Company information:
Integritas Healthcare Community Interest Company (No: 08055441)
Address: 8 MARSHALSEA ROAD, LONDON, SE1 1HL, ENGLAND
Status: Active
Incorporated: 05-Feb-2012
Accounts Next Due: 30-Sep-2025
Next Confirmation Statement Due: 16-May-2024
Industry Class: 85590 - Other education n.e.c.
Current Director: RACHAEL ANNA PICKERING ( DOB: Oct-1973 From: May-2012 )
Current Director: RACHAEL ANNA PICKERING ( DOB: Oct-1973 From: May-2012 )
Current Director: MARK JONATHAN PICKERING ( DOB: Apr-1975 From: Mar-2014 )
Current Director: MARK JONATHAN PICKERING ( DOB: Apr-1975 From: Mar-2014 )
Current Director: MELODY GRACE REDMAN ( DOB: May-1990 From: Mar-2018 )
Current Director: SARAH CLAUDIA RHODES ( DOB: Jun-1968 From: Apr-2018 )
Current Director: DAVID GRAEME SMITHARD ( DOB: Oct-1960 From: Jul-2021 )
Resigned Director: ALEXANDER EGERTON CARY ( DOB: Sep-1990 From: Jan-2020 To: Jul-2023 )
Resigned Director: JEFFREY JAMES CLARKE ( DOB: Jul-1966 From: Mar-2015 To: Jul-2023 )
Resigned Director: MELODY GRACE REDMAN ( DOB: May-1990 From: Mar-2018 To: Jul-2023 )
Resigned Director: AMY JOY WATSON ( DOB: Nov-1989 From: Dec-2017 To: Jan-2023 )
Resigned Secretary: HARGREAVES MOUNTENEY LIMITED ( From: May-2012 To: May-2012 )
Persons of Significant Control:
Dr Rachael Anna Pickering, Manor Farm Youth Centre St Joseph's Street, Tadcaster, North Yorkshire, LS24 9HA, England: Has significant influence or control (Notified: 2016-05-02)
Dr Jeffrey James Clarke, Manor Farm Youth Centre St Joseph's Street, Tadcaster, North Yorkshire, LS24 9HA, England: Has significant influence or control (Notified: 2016-05-02, Ceased: 2018-03-19)
Dr Amy Joy Watson, Manor Farm Youth Centre St Joseph's Street, Tadcaster, North Yorkshire, LS24 9HA, England: Has significant influence or control (Notified: 2017-12-24, Ceased: 2018-04-22)
Dr Mark Jonathan Pickering, Manor Farm Youth Centre St Joseph's Street, Tadcaster, North Yorkshire, LS24 9HA, England: Has significant influence or control (Notified: 2016-05-02, Ceased: 2018-03-19)
Company Accounts Summary (£)
Item | 2021-06 | 2022-12 | 2023-12 | Chart |
---|---|---|---|---|
Fixed assets | 27,913 | 26,582 | 662 | 27913.0,26582.0,662.0 |
Fixed assets / Property, plant and equipment | 27,913 | 26,582 | 662 | 27913.0,26582.0,662.0 |
Current assets | 2,022 | 7,824 | 28,605 | 2022.0,7824.0,28605.0 |
Current assets / Debtors | 228 | 6,611 | 17,274 | 228.0,6611.0,17274.0 |
Current assets / Debtors / Trade debtors / trade receivables | 225 | 6,525 | 17,195 | 225.0,6525.0,17195.0 |
Current assets / Cash at bank and on hand | 1,794 | 1,213 | 11,331 | 1794.0,1213.0,11331.0 |
Net current assets (liabilities) | -29,765 | -6,226 | 2,339 | -29765.0,-6226.0,2339.0 |
Total assets less current liabilities | -1,852 | 20,356 | 3,001 | -1852.0,20356.0,3001.0 |
Net assets (liabilities) | -1,852 | 20,356 | 3,001 | -1852.0,20356.0,3001.0 |
Equity / share capital and reserves | 1,852 | 20,356 | 3,001 | 1852.0,20356.0,3001.0 |