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FOR THE YEAR ENDED |
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CONSOLIDATED FINANCIAL STATEMENTS |
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CONTENTS |
PAGES |
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Officers and professional advisers |
1 |
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Strategic report |
2 to 3 |
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Directors' report |
4 to 5 |
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Independent auditor's report to the members |
6 to 9 |
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Consolidated statement of income and retained earnings |
10 |
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Company statement of income and retained earnings |
11 |
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Consolidated statement of financial position |
12 |
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Company statement of financial position |
13 |
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Consolidated statement of cash flows |
14 |
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Notes to the consolidated financial statements |
15 to 24 |
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OFFICERS AND PROFESSIONAL ADVISERS |
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THE BOARD OF DIRECTORS |
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REGISTERED OFFICE |
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AUDITOR |
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Chartered accountants & statutory auditor |
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20-22 Bridge End |
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Leeds |
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LS1 4DJ |
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STRATEGIC REPORT |
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Director |
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Registered office: |
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DIRECTORS' REPORT |
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(Appointed
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(Appointed
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Director |
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Registered office: |
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INDEPENDENT AUDITOR'S REPORT TO THE MEMBERS OF
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(Senior Statutory Auditor) |
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For and on behalf of |
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Chartered accountants & statutory auditor |
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20-22 Bridge End |
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Leeds |
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LS1 4DJ |
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CONSOLIDATED STATEMENT OF INCOME AND RETAINED EARNINGS |
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2024 |
2023 |
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Note |
£ |
£ |
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TURNOVER |
4 |
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Cost of sales |
(
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(
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GROSS PROFIT |
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Distribution costs |
(
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(
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Administrative expenses |
(
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Other operating income |
5 |
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OPERATING PROFIT |
6 |
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Interest payable and similar expenses |
10 |
(
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PROFIT BEFORE TAXATION |
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Tax on profit |
11 |
(
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PROFIT FOR THE FINANCIAL YEAR AND TOTAL COMPREHENSIVE INCOME |
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RETAINED LOSSES AT THE START OF THE YEAR |
(
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RETAINED EARNINGS/(LOSSES) AT THE END OF THE YEAR |
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(
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COMPANY STATEMENT OF INCOME AND RETAINED EARNINGS |
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2024 |
2023 |
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Note |
£ |
£ |
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Profit for the financial year and total comprehensive income |
(
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RETAINED LOSSES AT THE START OF THE YEAR |
(
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RETAINED LOSSES AT THE END OF THE YEAR |
(
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(
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CONSOLIDATED STATEMENT OF FINANCIAL POSITION |
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2024 |
2023 |
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Note |
£ |
£ |
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Intangible assets |
12 |
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Tangible assets |
13 |
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Stocks |
15 |
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Debtors |
16 |
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Cash at bank and in hand |
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CREDITORS: amounts falling due within one year |
18 |
(
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NET CURRENT ASSETS/(LIABILITIES) |
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(
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TOTAL ASSETS LESS CURRENT LIABILITIES |
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CREDITORS: amounts falling due after more than one year |
19 |
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PROVISIONS |
20 |
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NET ASSETS |
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Called up share capital |
23 |
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Share premium account |
24 |
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Profit and loss account |
24 |
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(
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SHAREHOLDERS FUNDS |
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Director |
Director |
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COMPANY STATEMENT OF FINANCIAL POSITION |
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2024 |
2023 |
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Note |
£ |
£ |
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Investments |
14 |
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Debtors |
16 |
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Cash at bank and in hand |
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CREDITORS: amounts falling due within one year |
18 |
(
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NET CURRENT LIABILITIES |
(
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TOTAL ASSETS LESS CURRENT LIABILITIES |
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NET ASSETS |
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Called up share capital |
23 |
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Share premium account |
24 |
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Profit and loss account |
24 |
(
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(
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SHAREHOLDERS FUNDS |
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Director |
Director |
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CONSOLIDATED STATEMENT OF CASH FLOWS |
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2024 |
2023 |
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Note |
£ |
£ |
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Profit for the financial year |
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Adjustments for: |
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Depreciation of tangible assets |
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Amortisation of intangible assets |
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Interest payable and similar expenses |
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Loss on disposal of tangible assets |
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Tax on (loss)/profit |
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(
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Accrued expenses |
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Changes in: |
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Stocks |
(
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Trade and other debtors |
(
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Trade and other creditors |
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Cash generated from operations |
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Interest paid |
(
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(
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Tax (paid)/received |
(
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Net cash from operating activities |
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Purchase of tangible assets |
(
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(
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Proceeds from sale of tangible assets |
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– |
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Purchase of intangible assets |
(
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(
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Net cash used in investing activities |
(
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(
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Proceeds from borrowings |
(
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Net cash (used in)/from financing activities |
(
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NET INCREASE/(DECREASE) IN CASH AND CASH EQUIVALENTS |
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(
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CASH AND CASH EQUIVALENTS AT BEGINNING OF YEAR |
1,003,801 |
1,040,907 |
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CASH AND CASH EQUIVALENTS AT END OF YEAR |
17 |
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NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS |
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Development costs |
- |
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Leasehold property investments |
- |
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Website development |
- |
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Fixtures and fittings |
- |
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Motor vehicles |
- |
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Equipment |
- |
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2024 |
2023 |
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£ |
£ |
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Sale of goods |
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------------- |
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2024 |
2023 |
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£ |
£ |
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Other operating income |
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-------- |
------- |
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2024 |
2023 |
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£ |
£ |
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Amortisation of intangible assets |
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Depreciation of tangible assets |
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Loss on disposal of tangible assets |
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Impairment of trade debtors |
(2,854) |
(14,767) |
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Foreign exchange differences |
(
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--------- |
--------- |
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2024 |
2023 |
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£ |
£ |
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Fees payable for the audit of the consolidated financial statements |
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-------- |
-------- |
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2024 |
2023 |
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No. |
No. |
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Production staff |
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Administrative staff |
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Management staff |
5 |
9 |
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---- |
---- |
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---- |
---- |
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2024 |
2023 |
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£ |
£ |
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Wages and salaries |
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Other pension costs |
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------------ |
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2024 |
2023 |
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£ |
£ |
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Remuneration |
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--------- |
-------- |
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2024 |
2023 |
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£ |
£ |
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Aggregate remuneration |
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--------- |
-------- |
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2024 |
2023 |
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£ |
£ |
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Interest on banks loans and overdrafts |
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Interest on convertible loan agreements |
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– |
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Other interest payable and similar charges |
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--------- |
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2024 |
2023 |
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£ |
£ |
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UK current tax income |
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(
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Adjustments in respect of prior periods |
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– |
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--------- |
---- |
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Total current tax |
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(
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Origination and reversal of timing differences |
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– |
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--------- |
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Tax on (loss)/profit |
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(
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--------- |
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2024 |
2023 |
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£ |
£ |
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Profit on ordinary activities before taxation |
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--------- |
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Profit on ordinary activities by rate of tax |
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Adjustment to tax charge in respect of prior periods |
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– |
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Effect of expenses not deductible for tax purposes |
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Effect of capital allowances and depreciation |
(
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(
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Utilisation of tax losses |
(
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– |
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Deferred tax movement |
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– |
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------------ |
--------- |
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Tax on (loss)/profit |
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(
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Group |
Software develop -ment |
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£ |
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Cost |
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At 30 December 2023 |
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Additions |
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At 28 December 2024 |
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Amortisation |
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At 30 December 2023 |
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Charge for the year |
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At 28 December 2024 |
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Carrying amount |
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At 28 December 2024 |
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At 29 December 2023 |
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Group |
Leasehold property improve -ments |
Website develop -ment |
Fixtures and fittings |
Motor vehicles |
Equipment |
Total |
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£ |
£ |
£ |
£ |
£ |
£ |
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Cost |
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At 30 Dec 2023 |
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Additions |
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– |
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Disposals |
– |
– |
– |
(
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– |
(
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-------- |
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At 28 Dec 2024 |
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------------ |
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-------- |
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Depreciation |
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At 30 Dec 2023 |
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Charge for the year |
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Disposals |
– |
– |
– |
(
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– |
(
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At 28 Dec 2024 |
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Carrying amount |
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At 28 Dec 2024 |
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At 29 Dec 2023 |
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Company |
Unlisted |
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£ |
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Cost |
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At 30 December 2023 and 28 December 2024 |
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Impairment |
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At 30 December 2023 and 28 December 2024 |
– |
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Carrying amount |
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At 30 December 2023 and 28 December 2024 |
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At 29 December 2023 |
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Class of share |
Percentage of shares held |
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Subsidiary undertakings |
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Ordinary |
100 |
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Group |
Company |
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2024 |
2023 |
2024 |
2023 |
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£ |
£ |
£ |
£ |
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Finished goods and goods for resale |
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– |
– |
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Group |
Company |
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2024 |
2023 |
2024 |
2023 |
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£ |
£ |
£ |
£ |
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Trade debtors |
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– |
– |
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Amounts owed by group undertakings |
– |
– |
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Prepayments and accrued income |
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– |
– |
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Corporation tax repayable |
– |
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– |
– |
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Other debtors |
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– |
– |
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2024 |
2023 |
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£ |
£ |
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Cash at bank and in hand |
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Bank overdrafts |
– |
(
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------------ |
------------ |
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Group |
Company |
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2024 |
2023 |
2024 |
2023 |
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£ |
£ |
£ |
£ |
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Bank loans and overdrafts |
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– |
– |
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Trade creditors |
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– |
– |
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Accruals and deferred income |
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Corporation tax |
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– |
– |
– |
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Social security and other taxes |
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– |
– |
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Director loan accounts |
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– |
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Other creditors |
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------------ |
------------ |
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------------ |
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Group |
Company |
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2024 |
2023 |
2024 |
2023 |
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£ |
£ |
£ |
£ |
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Bank loans and overdrafts |
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– |
– |
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------- |
--------- |
---- |
---- |
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Group |
Deferred tax (note 21) |
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£ |
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At 30 December 2023 |
– |
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Additions |
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--------- |
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At 28 December 2024 |
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--------- |
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Group |
Company |
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2024 |
2023 |
2024 |
2023 |
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£ |
£ |
£ |
£ |
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Included in provisions (note 20) |
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– |
– |
– |
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--------- |
---- |
---- |
---- |
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Group |
Company |
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2024 |
2023 |
2024 |
2023 |
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£ |
£ |
£ |
£ |
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Accelerated capital allowances |
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– |
– |
– |
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--------- |
---- |
---- |
---- |
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2024 |
2023 |
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No. |
£ |
No. |
£ |
|
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|
76 |
|
76 |
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1 |
|
1 |
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|
3 |
|
3 |
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|
13 |
|
13 |
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-------- |
---- |
-------- |
---- |
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93 |
|
93 |
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-------- |
---- |
-------- |
---- |
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At 30 Dec 2023 |
Cash flows |
At 28 Dec 2024 |
|
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£ |
£ |
£ |
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Cash at bank and in hand |
|
5,103,561 |
|
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Bank overdrafts |
(14,869) |
14,869 |
– |
|
Debt due within one year |
(243,573) |
170,759 |
(72,814) |
|
Debt due after one year |
(826,109) |
821,123 |
(4,986) |
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------------ |
------------ |
------------ |
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(
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------------ |
------------ |
------------ |
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