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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
    Hartell, Katie Louise
    Born in November 1974
    Individual (1 offspring)
    Officer
    2009-05-27 ~ now
    OF - Director → CIF 0
    Mrs Katie Louise Hartell
    Born in November 1974
    Individual (1 offspring)
    Person with significant control
    2016-04-06 ~ now
    PE - Ownership of shares – More than 25% but not more than 50%CIF 0
  • 2
    Hartell, Mark Anthony
    Born in March 1971
    Individual (3 offsprings)
    Officer
    2009-05-27 ~ now
    OF - Director → CIF 0
    Mr Mark Anthony Hartell
    Born in March 1971
    Individual (3 offsprings)
    Person with significant control
    2016-04-06 ~ now
    PE - Ownership of shares – 75% or moreCIF 0
parent relation
Company in focus

RECOVERYSAFE TRAINING SERVICES LTD

Period: 2009-05-27 ~ now
Company number: 06916176
Registered name
RECOVERYSAFE TRAINING SERVICES LTD - now
Standard Industrial Classification
82990 - Other Business Support Service Activities N.e.c.
Brief company account
Property, Plant & Equipment
105,753 GBP2025-05-31
122,520 GBP2024-05-31
Fixed Assets
105,753 GBP2025-05-31
122,520 GBP2024-05-31
Debtors
37,426 GBP2025-05-31
32,021 GBP2024-05-31
Cash at bank and in hand
24,854 GBP2025-05-31
18,329 GBP2024-05-31
Current Assets
62,280 GBP2025-05-31
50,350 GBP2024-05-31
Creditors
-86,250 GBP2025-05-31
-70,527 GBP2024-05-31
Net Current Assets/Liabilities
-23,970 GBP2025-05-31
-20,177 GBP2024-05-31
Total Assets Less Current Liabilities
81,783 GBP2025-05-31
102,343 GBP2024-05-31
Creditors
Non-current
-81,569 GBP2025-05-31
-102,034 GBP2024-05-31
Net Assets/Liabilities
214 GBP2025-05-31
309 GBP2024-05-31
Equity
Called up share capital
100 GBP2025-05-31
100 GBP2024-05-31
Retained earnings (accumulated losses)
114 GBP2025-05-31
209 GBP2024-05-31
Average number of employees in administration and support functions
12024-06-01 ~ 2025-05-31
12023-06-01 ~ 2024-05-31
Average Number of Employees
22024-06-01 ~ 2025-05-31
22023-06-01 ~ 2024-05-31
Property, Plant & Equipment - Gross Cost
Plant and equipment
31,315 GBP2025-05-31
28,899 GBP2024-05-31
Motor vehicles
228,502 GBP2025-05-31
228,502 GBP2024-05-31
Computers
3,954 GBP2025-05-31
3,954 GBP2024-05-31
Property, Plant & Equipment - Gross Cost
263,771 GBP2025-05-31
261,355 GBP2024-05-31
Property, Plant & Equipment - Accumulated Depreciation & Impairment
Plant and equipment
26,683 GBP2025-05-31
24,609 GBP2024-05-31
Motor vehicles
127,381 GBP2025-05-31
110,272 GBP2024-05-31
Computers
3,954 GBP2025-05-31
3,954 GBP2024-05-31
Property, Plant & Equipment - Accumulated Depreciation & Impairment
158,018 GBP2025-05-31
138,835 GBP2024-05-31
Property, Plant & Equipment - Increase From Depreciation Charge for Year
Plant and equipment
2,074 GBP2024-06-01 ~ 2025-05-31
Motor vehicles
17,109 GBP2024-06-01 ~ 2025-05-31
Property, Plant & Equipment - Increase From Depreciation Charge for Year
19,183 GBP2024-06-01 ~ 2025-05-31
Property, Plant & Equipment
Plant and equipment
4,632 GBP2025-05-31
4,290 GBP2024-05-31
Motor vehicles
101,121 GBP2025-05-31
118,230 GBP2024-05-31
Trade Debtors/Trade Receivables
Current
22,812 GBP2025-05-31
16,711 GBP2024-05-31
Amounts owed by directors
Current
14,614 GBP2025-05-31
15,310 GBP2024-05-31
Trade Creditors/Trade Payables
Current
13,156 GBP2025-05-31
20,254 GBP2024-05-31
Bank Borrowings/Overdrafts
Current
28,856 GBP2025-05-31
35,423 GBP2024-05-31
Corporation Tax Payable
Current
17,417 GBP2025-05-31
2,563 GBP2024-05-31
Amount of value-added tax that is payable
Current
13,731 GBP2025-05-31
9,870 GBP2024-05-31
Other Creditors
Current
5,230 GBP2025-05-31
1,717 GBP2024-05-31
Accrued Liabilities/Deferred Income
Current
7,860 GBP2025-05-31
700 GBP2024-05-31
Creditors
Current
86,250 GBP2025-05-31
70,527 GBP2024-05-31
Finance Lease Liabilities - Total Present Value
Non-current
81,569 GBP2025-05-31
102,034 GBP2024-05-31
Minimum gross finance lease payments owing
Between one and five year
81,569 GBP2025-05-31
102,034 GBP2024-05-31

  • RECOVERYSAFE TRAINING SERVICES LTD
    Info
    Registered number 06916176
    1st Floor Offices, 105 Church Street, Tewkesbury GL20 5AB
    PRIVATE LIMITED COMPANY incorporated on 2009-05-27 (17 years 2 months). The status of the company number is Active.
    The last date of confirmation statement was made at 2026-05-27
    CIF 0
child relation
Offspring entities and appointments 0
  • Not found in our database.

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Contains public sector information retrieved at 14 July 2026 and licensed under the Open Government Licence v3.0.