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Midland & General Scaffolding Ltd

Midland & General Scaffolding Ltd is an active company incorporated on 18 December 2007 with the registered office located in Rugeley, Staffordshire. Midland & General Scaffolding Ltd was registered 17 years ago.
Status
Active
Active since incorporation
Company No
06455823
Private limited company
Age
17 years
Incorporated 18 December 2007
Size
Unreported
Confirmation
Submitted
Dated 12 December 2024 (8 months ago)
Next confirmation dated 12 December 2025
Due by 26 December 2025 (3 months remaining)
Last change occurred 5 years ago
Accounts
Submitted
For period 1 Apr30 Jun 2024 (1 year 3 months)
Accounts type is Total Exemption Full
Next accounts for period 30 June 2025
Due by 31 March 2026 (6 months remaining)
Contact
Address
4 Tannery Close
Rugeley
Staffordshire
WS15 2HR
England
Address changed on 29 Mar 2022 (3 years ago)
Previous address was Unit 13 Cannock Wood Industrial Estate Cannock Wood Street Rawnsley; Cannock Staffs WS12 0PL
Telephone
01543898023
Email
Available in Endole App
People
Officers
5
Shareholders
1
Controllers (PSC)
1
Director • Secretary • British • Lives in England • Born in Nov 1970
Director • British • Lives in UK • Born in Nov 1971
Director • British • Lives in England • Born in Jun 1976
Director • British • Lives in England • Born in Jan 1973
Midland & General Holdings Ltd
PSC
Shareholders, PSCs & Group Structure
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Mutual Companies
Debbigard Ltd
Mrs Joanne Godwin and Ms Deborah Julie Leadbeater are mutual people.
Active
Midland & General Holdings Ltd
Martin John Leadbeater and Jamie Alister Buchanan are mutual people.
Active
Silverlining Finance Ltd
Jamie Alister Buchanan is a mutual person.
Active
Recovery & Turnaround Limited
Jamie Alister Buchanan is a mutual person.
Active
Trenchant Investments Ltd
Jamie Alister Buchanan is a mutual person.
Active
KBW Regeneration 1 Limited
Jamie Alister Buchanan is a mutual person.
Active
Aquadabra Ltd
Jamie Alister Buchanan is a mutual person.
Active
Iow Holdings Limited
Jamie Alister Buchanan is a mutual person.
Active
Financials
Net Assets, Total Assets & Total Liabilities (2015–2024)
Period Ended
30 Jun 2024
For period 30 Mar30 Jun 2024
Traded for 15 months
Cash in Bank
£520.39K
Decreased by £110.33K (-17%)
Turnover
Unreported
Same as previous period
Employees
60
Decreased by 1 (-2%)
Total Assets
£4.15M
Increased by £463.03K (+13%)
Total Liabilities
-£920.25K
Increased by £274.65K (+43%)
Net Assets
£3.23M
Increased by £188.38K (+6%)
Debt Ratio (%)
22%
Increased by 4.66% (+27%)
Latest Activity
Full Accounts Submitted
2 Months Ago on 26 Jun 2025
Confirmation Submitted
7 Months Ago on 15 Jan 2025
Accounting Period Extended
8 Months Ago on 18 Dec 2024
New Charge Registered
1 Year 1 Month Ago on 12 Jul 2024
New Charge Registered
1 Year 2 Months Ago on 5 Jul 2024
New Charge Registered
1 Year 2 Months Ago on 28 Jun 2024
Charge Satisfied
1 Year 5 Months Ago on 15 Mar 2024
Confirmation Submitted
1 Year 8 Months Ago on 4 Jan 2024
Full Accounts Submitted
1 Year 8 Months Ago on 21 Dec 2023
Full Accounts Submitted
2 Years 6 Months Ago on 6 Mar 2023
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Documents
Total exemption full accounts made up to 30 June 2024
Submitted on 26 Jun 2025
Confirmation statement made on 12 December 2024 with no updates
Submitted on 15 Jan 2025
Previous accounting period extended from 31 March 2024 to 30 June 2024
Submitted on 18 Dec 2024
Registration of charge 064558230004, created on 12 July 2024
Submitted on 12 Jul 2024
Registration of charge 064558230003, created on 5 July 2024
Submitted on 5 Jul 2024
Registration of charge 064558230002, created on 28 June 2024
Submitted on 2 Jul 2024
Satisfaction of charge 064558230001 in full
Submitted on 15 Mar 2024
Confirmation statement made on 12 December 2023 with no updates
Submitted on 4 Jan 2024
Total exemption full accounts made up to 31 March 2023
Submitted on 21 Dec 2023
Total exemption full accounts made up to 31 March 2022
Submitted on 6 Mar 2023
Repayment History
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