jamf ltd

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jamf ltd Company Information

Share JAMF LTD

Company Number

07998183

Shareholders

wandera inc.

Group Structure

View All

Industry

Other information technology and computer service activities

 

Registered Address

c/o freeths llp, routeco office park, davy avenue, milton keynes, MK5 8HJ

jamf ltd Estimated Valuation

£21.9m

Pomanda estimates the enterprise value of JAMF LTD at £21.9m based on a Turnover of £16.1m and 1.36x industry multiple (adjusted for size and gross margin).

jamf ltd Estimated Valuation

£0

Pomanda estimates the enterprise value of JAMF LTD at £0 based on an EBITDA of £-11.6m and a 9.08x industry multiple (adjusted for size and gross margin).

jamf ltd Estimated Valuation

£0

Pomanda estimates the enterprise value of JAMF LTD at £0 based on Net Assets of £-28.5m and 2.23x industry multiple (adjusted for liquidity).

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Jamf Ltd Overview

Jamf Ltd is a live company located in milton keynes, MK5 8HJ with a Companies House number of 07998183. It operates in the other information technology service activities sector, SIC Code 62090. Founded in March 2012, it's largest shareholder is wandera inc. with a 100% stake. Jamf Ltd is a established, mid sized company, Pomanda has estimated its turnover at £16.1m with high growth in recent years.

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Jamf Ltd Health Check

Pomanda's financial health check has awarded Jamf Ltd a 3 rating. We use a traffic light system to show it exceeds the industry average on 5 measures and has 5 areas for improvement. Company Health Check FAQs

Health Check Image
Health Rating3out of 5
positive_score

5 Strong

positive_score

1 Regular

positive_score

5 Weak

size

Size

annual sales of £16.1m, make it larger than the average company (£6.7m)

£16.1m - Jamf Ltd

£6.7m - Industry AVG

growth

Growth

3 year (CAGR) sales growth of 29%, show it is growing at a faster rate (5.9%)

29% - Jamf Ltd

5.9% - Industry AVG

production

Production

with a gross margin of 87.2%, this company has a lower cost of product (52.2%)

87.2% - Jamf Ltd

52.2% - Industry AVG

profitability

Profitability

an operating margin of -72.5% make it less profitable than the average company (3.7%)

-72.5% - Jamf Ltd

3.7% - Industry AVG

employees

Employees

with 136 employees, this is above the industry average (40)

136 - Jamf Ltd

40 - Industry AVG

paystructure

Pay Structure

on an average salary of £121.9k, the company has a higher pay structure (£70.5k)

£121.9k - Jamf Ltd

£70.5k - Industry AVG

efficiency

Efficiency

resulting in sales per employee of £118.5k, this is less efficient (£171k)

£118.5k - Jamf Ltd

£171k - Industry AVG

debtordays

Debtor Days

it gets paid by customers after 50 days, this is near the average (54 days)

50 days - Jamf Ltd

54 days - Industry AVG

creditordays

Creditor Days

its suppliers are paid after 68 days, this is slower than average (34 days)

68 days - Jamf Ltd

34 days - Industry AVG

stockdays

Stock Days

There is insufficient data available for this Key Performance Indicator!

- - Jamf Ltd

- - Industry AVG

cashbalance

Cash Balance

has cash to cover current liabilities for 3 weeks, this is less cash available to meet short term requirements (16 weeks)

3 weeks - Jamf Ltd

16 weeks - Industry AVG

debtlevel

Debt Level

it has a ratio of liabilities to total assets of 541.5%, this is a higher level of debt than the average (62.8%)

541.5% - Jamf Ltd

62.8% - Industry AVG

JAMF LTD financials

EXPORTms excel logo

Jamf Ltd's latest turnover from December 2022 is £16.1 million and the company has net assets of -£28.5 million. According to their latest financial statements, Jamf Ltd has 136 employees and maintains cash reserves of £2.5 million as reported in the balance sheet.

Data source: Companies HousePomanda Estimates

Dec 2022Dec 2021Dec 2020Dec 2019Dec 2018Dec 2017Dec 2016Dec 2015Dec 2014Dec 2013Dec 2012
Turnover16,112,11314,064,3217,306,8607,543,3335,982,2485,270,3324,465,4852,945,3746,279,3043,020,806735,811
Other Income Or Grants00000000000
Cost Of Sales2,056,0271,813,7883,498,6633,623,9942,818,9702,470,7822,085,1801,383,5252,949,5641,404,837349,376
Gross Profit14,056,08612,250,5333,808,1963,919,3393,163,2782,799,5512,380,3051,561,8503,329,7401,615,969386,435
Admin Expenses25,741,14319,627,0954,923,8567,122,9786,437,5407,166,1646,226,7864,750,0215,433,9543,180,865851,264
Operating Profit-11,685,057-7,376,562-1,115,660-3,203,639-3,274,262-4,366,613-3,846,481-3,188,171-2,104,214-1,564,896-464,829
Interest Payable00000000000
Interest Receivable665361,50318,58226,21711,3877,76312,2101,5731,369356
Pre-Tax Profit-11,684,392-7,376,526-1,114,157-3,185,057-3,248,045-4,355,226-3,838,718-3,175,961-2,102,641-1,563,527-464,473
Tax-88,4812,328,248000000000
Profit After Tax-11,772,873-5,048,278-1,114,157-3,185,057-3,248,045-4,355,226-3,838,718-3,175,961-2,102,641-1,563,527-464,473
Dividends Paid00000000000
Retained Profit-11,772,873-5,048,278-1,114,157-3,185,057-3,248,045-4,355,226-3,838,718-3,175,961-2,102,641-1,563,527-464,473
Employee Costs16,579,3158,345,2504,172,3454,250,4153,848,1563,446,3742,996,4882,315,2162,241,4101,070,582262,446
Number Of Employees1367566696460544241205
EBITDA*-11,585,425-7,324,975-1,067,811-3,161,851-3,217,646-4,284,897-3,760,896-3,132,134-2,083,467-1,557,580-463,669

* Earnings Before Interest, Tax, Depreciation and Amortisation

Dec 2022Dec 2021Dec 2020Dec 2019Dec 2018Dec 2017Dec 2016Dec 2015Dec 2014Dec 2013Dec 2012
Tangible Assets206,629110,31464,36170,58351,73867,059125,796187,75745,27245,6258,500
Intangible Assets96,4860000000000
Investments & Other160,744160,744160,744160,74463,36463,3645,4675,467000
Debtors (Due After 1 year)150,620150,620000000000
Total Fixed Assets614,479421,678225,105231,327115,102130,423131,263193,22445,27245,6258,500
Stock & work in progress00000000000
Trade Debtors2,233,9881,758,2281,093,6621,079,700837,124704,772536,539231,032306,71460,03218,460
Group Debtors00000000000
Misc Debtors1,141,363309,080398,189454,782351,435294,453214,261298,867000
Cash2,476,5611,516,1792,038,070967,5893,987,5063,003,7891,550,9074,659,573224,391404,948142,457
misc current assets00000000094,8040
total current assets5,851,9123,583,4873,529,9212,502,0715,176,0654,003,0142,301,7075,189,472531,105559,784160,917
total assets6,466,3914,005,1653,755,0262,733,3985,291,1674,133,4372,432,9705,382,696576,377605,409169,417
Bank overdraft00000000000
Bank loan00000000000
Trade Creditors 385,698117,844157,098477,894107,030181,98285,626103,9774,704,4222,566,315633,889
Group/Directors Accounts27,840,63115,822,95310,581,4786,893,4696,024,5355,926,078496,646222,974000
other short term finances00000000000
hp & lease commitments00000000000
other current liabilities6,472,6644,528,7624,317,5574,749,9994,365,4552,190,2101,697,1421,122,472000
total current liabilities34,698,99320,469,55915,056,13312,121,36210,497,0208,298,2702,279,4141,449,4234,704,4222,566,315633,889
loans00000000000
hp & lease commitments00000000000
Accruals and Deferred Income313,083425,590540,5991,339,5852,336,639129,61492,77733,776067,0930
other liabilities000000002,59500
provisions00000000000
total long term liabilities313,083425,590540,5991,339,5852,336,639129,61492,77733,7762,59567,0930
total liabilities35,012,07620,895,14915,596,73213,460,94712,833,6598,427,8842,372,1911,483,1994,707,0172,633,408633,889
net assets-28,545,685-16,889,984-11,841,706-10,727,549-7,542,492-4,294,44760,7793,899,497-4,130,640-2,027,999-464,472
total shareholders funds-28,545,685-16,889,984-11,841,706-10,727,549-7,542,492-4,294,44760,7793,899,497-4,130,640-2,027,999-464,472
Dec 2022Dec 2021Dec 2020Dec 2019Dec 2018Dec 2017Dec 2016Dec 2015Dec 2014Dec 2013Dec 2012
Operating Activities
Operating Profit-11,685,057-7,376,562-1,115,660-3,203,639-3,274,262-4,366,613-3,846,481-3,188,171-2,104,214-1,564,896-464,829
Depreciation78,94651,58747,84941,78856,61681,71685,58556,03720,7477,3161,160
Amortisation20,6860000000000
Tax-88,4812,328,248000000000
Stock00000000000
Debtors1,308,043726,077-42,631345,923189,334248,425220,901223,185246,68241,57218,460
Creditors267,854-39,254-320,796370,864-74,95296,356-18,351-4,600,4452,138,1071,932,426633,889
Accruals and Deferred Income1,831,39596,196-1,231,428-612,5104,382,270529,905633,6711,156,248-67,09367,0930
Deferred Taxes & Provisions00000000000
Cash flow from operations-10,882,700-5,665,862-2,577,404-3,749,420900,338-3,907,061-3,366,477-6,799,516-259,135400,367151,760
Investing Activities
capital expenditure-292,433-97,540-41,627-60,633-41,295-22,979-23,624-198,522-20,394-44,441-9,660
Change in Investments00097,380057,89705,467000
cash flow from investments-292,433-97,540-41,627-158,013-41,295-80,876-23,624-203,989-20,394-44,441-9,660
Financing Activities
Bank loans00000000000
Group/Directors Accounts12,017,6785,241,4753,688,009868,93498,4575,429,432273,672222,974000
Other Short Term Loans 00000000000
Long term loans00000000000
Hire Purchase and Lease Commitments00000000000
other long term liabilities0000000-2,5952,59500
share issue117,17200000011,206,098001
interest665361,50318,58226,21711,3877,76312,2101,5731,369356
cash flow from financing12,135,5155,241,5113,689,512887,516124,6745,440,819281,43511,438,6874,1681,369357
cash and cash equivalents
cash960,382-521,8911,070,481-3,019,917983,7171,452,882-3,108,6664,435,182-180,557262,491142,457
overdraft00000000000
change in cash960,382-521,8911,070,481-3,019,917983,7171,452,882-3,108,6664,435,182-180,557262,491142,457

jamf 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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Jamf Ltd Competitor Analysis

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Perform a competitor analysis for jamf ltd by selecting its closest rivals, whether from the INFORMATION AND COMMUNICATION sector, other mid companies, companies in MK5 area or any other competitors across 12 key performance metrics.

jamf ltd Ownership

JAMF LTD group structure

Jamf Ltd has 1 subsidiary company.

Ultimate parent company

WANDERA INC

#0088172

1 parent

JAMF LTD

07998183

1 subsidiary

JAMF LTD Shareholders

wandera inc. 100%

jamf ltd directors

Jamf Ltd currently has 3 directors. The longest serving directors include Mr Jeff Lendino (Jul 2021) and Mr Benjamin Oxnam (Jul 2021).

officercountryagestartendrole
Mr Jeff LendinoEngland54 years Jul 2021- Director
Mr Benjamin OxnamEngland50 years Jul 2021- Director
Mr Anthony GrabenauEngland48 years Nov 2024- Director

P&L

December 2022

turnover

16.1m

+15%

operating profit

-11.7m

+58%

gross margin

87.3%

+0.16%

turnover

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

Balance Sheet

December 2022

net assets

-28.5m

+0.69%

total assets

6.5m

+0.61%

cash

2.5m

+0.63%

net assets

Total assets minus all liabilities

jamf ltd company details

company number

07998183

Type

Private limited with Share Capital

industry

62090 - Other information technology and computer service activities

incorporation date

March 2012

age

13

incorporated

UK

ultimate parent company

WANDERA INC

accounts

Full Accounts

last accounts submitted

December 2022

previous names

wandera limited (April 2022)

snappli limited (March 2013)

accountant

-

auditor

ERNST & YOUNG LLP

address

c/o freeths llp, routeco office park, davy avenue, milton keynes, MK5 8HJ

Bank

-

Legal Advisor

-

jamf 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 jamf ltd. Currently there are 0 open charges and 2 have been satisfied in the past.

jamf 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.

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

jamf ltd Companies House Filings - See Documents

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