3x industry multiple (adjusted for size and gross margin).

gsk property ltd Estimated Valuation

£1.8m

Pomanda estimates the enterprise value of GSK PROPERTY LTD at £1.8m based on Net Assets of £1.5m and 1.22x industry multiple (adjusted for liquidity).

Valuation Calculator
This valuation is estimated based on financial data from September 2022 

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Gsk Property Ltd Overview

Gsk Property Ltd is a live company located in hertfordshire, HP3 8EX with a Companies House number of 07781043. It operates in the construction of domestic buildings sector, SIC Code 41202. Founded in September 2011, it's largest shareholder is jamil hussain with a 70% stake. Gsk Property Ltd is a established, unknown sized company, Pomanda has estimated its turnover at £0 with unknown growth in recent years.

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Gsk Property Ltd Health Check

Pomanda's financial health check has awarded Gsk Property Ltd a 2 rating. We use a traffic light system to show it exceeds the industry average on 2 measures and has 0 areas for improvement. Company Health Check FAQs

Health Check Image
Health Rating2out of 5
positive_score

2 Strong

positive_score

0 Regular

positive_score

0 Weak

size

Size

There is insufficient data available for this Key Performance Indicator!

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growth

Growth

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production

Production

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profitability

Profitability

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employees

Employees

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paystructure

Pay Structure

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efficiency

Efficiency

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debtordays

Debtor Days

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creditordays

Creditor Days

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stockdays

Stock Days

There is insufficient data available for this Key Performance Indicator!

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cashbalance

Cash Balance

has cash to cover current liabilities for 37 weeks, this is more cash available to meet short term requirements (16 weeks)

- - Gsk Property Ltd

- - Industry AVG

debtlevel

Debt Level

it has a ratio of liabilities to total assets of 42.1%, this is a lower level of debt than the average (72.4%)

- - Gsk Property Ltd

- - Industry AVG

gsk property 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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Gsk Property Ltd Competitor Analysis

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gsk property ltd Ownership

GSK PROPERTY LTD group structure

Gsk Property Ltd has no subsidiary companies.

Ultimate parent company

GSK PROPERTY LTD

07781043

GSK PROPERTY LTD Shareholders

jamil hussain 70%
shazida begum 10%
idris jamil 10%
amna jamil 10%

gsk property ltd directors

Gsk Property Ltd currently has 1 director, Mr Jamil Hussain serving since Sep 2011.

officercountryagestartendrole
Mr Jamil HussainUnited Kingdom64 years Sep 2011- Director

GSK PROPERTY LTD financials

EXPORTms excel logo

Gsk Property Ltd's latest turnover from September 2022 is estimated at 0 and the company has net assets of £1.5 million. According to their latest financial statements, we estimate that Gsk Property Ltd has no employees and maintains cash reserves of £38.1 thousand as reported in the balance sheet.

Data source: Companies HousePomanda Estimates

Sep 2022Sep 2021Sep 2020Sep 2019Sep 2018Sep 2017Sep 2016Sep 2015Sep 2014Sep 2013Sep 2012
Turnover00903,1621,149,389841,191854,5232,434,0022,628,882396,2021,318,7861,315,137
Other Income Or Grants00000000000
Cost Of Sales00730,433910,600657,045659,9241,868,6442,046,025309,9831,044,5031,044,794
Gross Profit00172,728238,789184,146194,599565,358582,85786,218274,282270,343
Admin Expenses-134,794-111,188139,309205,767204,515133,923576,547592,75876,752280,352296,428
Operating Profit134,794111,18833,41933,022-20,36960,676-11,189-9,9019,466-6,070-26,085
Interest Payable87,91465,94433,18200000000
Interest Receivable5272752774693120240274
Pre-Tax Profit47,40645,52051433,068-20,36060,679-11,069-9,6619,468-6,063-26,081
Tax-9,007-8,649-98-6,2830-11,52900-1,98800
Profit After Tax38,39936,87141626,785-20,36049,150-11,069-9,6617,480-6,063-26,081
Dividends Paid00000000000
Retained Profit38,39936,87141626,785-20,36049,150-11,069-9,6617,480-6,063-26,081
Employee Costs00188,672204,978127,718155,292327,124246,70838,021148,318150,863
Number Of Employees00553486144
EBITDA*134,969111,18833,99433,214-20,06961,032-10,715-9,26810,310-4,945-24,585

* Earnings Before Interest, Tax, Depreciation and Amortisation

Sep 2022Sep 2021Sep 2020Sep 2019Sep 2018Sep 2017Sep 2016Sep 2015Sep 2014Sep 2013Sep 2012
Tangible Assets523005757671,0671,4241,8982,5313,3754,500
Intangible Assets00000000000
Investments & Other2,500,0002,500,000000000000
Debtors (Due After 1 year)00000000000
Total Fixed Assets2,500,5232,500,00005757671,0671,4241,8982,5313,3754,500
Stock & work in progress001,089,6911,065,690807,120619,943566,601562,626562,627551,547521,953
Trade Debtors0000007602,26090000
Group Debtors000117,25638122,99900000
Misc Debtors44,34547,253000000000
Cash38,0958,720541,38012,2151502,14234695,8741008881,726
misc current assets00000000000
total current assets82,44055,9731,631,0711,195,161807,651645,084567,707660,760563,627552,435523,679
total assets2,582,9632,555,9731,631,0711,195,736808,418646,151569,131662,658566,158555,810528,179
Bank overdraft23,00023,00014,54400000000
Bank loan00000000000
Trade Creditors 000000550,022646,88352,268159,619145,197
Group/Directors Accounts9450529,6761,182,552823,869641,24264,5000000
other short term finances00000000000
hp & lease commitments00000000000
other current liabilities28,72724,0492,8503,0001,1501,15000000
total current liabilities52,67247,049547,0701,185,552825,019642,392614,522646,88352,268159,619145,197
loans1,034,1111,051,1431,073,40100000000
hp & lease commitments00000000000
Accruals and Deferred Income00000000000
other liabilities000000050,000538,454428,235408,963
provisions00000000000
total long term liabilities1,034,1111,051,1431,073,401000050,000538,454428,235408,963
total liabilities1,086,7831,098,1921,620,4711,185,552825,019642,392614,522696,883590,722587,854554,160
net assets1,496,1801,457,78110,60010,184-16,6013,759-45,391-34,225-24,564-32,044-25,981
total shareholders funds1,496,1801,457,78110,60010,184-16,6013,759-45,391-34,225-24,564-32,044-25,981
Sep 2022Sep 2021Sep 2020Sep 2019Sep 2018Sep 2017Sep 2016Sep 2015Sep 2014Sep 2013Sep 2012
Operating Activities
Operating Profit134,794111,18833,41933,022-20,36960,676-11,189-9,9019,466-6,070-26,085
Depreciation17505751923003564746338441,1251,500
Amortisation00000000000
Tax-9,007-8,649-98-6,2830-11,52900-1,98800
Stock0-1,089,69124,001258,570187,17753,3423,975-111,08029,594521,953
Debtors-2,90847,253-117,256116,875-22,61822,239-1,5001,36090000
Creditors00000-550,022-96,861594,615-107,35114,422145,197
Accruals and Deferred Income4,67821,199-1501,85001,15000000
Deferred Taxes & Provisions00000000000
Cash flow from operations133,5481,166,176127,001-346,664-184,628-574,950-110,051583,988-111,009-20,117-401,341
Investing Activities
capital expenditure-698000010000-6,000
Change in Investments02,500,000000000000
cash flow from investments-698-2,500,00000010000-6,000
Financing Activities
Bank loans00000000000
Group/Directors Accounts945-529,676-652,876358,683182,627576,74264,5000000
Other Short Term Loans 00000000000
Long term loans-17,032-22,2581,073,40100000000
Hire Purchase and Lease Commitments00000000000
other long term liabilities000000-50,000-488,454110,21919,272408,963
share issue01,410,3100000-97000100
interest-87,387-65,669-32,9054693120240274
cash flow from financing-103,474792,707387,620358,729182,636576,74514,523-488,214110,22119,279409,067
cash and cash equivalents
cash29,375-532,660529,16512,065-1,9921,796-95,52895,774-788-8381,726
overdraft08,45614,54400000000
change in cash29,375-541,116514,62112,065-1,9921,796-95,52895,774-788-8381,726

P&L

September 2022

turnover

0

0%

operating profit

134.8k

0%

gross margin

0%

0%

turnover

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

Balance Sheet

September 2022

net assets

1.5m

+0.03%

total assets

2.6m

+0.01%

cash

38.1k

+3.37%

net assets

Total assets minus all liabilities

gsk property ltd company details

company number

07781043

Type

Private limited with Share Capital

industry

41202 - Construction of domestic buildings

incorporation date

September 2011

age

13

accounts

Total Exemption Full

ultimate parent company

None

previous names

N/A

incorporated

UK

address

18 flatfield road, hemel hempstead, hertfordshire, HP3 8EX

last accounts submitted

September 2022

gsk property 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 found 2 charges/mortgages relating to gsk property ltd. Currently there are 2 open charges and 0 have been satisfied in the past.

charges

gsk property ltd Companies House Filings - See Documents

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