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Regima Zone Ltd

Unit 9 Southview Park, Caversham, Reading, Berkshire RG4 5AF

Overview

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CUSTOMISE TILES
Key Data
Regima Zone Ltd is an active company incorporated on 30 January 2015 with the registered office located in Reading, Berkshire. Regima Zone Ltd has been running for 9 years. There are currently 3 active directors according to the latest confirmation statement submitted on 26th January 2024.
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Name
Regima Zone Ltd
Status
ACTIVE
Active since incorporation
Confirmation
Submitted
Last submitted on 26 January 2024 (2 months ago)
Next confirmation dated 26 January 2025
Due by 9 February 2025 (9 months remaining)
Last change occurred 7 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.
09413696
Private Limited Company with Share Capital
Incorporation
30 January 2015
Incorporated 9 years ago
Size
Micro
Less than 10 employees or under £2 million turnover
Activity
Beautician services and sale of cosmetics.
Contact
Registered AddressUnit 9 Southview Park
Caversham
Reading
Berkshire RG4 5AF
Country OriginUnited Kingdom
TelephoneUnreported
Email AddressUnreported
WebsiteRegimastore.co.uk
SocialUnreported
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People5
British • Director • Born in Jul 1982
ACTIVE
British • Director • Born in Jul 1991
ACTIVE
British • Director • Born in Jun 1957
ACTIVE
British • Director • Born in Oct 1991
RESIGNED
Secretary
RESIGNED
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Mutual Companies
CompanyStatus
Regima UK Ltd
Mrs Jacqueline Faucitt is a mutual person.
ACTIVE
Regima Medic Ltd
Mrs Jacqueline Faucitt is a mutual person.
ACTIVE
Regima Zone Academy Ltd
Miss Laura Kay Puttick is a mutual person.
ACTIVE
Advanced Aesthetics Reading Ltd
Miss Laura Kay Puttick is a mutual person.
DORMANT
Latest Activity
No activity available.
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Financials
Net Assets, Total Assets & Total Liabilities (2016 - 2023)
Year EndedJan 2023
Total Assets£140.16k
+£61.54k (+78.28%)
vs previous year
Total Liabilities£-555.06k
-£84.53k (-17.96%)
vs previous year
Net Assets£-414.9k
-£22.98k (-5.86%)
vs previous year
Cash in Bank£99.18k
+£40.2k (+68.16%)
vs previous year
Employees2
+0 (+0%)
vs previous year
Turnover Unreported
Debt Ratio (%)396.02%
-202.5 (-33.83%)
vs previous year
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Group Structure
Subsidiaries
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Documents34
Confirmation statement
7 Feb 2024 • 3 Pages
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Total exemption full accounts
31 Oct 2023 • 7 Pages
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Confirmation statement
12 Feb 2023 • 3 Pages
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Total exemption full accounts
14 Nov 2022 • 9 Pages
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Confirmation statement
1 Mar 2022 • 3 Pages
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