82990 - Other Business Support Service Activities N.e.c.
Fixed Assets - Investments
578,218 GBP2025-01-31
578,218 GBP2024-01-31
Fixed Assets
578,218 GBP2025-01-31
578,218 GBP2024-01-31
Debtors
10,587,269 GBP2025-01-31
10,512,620 GBP2024-01-31
Cash at bank and in hand
754,607 GBP2025-01-31
1,357,262 GBP2024-01-31
Current Assets
11,341,876 GBP2025-01-31
11,869,882 GBP2024-01-31
Net Current Assets/Liabilities
9,733,545 GBP2025-01-31
7,396,276 GBP2024-01-31
Total Assets Less Current Liabilities
10,311,763 GBP2025-01-31
7,974,494 GBP2024-01-31
Net Assets/Liabilities
6,800,194 GBP2025-01-31
6,760,074 GBP2024-01-31
Equity
Called up share capital
4,190,446 GBP2025-01-31
4,190,446 GBP2024-01-31
4,190,446 GBP2023-01-31
Capital redemption reserve
1,910,000 GBP2025-01-31
1,910,000 GBP2024-01-31
1,910,000 GBP2023-01-31
Retained earnings (accumulated losses)
699,748 GBP2025-01-31
659,628 GBP2024-01-31
629,051 GBP2023-01-31
Equity
6,800,194 GBP2025-01-31
6,760,074 GBP2024-01-31
4,917,988 GBP2023-01-31
Profit/Loss
40,120 GBP2024-02-01 ~ 2025-01-31
30,577 GBP2023-02-01 ~ 2024-01-31
Average Number of Employees
52024-02-01 ~ 2025-01-31
62023-02-01 ~ 2024-01-31
Wages/Salaries
140,757 GBP2024-02-01 ~ 2025-01-31
145,739 GBP2023-02-01 ~ 2024-01-31
Pension & Other Post-employment Benefit Costs/Other Pension Costs
6,841 GBP2024-02-01 ~ 2025-01-31
6,601 GBP2023-02-01 ~ 2024-01-31
Staff Costs/Employee Benefits Expense
164,155 GBP2024-02-01 ~ 2025-01-31
167,797 GBP2023-02-01 ~ 2024-01-31
Investments in Subsidiaries
578,218 GBP2025-01-31
578,218 GBP2024-01-31
Finished Goods/Goods for Resale
0 GBP2025-01-31
0 GBP2024-01-31
Trade Debtors/Trade Receivables
Current
0 GBP2025-01-31
0 GBP2024-01-31
Amount of corporation tax that is recoverable
0 GBP2025-01-31
0 GBP2024-01-31
Prepayments/Accrued Income
Current
2,385 GBP2025-01-31
0 GBP2024-01-31
Corporation Tax Payable
Current
13,294 GBP2025-01-31
9,656 GBP2024-01-31
Other Creditors
Current
96,763 GBP2025-01-31
120,685 GBP2024-01-31
Creditors
Current
1,608,331 GBP2025-01-31
4,473,606 GBP2024-01-31
Bank Borrowings
4,869,363 GBP2025-01-31
5,415,032 GBP2024-01-31
Total Borrowings
Current, Amounts falling due within one year
1,357,794 GBP2025-01-31
MAXIMUM FUN HOLDINGS LIMITED
InfoRegistered number 07554065Crealy Theme Park And Resort Sidmouth Road, Clyst St Mary, Exeter, Devon EX5 1DR
PRIVATE LIMITED COMPANY incorporated on 2011-03-07 (15 years 2 months). The status of the company number is Active.
The last date of confirmation statement was made at 2026-03-02
CIF 0MAXIMUM FUN HOLDINGS LTD
SRegistered number 07554065
Crealy Adventure Park, Sidmouth Road, Clyst St. Mary, Exeter, England, EX5 1DR
Uk Private Company in Companies House, England
CIF 1 Uk Private Company in Companies House, United Kingdom
CIF 2