DYNAMIC FACILITY MANAGEMENT (DFM) LTD. - 2020-06-26
Turnover/Revenue
476,282 GBP2022-06-01 ~ 2023-05-31
70,488 GBP2021-06-01 ~ 2022-05-31
Cost of Sales
-353,182 GBP2022-06-01 ~ 2023-05-31
-12,336 GBP2021-06-01 ~ 2022-05-31
Gross Profit/Loss
123,100 GBP2022-06-01 ~ 2023-05-31
58,152 GBP2021-06-01 ~ 2022-05-31
Administrative Expenses
-107,990 GBP2022-06-01 ~ 2023-05-31
-48,973 GBP2021-06-01 ~ 2022-05-31
Operating Profit/Loss
15,110 GBP2022-06-01 ~ 2023-05-31
9,179 GBP2021-06-01 ~ 2022-05-31
Profit/Loss on Ordinary Activities Before Tax
15,110 GBP2022-06-01 ~ 2023-05-31
9,179 GBP2021-06-01 ~ 2022-05-31
Tax/Tax Credit on Profit or Loss on Ordinary Activities
-2,871 GBP2022-06-01 ~ 2023-05-31
-1,744 GBP2021-06-01 ~ 2022-05-31
Profit/Loss
12,239 GBP2022-06-01 ~ 2023-05-31
7,435 GBP2021-06-01 ~ 2022-05-31
Debtors
110,376 GBP2023-05-31
38,645 GBP2022-05-31
Cash at bank and in hand
26,418 GBP2023-05-31
3,776 GBP2022-05-31
Current Assets
136,794 GBP2023-05-31
42,421 GBP2022-05-31
Net Current Assets/Liabilities
19,705 GBP2023-05-31
20,909 GBP2022-05-31
Total Assets Less Current Liabilities
19,705 GBP2023-05-31
20,909 GBP2022-05-31
Net Assets/Liabilities
19,705 GBP2023-05-31
7,466 GBP2022-05-31
Equity
Called up share capital
1 GBP2023-05-31
1 GBP2022-05-31
Retained earnings (accumulated losses)
19,704 GBP2023-05-31
7,465 GBP2022-05-31
Equity
19,705 GBP2023-05-31
7,466 GBP2022-05-31
Average Number of Employees
102022-06-01 ~ 2023-05-31
32021-06-01 ~ 2022-05-31
Trade Debtors/Trade Receivables
110,376 GBP2023-05-31
38,645 GBP2022-05-31
Trade Creditors/Trade Payables
Amounts falling due within one year
11,825 GBP2023-05-31
13,412 GBP2022-05-31
Taxation/Social Security Payable
Amounts falling due within one year
7,725 GBP2023-05-31
2,644 GBP2022-05-31
Other Creditors
Amounts falling due within one year
97,539 GBP2023-05-31
5,456 GBP2022-05-31
Amounts falling due after one year
13,443 GBP2022-05-31