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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
    Lane, Lynda Jean
    Marketeer born in August 1961
    Individual (5 offsprings)
    Officer
    2010-04-06 ~ 2016-08-04
    OF - Director → CIF 0
  • 2
    Kennedy, Scott Stephen
    Born in March 1981
    Individual (7 offsprings)
    Officer
    2010-04-06 ~ now
    OF - Director → CIF 0
    Mr Scott Stephen Kennedy
    Born in March 1981
    Individual (7 offsprings)
    Person with significant control
    2016-04-06 ~ now
    PE - Ownership of shares – 75% or moreCIF 0
parent relation
Company in focus

K2L MARKETING LIMITED

Period: 2010-04-23 ~ now
Company number: 07212856 OC342199
Registered names
K2L MARKETING LIMITED - now OC342199
Standard Industrial Classification
73110 - Advertising Agencies
Brief company account
Property, Plant & Equipment
7,549 GBP2025-04-30
9,146 GBP2024-04-30
Fixed Assets
7,549 GBP2025-04-30
9,146 GBP2024-04-30
Debtors
397,437 GBP2025-04-30
428,432 GBP2024-04-30
Cash at bank and in hand
47,536 GBP2025-04-30
28,767 GBP2024-04-30
Current Assets
444,973 GBP2025-04-30
457,199 GBP2024-04-30
Creditors
-84,484 GBP2025-04-30
-121,458 GBP2024-04-30
Net Current Assets/Liabilities
360,489 GBP2025-04-30
335,741 GBP2024-04-30
Total Assets Less Current Liabilities
368,038 GBP2025-04-30
344,887 GBP2024-04-30
Creditors
Non-current
-17,230 GBP2025-04-30
-21,216 GBP2024-04-30
Net Assets/Liabilities
348,921 GBP2025-04-30
321,385 GBP2024-04-30
Equity
Called up share capital
2 GBP2025-04-30
2 GBP2024-04-30
Retained earnings (accumulated losses)
348,919 GBP2025-04-30
321,383 GBP2024-04-30
Average Number of Employees
62024-05-01 ~ 2025-04-30
82023-05-01 ~ 2024-04-30
Property, Plant & Equipment - Gross Cost
Plant and equipment
37,140 GBP2025-04-30
36,724 GBP2024-04-30
Furniture and fittings
15,830 GBP2025-04-30
15,830 GBP2024-04-30
Computers
15,185 GBP2025-04-30
13,856 GBP2024-04-30
Property, Plant & Equipment - Gross Cost
68,155 GBP2025-04-30
66,410 GBP2024-04-30
Property, Plant & Equipment - Accumulated Depreciation & Impairment
Plant and equipment
36,407 GBP2025-04-30
35,390 GBP2024-04-30
Furniture and fittings
15,347 GBP2025-04-30
15,083 GBP2024-04-30
Computers
8,852 GBP2025-04-30
6,791 GBP2024-04-30
Property, Plant & Equipment - Accumulated Depreciation & Impairment
60,606 GBP2025-04-30
57,264 GBP2024-04-30
Property, Plant & Equipment - Increase From Depreciation Charge for Year
Plant and equipment
1,017 GBP2024-05-01 ~ 2025-04-30
Furniture and fittings
264 GBP2024-05-01 ~ 2025-04-30
Computers
2,061 GBP2024-05-01 ~ 2025-04-30
Property, Plant & Equipment - Increase From Depreciation Charge for Year
3,342 GBP2024-05-01 ~ 2025-04-30
Property, Plant & Equipment
Plant and equipment
733 GBP2025-04-30
1,334 GBP2024-04-30
Furniture and fittings
483 GBP2025-04-30
747 GBP2024-04-30
Computers
6,333 GBP2025-04-30
7,065 GBP2024-04-30
Trade Debtors/Trade Receivables
Current
31,919 GBP2025-04-30
81,600 GBP2024-04-30
Prepayments/Accrued Income
Current
748 GBP2025-04-30
376 GBP2024-04-30
Other Debtors
Current
23,516 GBP2025-04-30
23,516 GBP2024-04-30
Amounts owed by directors
Current
90,700 GBP2025-04-30
70,386 GBP2024-04-30
Debtors
Current
146,883 GBP2025-04-30
175,878 GBP2024-04-30
Other Debtors
Non-current
250,554 GBP2025-04-30
252,554 GBP2024-04-30
Trade Creditors/Trade Payables
Current
622 GBP2025-04-30
22,594 GBP2024-04-30
Bank Borrowings/Overdrafts
Current
3,994 GBP2025-04-30
7,713 GBP2024-04-30
Corporation Tax Payable
Current
19,450 GBP2025-04-30
23,321 GBP2024-04-30
Other Taxation & Social Security Payable
Current
13,289 GBP2025-04-30
18,855 GBP2024-04-30
Amount of value-added tax that is payable
Current
22,556 GBP2025-04-30
21,535 GBP2024-04-30
Other Creditors
Current
806 GBP2025-04-30
799 GBP2024-04-30
Accrued Liabilities/Deferred Income
Current
23,767 GBP2025-04-30
26,641 GBP2024-04-30
Creditors
Current
84,484 GBP2025-04-30
121,458 GBP2024-04-30
Bank Borrowings/Overdrafts
Non-current
17,230 GBP2025-04-30
21,216 GBP2024-04-30

  • K2L MARKETING LIMITED
    Info
    K2L MARKETING (UK) LIMITED - 2010-04-23
    Registered number 07212856
    8 Quays Reach, Carolina Way, Salford Quays M50 2ZY
    PRIVATE LIMITED COMPANY incorporated on 2010-04-06 (16 years 2 months). The status of the company number is Active.
    The last date of confirmation statement was made at 2026-01-20
    CIF 0
child relation
Offspring entities and appointments 0
  • Not found in our database.

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Contains public sector information retrieved at 22 April 2026 and licensed under the Open Government Licence v3.0.