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CAIRN DENTAL LTD

Registered Number
SC483207
(Scotland)

Unaudited Financial Statements for the Year ended
31 March 2025

CAIRN DENTAL LTD
Company Information
for the year from 1 April 2024 to 31 March 2025

Director

VISOCCHI, Antony Michael

Company Secretary

VISOCCHI, Shuna Mhairi

Registered Address

1 Harestone Cottages
Crathes
Banchory
AB31 5QN

Registered Number

SC483207 (Scotland)
CAIRN DENTAL LTD
Balance Sheet as at
31 March 2025

Notes

2025

2024

£

£

£

£

Fixed assets
Tangible assets31,4361,632
1,4361,632
Current assets
Debtors48,39630,576
Cash at bank and on hand78718,126
49,18348,702
Creditors amounts falling due within one year4(18,897)(18,234)
Net current assets (liabilities)30,28630,468
Total assets less current liabilities31,72232,100
Creditors amounts falling due after one year5(750)(3,655)
Net assets30,97228,445
Capital and reserves
Called up share capital22
Profit and loss account30,97028,443
Shareholders' funds30,97228,445
The financial statements were approved and authorised for issue by the Director on 17 September 2025, and are signed on its behalf by:
VISOCCHI, Antony Michael
Director
Registered Company No. SC483207
CAIRN DENTAL LTD
Notes to the Financial Statements
for the year ended 31 March 2025

1.Accounting policies
Statutory information
The company is a private company limited by shares and registered in Scotland. The company's registered number and registered office address can be found on the Company Information page.
Statement of compliance
The financial statements have been prepared in compliance with FRS 102 Section 1A as it applies to the financial statements for the period and there were no material departures from the reporting standard.
Revenue from sale of goods
Turnover from the sale of goods is recognised when the significant risks and rewards of ownership of the goods have transferred to the buyer. Turnover from the rendering of services is recognised by reference to the stage of completion of the contract. The stage of completion of a contract is measured by comparing the costs incurred for work performed to date to the total estimated contract costs.
Foreign currency translation
Transactions in foreign currencies are initially recognised at the rate of exchange ruling at the date of the transaction. At the end of each reporting period foreign currency monetary items are translated at the closing rate of exchange. Non-monetary items that are measured at historical cost are translated at the rate ruling at the date of the transaction. All differences are charged to profit or loss.
Tangible fixed assets and depreciation
Tangible fixed assets are stated at cost or valuation less depreciation. Depreciation is provided on all tangible fixed assets as follows:

Straight line (years)
Office Equipment4
2.Average number of employees

20252024
Average number of employees during the year11
3.Tangible fixed assets

Fixtures & fittings

Office Equipment

Total

£££
Cost or valuation
At 01 April 249942,4443,438
Additions-479479
At 31 March 259942,9233,917
Depreciation and impairment
At 01 April 249948121,806
Charge for year-675675
At 31 March 259941,4872,481
Net book value
At 31 March 25-1,4361,436
At 31 March 24-1,6321,632
4.Creditors: amounts due within one year

2025

2024

££
Bank borrowings and overdrafts3,0003,360
Amounts owed to related parties15,1859,892
Taxation and social security7124,982
Total18,89718,234
Short term creditors are measured at transaction price (which is usually the invoice price). Loans and other financial liabilities are initially recognised at transaction price net of any transaction costs and subsequently measured at amortised cost determined using the effective interest method.
5.Creditors: amounts due after one year

2025

2024

££
Bank borrowings and overdrafts7503,655
Total7503,655