1 April 2023 v2024.64.1 limited_company_frs_102_section_1a_v1_1_2 companies_houseSoftwarefalsetruetruetrueNo description of principal activityfalsetruexbrli:purexbrli:sharesiso4217:GBP134832752023-04-012024-03-31134832752024-03-31134832752023-03-3113483275core:WithinOneYear2024-03-3113483275core:WithinOneYear2023-03-3113483275core:ShareCapital2024-03-3113483275core:ShareCapital2023-03-3113483275core:RetainedEarningsAccumulatedLosses2024-03-3113483275core:RetainedEarningsAccumulatedLosses2023-03-3113483275bus:Director12023-04-012024-03-3113483275bus:RegisteredOffice2023-04-012024-03-3113483275core:OfficeEquipment2023-04-012024-03-3113483275core:FurnitureFittingsToolsEquipment2023-04-012024-03-31134832752022-04-012023-03-3113483275core:PlantMachinery2023-04-0113483275core:PlantMachinery2023-04-012024-03-3113483275core:PlantMachinery2024-03-3113483275core:PlantMachinery2023-03-311348327512023-04-012024-03-3113483275countries:EnglandWales2023-04-012024-03-3113483275bus:AuditExemptWithAccountantsReport2023-04-012024-03-3113483275bus:PrivateLimitedCompanyLtd2023-04-012024-03-3113483275bus:SmallEntities2023-04-012024-03-3113483275bus:FullAccounts2023-04-012024-03-31
Company registration number:
13483275
Heptonstall Creative Limited
Unaudited Filleted Financial Statements for the year ended
31 March 2024
Heptonstall Creative Limited
Report to the board of directors on the preparation of the unaudited statutory financial statements of Heptonstall Creative Limited
Year ended
31 March 2024
As described on the statement of financial position, the Board of Directors of
Heptonstall Creative Limited
are responsible for the preparation of the
financial statements
for the year ended
31 March 2024
, which comprise the income statement, statement of income and retained earnings, statement of financial position and related notes.
You consider that the company is exempt from an audit under the Companies Act 2006.
In accordance with your instructions I have compiled these unaudited financial statements in order to assist you to fulfil your statutory responsibilities, from the accounting records and from information and explanations supplied to me.
Sutton & Co Accountants Ltd
25 Park Street
Macclesfield
Cheshire
SK11 6SS
United Kingdom
Date:
26 November 2024
Heptonstall Creative Limited
Statement of Financial Position
31 March 2024
20242023
Note££
Fixed assets    
Tangible assets 5
10,928
 
7,255
 
Current assets    
Debtors 6
7,232
 
7,311
 
Cash at bank and in hand
54,917
 
37,713
 
62,149
 
45,024
 
Creditors: amounts falling due within one year 7
(16,720
)
(15,715
)
Net current assets
45,429
 
29,309
 
Total assets less current liabilities 56,357   36,564  
Provisions for liabilities
(813
)
(1,554
)
Net assets
55,544
 
35,010
 
Capital and reserves    
Called up share capital
100
 
100
 
Profit and loss account
55,444
 
34,910
 
Shareholders funds
55,544
 
35,010
 
For the year ending
31 March 2024
, the company was entitled to exemption from audit under section 477 of the Companies Act 2006 relating to small companies.
Director's responsibilities:
  • The members have not required the company to obtain an audit of its financial statements for the year in question in accordance with section 476;
  • The director acknowledges their responsibilities for complying with the requirements of the Act with respect to accounting records and the preparation of financial statements.
These
financial statements
have been prepared and delivered in accordance with the provisions applicable to companies subject to the small companies’ regime.
In accordance with Section 444 of the Companies Act 2006, the income statement has not been delivered.
These
financial statements
were approved by the board of directors and authorised for issue on
26 November 2024
, and are signed on behalf of the board by:
Harry Edward Heptonstall
Director
Company registration number:
13483275
Heptonstall Creative Limited
Notes to the Financial Statements
Year ended
31 March 2024

1 General information

The company is a private company limited by shares and is registered in England and Wales. The address of the registered office is
Wallhill Lane Farm
,
Wallhill Lane
,
Brownlow
,
Cheshire
,
CW12 4TD
, England.

2 Statement of compliance

These
financial statements
have been prepared in compliance with FRS 102 Section 1A, 'The Financial Reporting Standard applicable to the UK and Republic of Ireland'.

3 Accounting policies

Basis of preparation

The
financial statements
have been prepared on the historical cost basis.
The
financial statements
are prepared in sterling, which is the functional currency of the company.

Turnover

Turnover is measured at the fair value of the consideration received or receivable for services supplied.

Current tax

Current tax is recognised on taxable profit for the current and past periods. Current tax is measured at the amounts of tax expected to pay or recover using the tax rates and laws that have been enacted or substantively enacted at the reporting date.

Tangible assets

Tangible assets are initially measured at cost, and are subsequently measured at cost less any accumulated depreciation.
Depreciation is calculated so as to write off the cost of an asset, less its estimated residual value, over the useful economic life of that asset as follows:
Office equipment
25% straight line
Fixtures, fittings and equipment
15% reducing balance

Deferred tax

Deferred tax is recognised in respect of all timing differences that have originated but not reversed at the reporting date. Deferred tax is measured on an undiscounted basis at the tax rates that would apply in the periods in which timing differences are expected to reverse, based on tax rates and laws enacted at the statement of financial position date.

4 Average number of employees

The average number of persons employed by the company during the year was
1
(2023:
1
).

5 Tangible assets

Plant and machinery etc.
£
Cost  
At
1 April 2023
9,046
 
Additions
6,193
 
At
31 March 2024
15,239
 
Depreciation  
At
1 April 2023
1,791
 
Charge
2,520
 
At
31 March 2024
4,311
 
Carrying amount  
At
31 March 2024
10,928
 
At 31 March 2023
7,255
 

6 Debtors

20242023
££
Trade debtors
7,232
 
7,301
 
Other debtors -  
10
 
7,232
 
7,311
 

7 Creditors: amounts falling due within one year

20242023
££
Trade creditors
18
  -  
Taxation and social security
14,916
 
14,039
 
Other creditors
1,786
 
1,676
 
16,720
 
15,715