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Laver Regeneration Limited

Laver Regeneration Limited is an active company incorporated on 20 August 1932 with the registered office located in Sheffield, South Yorkshire. Laver Regeneration Limited was registered 93 years ago.
Status
Active
Active since incorporation
Company No
00267843
Private limited company
Age
93 years
Incorporated 20 August 1932
Size
Micro
Turnover is under £1M
Under 10 employees
Confirmation
Submitted
Dated 22 January 2025 (7 months ago)
Next confirmation dated 22 January 2026
Due by 5 February 2026 (5 months remaining)
Last change occurred 6 years ago
Accounts
Submitted
For period 1 Jan31 Dec 2024 (1 year)
Accounts type is Total Exemption Full
Next accounts for period 31 December 2025
Due by 30 September 2026 (1 year remaining)
Contact
Address
Aizlewoods Mill
Nursery Street
Sheffield
S3 8GG
England
Same address for the past 6 years
Telephone
01142230300
Email
Available in Endole App
People
Officers
3
Shareholders
1
Controllers (PSC)
1
Director • Secretary • Accountant • British • Lives in UK • Born in Sep 1959
Director • Timber Merchant • British • Lives in UK • Born in Jun 1966
Laver Regeneration Group Limited
PSC
Shareholders, PSCs & Group Structure
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Mutual Companies
Laver Regeneration Holdings Limited
Mr Mark Richard Bower and are mutual people.
Active
Laver Regeneration Group Limited
Mr Mark Richard Bower and are mutual people.
Active
Laver Leisure (Oakamoor) Limited
Mr Mark Richard Bower and are mutual people.
Active
Chesterfield Waterfront Limited
Mr Mark Richard Bower is a mutual person.
Active
Chesterfield Waterside Limited
Mr Mark Richard Bower is a mutual person.
Active
Urbo Regeneration Limited
Mr Mark Richard Bower and Mr Andrew James Laver are mutual people.
Active
Canal Road Urban Village Limited
Mr Mark Richard Bower and Mr Andrew James Laver are mutual people.
Active
Bank Construction Limited
Mr Andrew James Laver is a mutual person.
Active
Financials
Net Assets, Total Assets & Total Liabilities (2015–2024)
Period Ended
31 Dec 2024
For period 31 Dec31 Dec 2024
Traded for 12 months
Cash in Bank
£668K
Decreased by £408K (-38%)
Turnover
Unreported
Same as previous period
Employees
4
Same as previous period
Total Assets
£95.19M
Decreased by £5.44M (-5%)
Total Liabilities
-£38.16M
Increased by £366K (+1%)
Net Assets
£57.03M
Decreased by £5.81M (-9%)
Debt Ratio (%)
40%
Increased by 2.53% (+7%)
Latest Activity
Full Accounts Submitted
18 Days Ago on 20 Aug 2025
Charge Satisfied
1 Month Ago on 24 Jul 2025
Charge Satisfied
3 Months Ago on 22 May 2025
Charge Satisfied
3 Months Ago on 22 May 2025
Charge Satisfied
3 Months Ago on 22 May 2025
Charge Satisfied
3 Months Ago on 22 May 2025
Charge Satisfied
3 Months Ago on 22 May 2025
Charge Satisfied
3 Months Ago on 22 May 2025
Charge Satisfied
3 Months Ago on 22 May 2025
Confirmation Submitted
7 Months Ago on 3 Feb 2025
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Documents
Total exemption full accounts made up to 31 December 2024
Submitted on 20 Aug 2025
Satisfaction of charge 002678430065 in full
Submitted on 24 Jul 2025
Part of the property or undertaking has been released and no longer forms part of charge 002678430052
Submitted on 25 Jun 2025
All of the property or undertaking has been released from charge 002678430065
Submitted on 25 Jun 2025
Part of the property or undertaking has been released and no longer forms part of charge 002678430071
Submitted on 25 Jun 2025
Part of the property or undertaking has been released and no longer forms part of charge 002678430071
Submitted on 3 Jun 2025
Part of the property or undertaking has been released and no longer forms part of charge 002678430052
Submitted on 3 Jun 2025
Satisfaction of charge 002678430056 in full
Submitted on 22 May 2025
Satisfaction of charge 002678430070 in full
Submitted on 22 May 2025
Satisfaction of charge 002678430066 in full
Submitted on 22 May 2025
Repayment History
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