Property, Plant & Equipment
78,345 GBP2024-12-31
145,427 GBP2023-12-31
Fixed Assets - Investments
100 GBP2024-12-31
100 GBP2023-12-31
Fixed Assets
78,445 GBP2024-12-31
145,527 GBP2023-12-31
Debtors
546,054 GBP2024-12-31
604,098 GBP2023-12-31
Cash at bank and in hand
129,414 GBP2024-12-31
124,770 GBP2023-12-31
Current Assets
675,468 GBP2024-12-31
728,868 GBP2023-12-31
Net Current Assets/Liabilities
61,588 GBP2024-12-31
145,815 GBP2023-12-31
Total Assets Less Current Liabilities
140,033 GBP2024-12-31
291,342 GBP2023-12-31
Creditors
Non-current, Amounts falling due after one year
-112,230 GBP2023-12-31
Net Assets/Liabilities
83,169 GBP2024-12-31
142,755 GBP2023-12-31
Equity
Called up share capital
2 GBP2024-12-31
2 GBP2023-12-31
Share premium
100 GBP2024-12-31
100 GBP2023-12-31
Capital redemption reserve
1 GBP2024-12-31
1 GBP2023-12-31
Retained earnings (accumulated losses)
83,066 GBP2024-12-31
142,652 GBP2023-12-31
Equity
83,169 GBP2024-12-31
142,755 GBP2023-12-31
Average Number of Employees
242024-01-01 ~ 2024-12-31
332023-01-01 ~ 2023-12-31
Intangible Assets - Gross Cost
Other than goodwill
0 GBP2024-12-31
12,640 GBP2023-12-31
Intangible Assets - Accumulated Amortisation & Impairment
Other than goodwill
0 GBP2024-12-31
12,640 GBP2023-12-31
Intangible Assets
Other than goodwill
0 GBP2024-12-31
0 GBP2023-12-31
Property, Plant & Equipment - Gross Cost
Other
282,429 GBP2023-12-31
Property, Plant & Equipment - Accumulated Depreciation & Impairment
Other
204,084 GBP2024-12-31
137,002 GBP2023-12-31
Property, Plant & Equipment - Increase From Depreciation Charge for Year
Other
67,082 GBP2024-01-01 ~ 2024-12-31
Property, Plant & Equipment
Other
78,345 GBP2024-12-31
145,427 GBP2023-12-31
Investments in group undertakings and participating interests
100 GBP2024-12-31
100 GBP2023-12-31
Trade Debtors/Trade Receivables
Current
303,627 GBP2024-12-31
310,876 GBP2023-12-31
Other Debtors
Amounts falling due within one year
242,427 GBP2024-12-31
293,222 GBP2023-12-31
Debtors
Amounts falling due within one year, Current
546,054 GBP2024-12-31
604,098 GBP2023-12-31
Bank Borrowings/Overdrafts
Current
75,254 GBP2024-12-31
75,254 GBP2023-12-31
Trade Creditors/Trade Payables
Current
37,478 GBP2024-12-31
59,923 GBP2023-12-31
Amounts owed to group undertakings
Current
10,435 GBP2024-12-31
20,298 GBP2023-12-31
Other Taxation & Social Security Payable
Current
181,477 GBP2024-12-31
165,483 GBP2023-12-31
Other Creditors
Current
309,236 GBP2024-12-31
262,095 GBP2023-12-31
Creditors
Current
613,880 GBP2024-12-31
583,053 GBP2023-12-31
Bank Borrowings/Overdrafts
Non-current
37,277 GBP2024-12-31
112,230 GBP2023-12-31
Par Value of Share
Class 1 ordinary share
1 GBP2024-01-01 ~ 2024-12-31
Number of Shares Issued (Fully Paid)
Class 1 ordinary share
167 shares2024-12-31
167 shares2023-12-31
KISS COMMUNICATIONS LIMITED
InfoRegistered number 06347854
The Pitt Building, Trumpington Street, Cambridge CB2 1RP
Private Limited Company incorporated on 2007-08-20 (18 years 2 months). The company status is Active.
The last date of confirmation statement was made at 2024-08-20
CIF 0KISS COMMUNICATIONS LIMITED
SRegistered number 06347854

23 Cambridge Science Park, Milton Road, Cambridge, Cambridgeshire, England, CB4 0EY
Limited Company in Uk Companies House, England And Wales
CIF 1 KISS COMMUNICATIONS LIMITED
SRegistered number 06347854

34b, York Way, Kings Cross, London, N1 9AB
Limited Company in Uk Companies House, England And Wales
CIF 2 KISS COMMUNICATIONS LIMITED
SRegistered number 06347854

Th Pitt Building, Trumpington Street, Cambridge, United Kingdom, CB2 1RP
Limited Company in Companies House, England
CIF 3