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The above diagram shows the color scheme of the layout in the main result page. The parent entities and officers are those entities, including individual and legal persons, have significant controls over the company in focus. The offspring entities and appointments are those entities that the company in focus can influence on.

Clicking the links on parent entities or officers, and offspring entities or managed companies will put them in focus and show upstream or downstream connections. In general, ascendant entities can be found by moving toward upstream, and descendant entities are by toward downstream. In this way, progenitor entities such as grandparent companies (parents of parent), sibling companies (children of parent), partner companies (parents of child), and progeny entities such as grandchild companies (children of child) can be found easily.

Parent entities and officers 2
  • 1
    Milford, Adam Peter
    Born in May 1977
    Individual (3 offsprings)
    Officer
    2006-03-20 ~ now
    OF - Director → CIF 0
    Mr Adam Peter Milford
    Born in May 1977
    Individual (3 offsprings)
    Person with significant control
    2016-04-06 ~ now
    PE - Ownership of voting rights - 75% or moreCIF 0
    PE - Ownership of shares – 75% or moreCIF 0
  • 2
    Balaraj, Joanne
    Born in March 1974
    Individual (1 offspring)
    Officer
    2015-04-01 ~ now
    OF - Director → CIF 0
    Balaraj, Joanne
    Individual (1 offspring)
    Officer
    2006-03-20 ~ 2015-04-01
    OF - Secretary → CIF 0
parent relation
Company in focus

THEATRE WORKOUT LIMITED

Period: 2006-03-20 ~ now
Company number: 05748382
Registered name
THEATRE WORKOUT LIMITED - now
Standard Industrial Classification
90020 - Support Activities To Performing Arts
79909 - Other Reservation Service Activities N.e.c.
85590 - Other Education N.e.c.
85520 - Cultural Education
Brief company account
Property, Plant & Equipment
873 GBP2025-08-31
887 GBP2024-03-31
Fixed Assets
873 GBP2025-08-31
887 GBP2024-03-31
Debtors
110,190 GBP2025-08-31
82,588 GBP2024-03-31
Cash at bank and in hand
10,811 GBP2025-08-31
39,884 GBP2024-03-31
Current Assets
121,001 GBP2025-08-31
122,472 GBP2024-03-31
Creditors
-123,054 GBP2025-08-31
-150,899 GBP2024-03-31
Net Current Assets/Liabilities
-2,053 GBP2025-08-31
-28,427 GBP2024-03-31
Total Assets Less Current Liabilities
-1,180 GBP2025-08-31
-27,540 GBP2024-03-31
Creditors
Non-current
-15,000 GBP2024-03-31
Net Assets/Liabilities
-1,180 GBP2025-08-31
-42,540 GBP2024-03-31
Equity
Called up share capital
1,000 GBP2025-08-31
1,000 GBP2024-03-31
Share premium
10,000 GBP2025-08-31
10,000 GBP2024-03-31
Retained earnings (accumulated losses)
-12,180 GBP2025-08-31
-53,540 GBP2024-03-31
Average Number of Employees
22024-04-01 ~ 2025-08-31
22023-04-01 ~ 2024-03-31
Property, Plant & Equipment - Gross Cost
Plant and equipment
365 GBP2025-08-31
209 GBP2024-03-31
Computers
5,005 GBP2025-08-31
4,422 GBP2024-03-31
Property, Plant & Equipment - Gross Cost
5,370 GBP2025-08-31
4,631 GBP2024-03-31
Property, Plant & Equipment - Accumulated Depreciation & Impairment
Plant and equipment
213 GBP2025-08-31
126 GBP2024-03-31
Computers
4,284 GBP2025-08-31
3,618 GBP2024-03-31
Property, Plant & Equipment - Accumulated Depreciation & Impairment
4,497 GBP2025-08-31
3,744 GBP2024-03-31
Property, Plant & Equipment - Increase From Depreciation Charge for Year
Plant and equipment
87 GBP2024-04-01 ~ 2025-08-31
Computers
666 GBP2024-04-01 ~ 2025-08-31
Property, Plant & Equipment - Increase From Depreciation Charge for Year
753 GBP2024-04-01 ~ 2025-08-31
Property, Plant & Equipment
Plant and equipment
152 GBP2025-08-31
83 GBP2024-03-31
Computers
721 GBP2025-08-31
804 GBP2024-03-31
Trade Debtors/Trade Receivables
Current
61,149 GBP2025-08-31
12,185 GBP2024-03-31
Prepayments/Accrued Income
Current
12,820 GBP2025-08-31
61,243 GBP2024-03-31
Other Debtors
Current
1,186 GBP2025-08-31
Amounts owed by directors
Current
35,035 GBP2025-08-31
9,160 GBP2024-03-31
Trade Creditors/Trade Payables
Current
13,192 GBP2024-03-31
Bank Borrowings/Overdrafts
Current
11,250 GBP2025-08-31
9,000 GBP2024-03-31
Corporation Tax Payable
Current
11,279 GBP2025-08-31
Other Taxation & Social Security Payable
Current
1,653 GBP2025-08-31
4,066 GBP2024-03-31
Amount of value-added tax that is payable
Current
13,831 GBP2025-08-31
564 GBP2024-03-31
Other Creditors
Current
1,176 GBP2024-03-31
Accrued Liabilities/Deferred Income
Current
85,041 GBP2025-08-31
122,901 GBP2024-03-31
Creditors
Current
123,054 GBP2025-08-31
150,899 GBP2024-03-31
Bank Borrowings/Overdrafts
Non-current
15,000 GBP2024-03-31

Related profiles found in government register
  • THEATRE WORKOUT LIMITED
    Info
    Registered number 05748382
    10 Kemsing Road, Greenwich, London SE10 0LL
    PRIVATE LIMITED COMPANY incorporated on 2006-03-20 (20 years 1 month). The status of the company number is Active.
    The last date of confirmation statement was made at 2026-03-20
    CIF 0
  • THEATRE WORKOUT LTD
    S
    Registered number 5748382
    13a, Stratheden Road, London, United Kingdom, SE3 7TH
    ENGLAND AND WALES
    CIF 1
child relation
Offspring entities and appointments 1
  • 1
    THEATRE WORKOUT ACADEMY LIMITED
    09468221
    13a Stratheden Road, London, United Kingdom
    Dissolved Corporate (2 parents)
    Officer
    2015-03-03 ~ dissolved
    CIF 1 - Director → ME

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Contains public sector information retrieved at 5 April 2026 and licensed under the Open Government Licence v3.0.