Par Value of Share
Class 1 ordinary share
1222024-01-01 ~ 2024-12-31
Class 2 ordinary share
102024-01-01 ~ 2024-12-31
Property, Plant & Equipment
1,591 GBP2023-12-31
Fixed Assets - Investments
611,050 GBP2024-12-31
611,050 GBP2023-12-31
Fixed Assets
611,050 GBP2024-12-31
612,641 GBP2023-12-31
Debtors
2,677,824 GBP2024-12-31
2,114,419 GBP2023-12-31
Cash at bank and in hand
462,426 GBP2024-12-31
481,600 GBP2023-12-31
Current Assets
3,140,250 GBP2024-12-31
2,596,019 GBP2023-12-31
Creditors
Current
521,568 GBP2024-12-31
510,265 GBP2023-12-31
Net Current Assets/Liabilities
2,618,682 GBP2024-12-31
2,085,754 GBP2023-12-31
Total Assets Less Current Liabilities
3,229,732 GBP2024-12-31
2,698,395 GBP2023-12-31
Creditors
Non-current
-6,745 GBP2024-12-31
-17,226 GBP2023-12-31
Net Assets/Liabilities
3,222,987 GBP2024-12-31
2,680,770 GBP2023-12-31
Equity
Called up share capital
133 GBP2024-12-31
130 GBP2023-12-31
Share premium
3,588,290 GBP2024-12-31
3,341,810 GBP2023-12-31
Retained earnings (accumulated losses)
-365,436 GBP2024-12-31
-670,380 GBP2023-12-31
Equity
3,222,987 GBP2024-12-31
2,680,770 GBP2023-12-31
Average Number of Employees
42024-01-01 ~ 2024-12-31
42023-01-01 ~ 2023-12-31
Property, Plant & Equipment - Gross Cost
Computers
14,856 GBP2023-12-31
Property, Plant & Equipment - Disposals
Computers
-14,856 GBP2024-01-01 ~ 2024-12-31
Property, Plant & Equipment - Accumulated Depreciation & Impairment
Computers
13,265 GBP2023-12-31
Property, Plant & Equipment - Increase From Depreciation Charge for Year
Computers
570 GBP2024-01-01 ~ 2024-12-31
Property, Plant & Equipment - Decrease in depreciation and impairment related to disposals
Computers
-13,835 GBP2024-01-01 ~ 2024-12-31
Property, Plant & Equipment
Computers
1,591 GBP2023-12-31
Investments in Group Undertakings
Cost valuation
611,050 GBP2023-12-31
Investments in Group Undertakings
611,050 GBP2024-12-31
611,050 GBP2023-12-31
Trade Debtors/Trade Receivables
Current, Amounts falling due within one year
571,106 GBP2024-12-31
75,522 GBP2023-12-31
Amounts Owed by Group Undertakings
Current
1,620,425 GBP2024-12-31
1,697,459 GBP2023-12-31
Other Debtors
Current, Amounts falling due within one year
486,293 GBP2024-12-31
341,438 GBP2023-12-31
Debtors
Current, Amounts falling due within one year
2,677,824 GBP2024-12-31
2,114,419 GBP2023-12-31
Bank Borrowings/Overdrafts
Current
10,163 GBP2024-12-31
9,922 GBP2023-12-31
Trade Creditors/Trade Payables
Current
27,050 GBP2024-12-31
38,783 GBP2023-12-31
Other Taxation & Social Security Payable
Current
25,485 GBP2024-12-31
8,853 GBP2023-12-31
Other Creditors
Current
458,870 GBP2024-12-31
452,707 GBP2023-12-31
Bank Borrowings/Overdrafts
Non-current
6,745 GBP2024-12-31
17,226 GBP2023-12-31
Number of Shares Issued (Fully Paid)
Class 1 ordinary share
12,225 shares2024-12-31
Class 2 ordinary share
1,010 shares2024-12-31
ROCKETER CONSULTING LTD
InfoRegistered number 08154236
Centenary House Upper First Floor, Palliser Road, London W14 9EQ
PRIVATE LIMITED COMPANY incorporated on 2012-07-24 (13 years 5 months). The company status is Active.
The last date of confirmation statement was made at 2024-11-14
CIF 0ROCKETER CONSULTING LTD
SRegistered number 08154236

Centenary House, Palliser Road, London, England, W14 9EQ
Limited Company in Uk
CIF 1 ROCKETER CONSULTING LIMITED
SRegistered number 08154236

Centenary House, Centenary House, Palliser Road, London, England, W14 9EQ
Private Company Limited By Shares in Uk Register Of Companies, United Kingdom
CIF 2 ROCKETER CONSULTING LIMITED
SRegistered number 08154236

Centenary House, Palliser Road, London, England, W14 9EQ
Private Company Limited By Shares in Uk Register Of Companies, United Kingdom
CIF 3 ROCKETER CONSULTING LIMITED
SRegistered number 08154236

Centenary House Upper First Floor, Palliser Road, London, England, W14 9EQ
Private Limited Company in England & Wales, England And Wales
CIF 4