Company Information & Financial DataHeadmasters Salons Limited
Registered address:
- T: 03454597791
Directors
Current | Date Appointed |
---|---|
Reveal name
Surbiton, Surrey, KT6
|
09 Nov 2010 |
Reveal name
Surbiton, Surrey, KT6
|
05 Apr 2011 |
Reveal name
Surbiton, Surrey, KT6
|
05 Apr 2011 |
Reveal name
Surbiton, Surrey, KT6
|
05 Apr 2011 |
Reveal name
Surbiton, Surrey, KT6
|
05 Apr 2011 |
Previous | Date Appointed | Date Resigned |
---|---|---|
Reveal name
Surbiton, Surrey, KT6
|
05 Apr 2011 | 11 Aug 2017 |
Reveal name
Surbiton, Surrey, KT6
|
05 Apr 2011 | 25 May 2016 |
Reveal name
Surbiton, Surrey, KT6
|
10 Apr 2019 | 10 Mar 2021 |
Source: Companies House
Summary Profit & Loss
Years
Profit Before Tax TurnoverDate of Accounts | Year Ending 30 Mar 2019 £ |
Year Ending 28 Mar 2020 £ |
Year Ending 27 Mar 2021 £ |
Year Ending 26 Mar 2022 £ |
Year Ending 25 Mar 2023 £ |
|
---|---|---|---|---|---|---|
Turnover |
30 Mar 2019
28 Mar 2020
27 Mar 2021
26 Mar 2022
25 Mar 2023
|
£17,821,146 | £16,396,950 | £7,547,452 | £15,558,076 | £15,757,402 |
Profit Before Tax |
30 Mar 2019
28 Mar 2020
27 Mar 2021
26 Mar 2022
25 Mar 2023
|
£387,181 | £897,770 | £717,277 | £2,587,370 | £1,813,007 |
No. of Employees |
30 Mar 2019
28 Mar 2020
27 Mar 2021
26 Mar 2022
25 Mar 2023
|
571 | 515 | 484 | 433 | 407 |
Source: Companies House
Summary Balance Sheet
For more information on Abbreviated Accounts please click here:
http://www.companieshouse.gov.uk/about/gbhtml/gp2.shtml#ch6
Years
Net Worth Cash
30 Mar 2019
£ |
28 Mar 2020
£ |
27 Mar 2021
£ |
26 Mar 2022
£ |
25 Mar 2023
£ |
||
---|---|---|---|---|---|---|
Total Asset |
30 Mar 2019
28 Mar 2020
27 Mar 2021
26 Mar 2022
25 Mar 2023
|
£4,628,492 | £4,048,159 | £3,394,246 | £5,223,911 | £5,905,070 |
Current Asset |
30 Mar 2019
28 Mar 2020
27 Mar 2021
26 Mar 2022
25 Mar 2023
|
£3,396,697 | £3,164,986 | £2,512,460 | £4,626,139 | £5,090,192 |
Current Liabilities |
30 Mar 2019
28 Mar 2020
27 Mar 2021
26 Mar 2022
25 Mar 2023
|
£3,354,573 | £3,197,370 | £2,539,405 | £2,845,090 | £2,899,139 |
Net Current Assets |
30 Mar 2019
28 Mar 2020
27 Mar 2021
26 Mar 2022
25 Mar 2023
|
£1,273,919 | £850,789 | £854,841 | £2,378,821 | £3,005,931 |
Net Current Liabilities |
30 Mar 2019
28 Mar 2020
27 Mar 2021
26 Mar 2022
25 Mar 2023
|
£2,864,894 | £2,543,016 | £2,157,516 | £2,630,382 | £2,783,061 |
Net Worth |
30 Mar 2019
28 Mar 2020
27 Mar 2021
26 Mar 2022
25 Mar 2023
|
£1,130,852 | £784,002 | £801,716 | £2,333,821 | £2,969,056 |
Cash |
30 Mar 2019
28 Mar 2020
27 Mar 2021
26 Mar 2022
25 Mar 2023
|
£1,961,237 | £1,595,340 | £591,735 | £3,337,464 | £3,587,756 |
Profit & Loss Reserve |
30 Mar 2019
28 Mar 2020
27 Mar 2021
26 Mar 2022
25 Mar 2023
|
£1,258,111 | £834,981 | £839,033 | £2,363,013 | £2,990,123 |
Source: Companies House
Other Businesses At This Address
Company Name | Classification | Company Number |
---|---|---|
Rose Marie Healthcare Service Ltd
|
Hospitals | 15272940 |
Key: N/A = Not Available