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Casp

Raleigh House, 14C Compass Point Business Park, St. Ives, PE27 5JL

Overview

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CUSTOMISE TILES
Key Data
Casp is an active company incorporated on 13 January 1988 with the registered office located in St. Ives, Cambridgeshire. Casp has been running for 36 years. There are currently 11 active directors and 1 active secretary according to the latest confirmation statement submitted on 20th April 2023.
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Name
Casp
Status
ACTIVE
Active since incorporation
Confirmation
Due Soon
Last submitted on 20 April 2023 (1 year ago)
Next confirmation dated 20 April 2024
Due by 4 May 2024 (13 days remaining)
Last change occurred 5 years ago
Accounts
Submitted
Last accounts submitted for period 31 January 2023 (1 year 2 months ago)
Accounts type was Total Exemption Full
Next accounts dated 31 January 2024
Due by 31 October 2024 (6 months remaining)
Company No.
02210675
Private Limited By Guarantee without Share Capital
Incorporation
13 January 1988
Incorporated 36 years ago
Size
Small
Between 10 to 50 employees or between £2 to £10 million turnover
Activity
To conduct research into the geology of sedimentary basins of the world and present and publish the result of such research for the advancement of education. a registered charity, limited by guarantee. t/o = total income.
Contact
Registered AddressRaleigh House
14C Compass Point Business Park
St. Ives
PE27 5JL
Country OriginUnited Kingdom
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Email AddressBuy a Report or Upgrade
WebsiteCasp.cam.ac.uk
SocialUnreported
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People39
British • Director • Petroleum Consultant • Born in Jul 1952
ACTIVE
British • Director • Technical Manager • Born in Oct 1957
ACTIVE
British • Director • Geologist • Born in Jan 1954
ACTIVE
British • Director • Lecturer • Born in Nov 1963
ACTIVE
British • Director • University Lecturer • Born in Jan 1955
ACTIVE
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Mutual Companies
Latest Activity
No activity available.
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Financials
Net Assets, Total Assets & Total Liabilities (2007 - 2023)
Year EndedJan 2023
Total Assets£6.2m
-£1.93m (-23.75%)
vs previous year
Total Liabilities£-75.12k
+£71.21k (+48.67%)
vs previous year
Net Assets£6.12m
-£1.86m (-23.29%)
vs previous year
Cash in Bank£97.79k
-£2.19k (-2.19%)
vs previous year
Employees16
-7 (-30.43%)
vs previous year
Turnover £115.36k
-£428.75k (-78.8%)
vs previous year
Debt Ratio (%)1.21%
-0.59 (-32.78%)
vs previous year
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Group Structure
Subsidiaries
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Documents208
Registration of charge
18 Mar 2024 • 5 Pages
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Total exemption full accounts
31 Oct 2023 • 37 Pages
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Confirmation statement
30 May 2023 • 3 Pages
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Director's details changed
14 Mar 2023 • 2 Pages
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Termination of appointment
2 Mar 2023 • 1 Page
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