1 June 2022 false No description of principal activity Taxfiler 2024.1 12018891business:PrivateLimitedCompanyLtd2022-06-012023-05-31 120188912022-05-31 120188912022-06-012023-05-31 12018891business:AuditExemptWithAccountantsReport2022-06-012023-05-31 12018891business:AbridgedAccounts2022-06-012023-05-31 120188912023-05-31 12018891business:Director12022-06-012023-05-31 12018891business:RegisteredOffice2022-06-012023-05-31 120188912022-05-31 12018891core:WithinOneYear2023-05-31 12018891core:WithinOneYear2022-05-31 12018891core:AfterOneYear2023-05-31 12018891core:AfterOneYear2022-05-31 12018891core:ShareCapitalcore:PreviouslyStatedAmount2023-05-31 12018891core:ShareCapitalcore:PreviouslyStatedAmount2022-05-31 12018891core:RetainedEarningsAccumulatedLossescore:PreviouslyStatedAmount2023-05-31 12018891core:RetainedEarningsAccumulatedLossescore:PreviouslyStatedAmount2022-05-31 12018891core:PreviouslyStatedAmount2023-05-31 12018891core:PreviouslyStatedAmount2022-05-31 12018891business:SmallEntities2022-06-012023-05-31 12018891countries:EnglandWales2022-06-012023-05-31 12018891core:MotorVehicles2022-06-012023-05-31 120188912021-06-012022-05-31 iso4217:GBP xbrli:pure
Company Registration No. 12018891 (England and Wales)
STAR READYMIX CONCRETE LTD Unaudited accounts for the year ended 31 May 2023
STAR READYMIX CONCRETE LTD Unaudited accounts Contents
Page
- 2 -
STAR READYMIX CONCRETE LTD Company Information for the year ended 31 May 2023
Director
MANINDER SINGH
Company Number
12018891 (England and Wales)
Registered Office
14 RALEIGH ROAD SOUTHALL UB2 5TW ENGLAND
- 3 -
STAR READYMIX CONCRETE LTD Statement of financial position as at 31 May 2023
2023 
2022 
Notes
£ 
£ 
Fixed assets
Tangible assets
61,091 
93,865 
Current assets
Debtors
1,553 
- 
Cash at bank and in hand
8,249 
10,018 
9,802 
10,018 
Creditors: amounts falling due within one year
(26,512)
(49,398)
Net current liabilities
(16,710)
(39,380)
Total assets less current liabilities
44,381 
54,485 
Creditors: amounts falling due after more than one year
(28,707)
(39,356)
Net assets
15,674 
15,129 
Capital and reserves
Called up share capital
1 
1 
Profit and loss account
15,673 
15,128 
Shareholders' funds
15,674 
15,129 
For the year ending 31 May 2023 the company was entitled to exemption from audit under section 477 of the Companies Act 2006 relating to small companies. The members have not required the company to obtain an audit in accordance with section 476 of the Companies Act 2006.
The director acknowledges his responsibilities for complying with the requirements of the Act with respect to accounting records and the preparation of accounts.
The members have agreed to the preparation of abridged accounts for the year in accordance with Section 444(2A).
These accounts have been prepared and delivered in accordance with the provisions applicable to companies subject to the small companies' regime and in accordance with the provisions of FRS 102 Section 1A - Small Entities. The profit and loss account has not been delivered to the Registrar of Companies.
The financial statements were approved by the Board and authorised for issue on 20 February 2024 and were signed on its behalf by
MANINDER SINGH Director Company Registration No. 12018891
- 4 -
STAR READYMIX CONCRETE LTD Notes to the Accounts for the year ended 31 May 2023
1
Statutory information
STAR READYMIX CONCRETE LTD is a private company, limited by shares, registered in England and Wales, registration number 12018891. The registered office is 14 RALEIGH ROAD, SOUTHALL, UB2 5TW, ENGLAND.
2
Compliance with accounting standards
The accounts have been prepared in accordance with the provisions of FRS 102 Section 1A Small Entities. There were no material departures from that standard.
3
Accounting policies
The principal accounting policies adopted in the preparation of the financial statements are set out below and have remained unchanged from the previous year, and also have been consistently applied within the same accounts.
Basis of preparation
The accounts have been prepared under the historical cost convention as modified by the revaluation of certain fixed assets.
Presentation currency
The accounts are presented in £ sterling.
Tangible fixed assets and depreciation
Tangible assets are included at cost less depreciation and impairment. Depreciation has been provided at the following rates in order to write off the assets over their estimated useful lives:
Motor vehicles
truck
4
Tangible fixed assets
Total 
£ 
Cost or valuation
At 1 June 2022
120,500 
At 31 May 2023
120,500 
Depreciation
At 1 June 2022
26,635 
Charge for the year
32,774 
At 31 May 2023
59,409 
Net book value
At 31 May 2023
61,091 
At 31 May 2022
93,865 
5
Average number of employees
During the year the average number of employees was 0 (2022: 0).
- 5 -