| LONDON EXECUTIVE CHAUFFEURS LTD |
| Data not obtained from trial balance |
| Enter data in the white spaces Enter numbers as + unless indicated |
Current year |
Comparative |
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| Units (eg £ or £000) |
£ |
include a trailing space |
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| Company registration number |
05921889 |
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| Address of registered office as a single |
| paragraph of text) |
UNIMEX HOUSE, ABBEY ROAD, SUITE 29 , 2ND FLOOR,LONDON NW10 7TR |
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Date |
| Approval date of the accounts by the board |
31/05/2026 |
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Date |
| Date of signing of the accountants report |
01/06/2026 |
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| Date of engagement letter (required for |
Date |
| CA and ACCA reports) |
01/01/2025 |
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| Name of director signing balance sheet |
DAWOD L DAWOD |
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| Name of accountants |
ASIAMAH & CO |
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| Type of firm (eg Chartered Accountants) |
Chartered Certified Accountants |
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| Address of accountants |
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Address line 1 |
12 HOLLIDAY SQUARE |
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Address line 2 |
LONDON |
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City or town |
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County or region |
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Postcode |
SW11 2HR |
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| Number |
Number |
| Average number of persons employed by the company |
3 |
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3 |
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| LONDON EXECUTIVE CHAUFFEURS LTD |
| Registered number: |
05921889 |
| Balance Sheet |
| as at 30 September 2025 |
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2025 |
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2024 |
| £ |
£ |
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| Called up share capital not paid |
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- |
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- |
| Fixed assets |
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283,879 |
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283,879 |
| Current assets |
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62,306 |
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24,500 |
| Prepayments and accrued income |
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- |
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- |
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62,306 |
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24,500 |
| Creditors: amounts falling due within one year |
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(278,168) |
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(409,055) |
| Net current liabilities |
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(215,862) |
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(384,555) |
| Total assets less current liabilities |
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68,017 |
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(100,676) |
| Creditors: amounts falling due after more than one year |
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(533,741) |
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(373,374) |
| Provisions for liabilities |
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- |
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- |
| Accruals and deferred income |
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- |
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- |
| Net liabilities |
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(465,724) |
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(474,050) |
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| Capital and reserves |
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(465,724) |
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(474,050) |
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| Number |
Number |
| Average number of employees |
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3 |
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3 |
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| [Loans to directors, guarantees made by the company on behalf of directors] |
| [Capital commitments, pension commitments, other financial commitments and contingent liabilities] |
| The company is a private company limited by shares and incorporated in England. Its registered office is UNIMEX HOUSE, ABBEY ROAD, SUITE 29 , 2ND FLOOR,LONDON NW10 7TR. |
| The directors are satisfied that the company is entitled to exemption from the requirement to obtain an audit under section 477 of the Companies Act 2006. |
| The members have not required the company to obtain an audit in accordance with section 476 of the Act. |
| The directors acknowledge their responsibilities for complying with the requirements of the Companies Act 2006 with respect to accounting records and the preparation of accounts. |
| The accounts have been prepared in accordance with the micro entity provisions of the Companies Act 2006 and FRS 105, The Financial Reporting Standard applicable to the Micro-entities Regime. The accounts have been delivered in accordance with the provisions applicable to companies subject to the small companies regime. The profit and loss account has not been delivered to the Registrar of Companies. |
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| DAWOD L DAWOD |
| Director |
| Approved by the board on 31 May 2026 |
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| LONDON EXECUTIVE CHAUFFEURS LTD |
| Detailed profit and loss account items |
| for the year ended 30 September 2025 |
| This schedule does not form part of the statutory accounts |
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2025 |
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2,024 |
| £ |
£ |
| Sales |
38,371 |
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68,600 |
| Sales |
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38,371 |
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68,600 |
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| Other income |
| Other operating income |
- |
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- |
| Income from investments |
- |
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- |
| Interest receivable |
- |
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- |
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- |
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- |
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| Cost of raw materials and consumables |
| Purchases |
- |
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4,500 |
| Decrease in stocks |
- |
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- |
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- |
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4,500 |
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| Staff costs |
| Wages and salaries |
- |
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43,822 |
| Directors' salaries |
- |
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- |
| Pensions |
- |
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377 |
| Bonuses |
- |
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- |
| Employer's NI |
- |
|
976 |
| Temporary staff and recruitment |
- |
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- |
| Staff training and welfare |
- |
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- |
| Travel and subsistence |
- |
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- |
| Motor expenses |
39,104 |
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30,044 |
| Entertaining |
- |
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- |
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39,104 |
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75,219 |
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| Depreciation and other amounts written off assets |
| Depreciation |
- |
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- |
| Amortisation of goodwill |
- |
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- |
| Exceptional loss on the disposal of tangible fixed assets |
- |
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- |
| Exceptional loss on the disposal of investments |
- |
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- |
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- |
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- |
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| Other charges |
| Premises costs: |
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Rent |
18,363 |
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14,507 |
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Rates |
- |
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- |
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Service charges |
- |
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- |
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Light and heat |
- |
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- |
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Cleaning |
- |
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5 |
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Use of home |
- |
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- |
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18,363 |
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14,512 |
| General administrative expenses: |
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Telephone and internet |
- |
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9,102 |
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Postage |
- |
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- |
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Stationery and printing |
71 |
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29 |
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Courier services |
- |
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- |
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Information and publications |
- |
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- |
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Subscriptions |
930 |
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140 |
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Bank charges |
- |
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1,909 |
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Insurance |
3,744 |
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- |
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Equipment expensed |
4,346 |
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558 |
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Equipment hire |
- |
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- |
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Software |
- |
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- |
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Repairs and maintenance |
- |
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- |
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Bad debts |
- |
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- |
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Sundry expenses |
394 |
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- |
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9,485 |
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11,738 |
| Legal and professional costs: |
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Audit fees |
- |
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- |
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Accountancy fees |
1,792 |
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2,000 |
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Solicitors fees |
- |
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- |
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Consultancy fees |
- |
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- |
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Management fees |
- |
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- |
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Advertising and PR |
- |
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- |
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Other legal and professional |
- |
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- |
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1,792 |
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2,000 |
| Other |
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Subcontractor costs |
- |
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- |
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Direct labour |
670 |
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- |
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Carriage |
- |
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- |
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Discounts allowed |
- |
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- |
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Commissions payable |
- |
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- |
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Other direct costs |
- |
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- |
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Distribution costs |
- |
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- |
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Interest payable |
- |
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- |
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Non-equity dividends |
- |
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- |
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670 |
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- |
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30,310 |
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28,250 |