newmark gerald eve llp

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newmark gerald eve llp Company Information

Share NEWMARK GERALD EVE LLP

Company Number

OC339470

Directors

-

Shareholders

-

Group Structure

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Industry

Registered Address

one fitzroy 6 mortimer street, london, W1T 3JJ

newmark gerald eve llp Estimated Valuation

£0

Pomanda estimates the enterprise value of NEWMARK GERALD EVE LLP at £0 based on a Turnover of £95.1m and 0x industry multiple (adjusted for size and gross margin).

newmark gerald eve llp Estimated Valuation

£0

Pomanda estimates the enterprise value of NEWMARK GERALD EVE LLP at £0 based on an EBITDA of £8.2m and a 0x industry multiple (adjusted for size and gross margin).

newmark gerald eve llp Estimated Valuation

£0

Pomanda estimates the enterprise value of NEWMARK GERALD EVE LLP at £0 based on Net Assets of £18.9m and 0x industry multiple (adjusted for liquidity).

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Newmark Gerald Eve Llp Overview

Newmark Gerald Eve Llp is a live company located in london, W1T 3JJ with a Companies House number of OC339470. Founded in August 2008, it's largest shareholder is unknown. Newmark Gerald Eve Llp is a established, large sized company, Pomanda has estimated its turnover at £95.1m with healthy growth in recent years.

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Newmark Gerald Eve Llp Health Check

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NEWMARK GERALD EVE LLP financials

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Newmark Gerald Eve Llp's latest turnover from March 2024 is £95.1 million and the company has net assets of £18.9 million. According to their latest financial statements, Newmark Gerald Eve Llp has 601 employees and maintains cash reserves of £9.4 million as reported in the balance sheet.

Data source: Companies HousePomanda Estimates

Mar 2024Mar 2023Apr 2022Apr 2021Apr 2020Apr 2019Apr 2018Apr 2017Apr 2016Apr 2015Apr 2014Apr 2013Apr 2012Apr 2011Apr 2010
Turnover95,112,00094,915,00096,106,00075,763,00075,515,00068,744,00064,725,00062,017,00054,323,00048,896,00043,982,00037,734,00034,523,00034,141,00032,578,000
Other Income Or Grants
Cost Of Sales2,653,0003,429,0003,392,0002,338,0002,338,000
Gross Profit92,459,00091,486,00092,714,00073,425,00073,177,000
Admin Expenses85,278,00073,811,00063,244,00053,895,00053,607,000-18,740,000-18,267,000-15,655,000-15,564,000-13,846,000-11,303,000-9,600,000-7,382,000-8,118,000-7,315,000
Operating Profit7,181,00017,675,00029,470,00019,530,00019,570,00018,740,00018,267,00015,655,00015,564,00013,846,00011,303,0009,600,0007,382,0008,118,0007,315,000
Interest Payable315,000200,00039,00021,00031,00028,00032,00034,00045,00063,00094,000114,000125,00084,00094,000
Interest Receivable483,000472,00024,00070,00067,00028,00044,00038,00040,00030,00020,0009,00011,00017,000
Pre-Tax Profit7,349,00017,947,00029,455,00019,509,00019,609,00018,779,00018,255,00015,662,00015,557,00013,823,00011,239,0009,506,0007,266,0008,045,0007,238,000
Tax-15,447,000-255,000-220,000-217,000-107,000-1,000
Profit After Tax7,349,0002,500,00029,455,00019,509,00019,609,00018,779,00018,255,00015,407,00015,337,00013,606,00011,132,0009,506,0007,266,0008,045,0007,237,000
Dividends Paid
Retained Profit7,349,0002,500,000170,000101,000138,0008,637,0006,227,0007,005,0006,178,000
Employee Costs52,317,00056,382,00046,797,00040,615,00038,393,00034,623,00032,307,00032,100,00026,157,00023,586,00021,177,00019,135,00018,009,00017,155,00017,256,000
Number Of Employees601574542516509475436420370348322320306291283
EBITDA*8,222,00018,598,00030,232,00020,330,00020,528,00019,643,00019,127,00016,435,00016,239,00014,459,00011,776,00010,080,0007,892,0008,773,0008,234,000

* Earnings Before Interest, Tax, Depreciation and Amortisation

Mar 2024Mar 2023Apr 2022Apr 2021Apr 2020Apr 2019Apr 2018Apr 2017Apr 2016Apr 2015Apr 2014Apr 2013Apr 2012Apr 2011Apr 2010
Tangible Assets5,612,0005,413,0003,241,0001,885,0001,860,0001,561,0001,661,0002,287,0001,391,0001,735,0001,827,0002,024,0002,192,0002,359,000964,000
Intangible Assets101,00095,00042,00099,000189,000261,000278,000201,000194,00048,00058,00060,00068,00076,00062,000
Investments & Other
Debtors (Due After 1 year)
Total Fixed Assets5,713,0005,508,0003,283,0001,984,0002,049,0001,822,0001,939,0002,488,0001,585,0001,783,0001,885,0002,084,0002,260,0002,435,0001,026,000
Stock & work in progress
Trade Debtors24,207,00021,448,00018,405,00014,849,00017,397,00015,871,00015,672,00015,109,00010,945,00010,959,00010,133,0009,382,0007,616,0008,311,0008,328,000
Group Debtors2,700,000
Misc Debtors13,145,00014,073,00011,807,0009,693,0009,446,0008,603,0008,477,0008,574,0007,674,0008,474,0006,911,0006,360,0006,752,0006,497,0005,225,000
Cash9,379,00010,824,00024,000,00021,281,00013,062,00010,669,0009,606,0005,731,0009,273,0007,223,0005,475,0003,825,0002,513,0002,274,000742,000
misc current assets
total current assets49,431,00046,345,00054,212,00045,823,00039,905,00035,143,00033,755,00029,414,00027,892,00026,656,00022,519,00019,567,00016,881,00017,082,00014,295,000
total assets55,144,00051,853,00057,495,00047,807,00041,954,00036,965,00035,694,00031,902,00029,477,00028,439,00024,404,00021,651,00019,141,00019,517,00015,321,000
Bank overdraft366,000558,0002,051,0001,400,000106,000294,000298,000287,000116,000149,000
Bank loan109,000129,000122,000115,000232,000
Trade Creditors 2,292,0002,268,0002,899,0001,558,0003,553,0002,867,0002,462,0001,692,0001,289,0001,876,0001,411,0001,224,0001,856,0001,130,000145,000
Group/Directors Accounts5,814,000
other short term finances
hp & lease commitments26,00076,000165,000186,000176,000215,000261,000299,000
other current liabilities29,846,00027,641,00020,923,00020,495,00015,882,00012,759,00012,299,00011,439,00010,196,00010,088,0008,850,0007,062,0006,875,0006,234,0005,561,000
total current liabilities32,504,00036,281,00025,873,00023,453,00019,541,00015,920,00015,059,00013,444,00011,677,00012,238,00010,576,0008,584,0009,061,0007,857,0006,154,000
loans3,075,0003,441,000325,000106,000400,000698,000494,000610,000704,000834,000956,0001,071,000125,000
hp & lease commitments26,000102,000266,000452,000324,000519,000252,000
Accruals and Deferred Income
other liabilities
provisions704,000619,000752,000887,000922,000759,000813,000662,000516,000527,000593,000560,000228,000223,000409,000
total long term liabilities3,779,0004,060,0001,077,000887,000922,000865,0001,213,0001,360,0001,036,0001,239,0001,563,0001,846,0001,508,0001,813,000786,000
total liabilities36,283,00040,341,00026,950,00024,340,00020,463,00016,785,00016,272,00014,804,00012,713,00013,477,00012,139,00010,430,00010,569,0009,670,0006,940,000
net assets18,861,00011,512,00030,545,00023,467,00021,491,00020,180,00019,422,00017,098,00016,764,00014,962,00012,265,00011,221,0008,572,0009,836,0008,370,000
total shareholders funds18,861,00011,512,00030,545,00023,467,00021,491,00020,180,00019,422,00017,098,00016,764,00014,962,00012,265,00011,221,0008,572,0009,836,0008,370,000
Mar 2024Mar 2023Apr 2022Apr 2021Apr 2020Apr 2019Apr 2018Apr 2017Apr 2016Apr 2015Apr 2014Apr 2013Apr 2012Apr 2011Apr 2010
Operating Activities
Operating Profit7,181,00017,675,00029,470,00019,530,00019,570,00018,740,00018,267,00015,655,00015,564,00013,846,00011,303,0009,600,0007,382,0008,118,0007,315,000
Depreciation1,012,000880,000720,000724,000857,000798,000774,000713,000613,000603,000465,000472,000502,000593,000769,000
Amortisation29,00043,00042,00076,000101,000105,00086,00067,00062,00010,0008,0008,0008,00062,000150,000
Tax-15,447,000-255,000-220,000-217,000-107,000-1,000
Stock
Debtors4,531,0005,309,0005,670,000-2,301,0002,369,000325,000466,0005,064,000-814,0002,389,0001,302,0001,374,000-440,0001,255,00013,553,000
Creditors24,000-631,0001,341,000-1,995,000686,000405,000770,000403,000-587,000465,000187,000-632,000726,000985,000145,000
Accruals and Deferred Income2,205,0006,718,000428,0004,613,0003,123,000460,000860,0001,243,000108,0001,238,0001,788,000187,000641,000673,0005,561,000
Deferred Taxes & Provisions85,000-133,000-135,000-35,000163,000-54,000151,000146,000-11,000-66,00033,000332,0005,000-186,000409,000
Cash flow from operations6,005,0003,796,00026,196,00025,214,00022,131,00020,129,00020,442,00012,908,00016,343,00013,490,00012,375,0008,593,0009,704,0008,990,000795,000
Investing Activities
capital expenditure-769,000-331,000-1,679,000-374,000-514,000-259,000-289,000-307,000-1,239,000-6,990,000
Change in Investments
cash flow from investments-769,000-331,000-1,679,000-374,000-514,000-259,000-289,000-307,000-1,239,000-6,990,000
Financing Activities
Bank loans-109,000-20,0007,0007,000-117,000232,000
Group/Directors Accounts-5,814,0005,814,000
Other Short Term Loans
Long term loans-366,0003,116,000325,000-106,000-294,000-298,000204,000-116,000-94,000-130,000-122,000-115,000946,000125,000
Hire Purchase and Lease Commitments-26,000-76,000-165,000-185,000-176,00089,000-241,000229,000551,000
other long term liabilities
share issue-21,533,0007,078,0001,976,0001,311,000758,0002,324,000164,0001,701,0002,559,0001,044,000-5,988,000-7,491,000-5,539,0002,192,000
interest168,000272,000-15,000-21,00039,00039,000-4,00010,000-7,000-23,000-64,000-94,000-116,000-73,000-77,000
cash flow from financing-6,012,000-12,331,0007,388,0001,955,0001,244,000503,0001,996,000302,0001,304,0002,237,000681,000-6,108,000-8,080,000-4,205,0002,791,000
cash and cash equivalents
cash-1,445,000-13,176,0002,719,0008,219,0002,393,0001,063,0003,875,000-3,542,0002,050,0001,748,0001,650,0001,312,000239,0001,532,000742,000
overdraft-192,000-1,493,000651,0001,294,000-188,000-4,00011,000171,000116,000-149,000149,000
change in cash-1,253,000-11,683,0002,068,0006,925,0002,581,0001,067,0003,864,000-3,713,0001,934,0001,748,0001,650,0001,312,000239,0001,681,000593,000

newmark gerald eve llp 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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Newmark Gerald Eve Llp Competitor Analysis

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newmark gerald eve llp Ownership

NEWMARK GERALD EVE LLP group structure

Newmark Gerald Eve Llp has 5 subsidiary companies.

NEWMARK GERALD EVE LLP Shareholders

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newmark gerald eve llp directors

Newmark Gerald Eve Llp currently has 1 director, undefined undefined serving since - .

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P&L

March 2024

turnover

95.1m

0%

operating profit

7.2m

-59%

gross margin

97.3%

+0.85%

turnover

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

Balance Sheet

March 2024

net assets

18.9m

+0.64%

total assets

55.1m

+0.06%

cash

9.4m

-0.13%

net assets

Total assets minus all liabilities

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newmark gerald eve llp company details

company number

OC339470

Type

Other

industry

incorporation date

August 2008

age

17

incorporated

UK

ultimate parent company

None

accounts

Full Accounts

last accounts submitted

March 2024

previous names

gerald eve llp (January 2025)

accountant

-

auditor

ERNST & YOUNG LLP

address

one fitzroy 6 mortimer street, london, W1T 3JJ

Bank

BARCLAYS BANK PLC

Legal Advisor

-

newmark gerald eve llp Charges & Mortgages

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newmark gerald eve llp Companies House Filings - See Documents

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