Accounts filed on 31-05-2016


Techniforce Software 1 1 June 2015 1 0 0 0 0 09038328 2016-05-31 09038328 2015-06-01 2016-05-31 09038328 ns1:Director1 2015-06-01 2016-05-31 09038328 ns1:EntityAccountantsOrAuditors 2015-06-01 2016-05-31 09038328 ns1:EntityAccountantsOrAuditors 2016-05-31 09038328 ns1:EntityAccountantsOrAuditors 2014-06-01 2015-05-31 09038328 ns1:EntityBankers 2015-06-01 2016-05-31 09038328 ns1:EntityLawyersOrLegalAdvisers 2015-06-01 2016-05-31 09038328 ns1:Director2 2015-06-01 2016-05-31 09038328 ns1:Director3 2015-06-01 2016-05-31 09038328 ns1:Director4 2015-06-01 2016-05-31 09038328 ns1:Director5 2015-06-01 2016-05-31 09038328 ns1:Director6 2015-06-01 2016-05-31 09038328 ns1:Director7 2015-06-01 2016-05-31 09038328 ns1:Director8 2015-06-01 2016-05-31 09038328 ns1:Director9 2015-06-01 2016-05-31 09038328 ns1:RegisteredOffice 2015-06-01 2016-05-31 09038328 ns1:CompanySecretary 2015-06-01 2016-05-31 09038328 ns3:FixturesFittingsToolsEquipment 2016-05-31 09038328 ns3:LandBuildings ns3:OwnedOrFreeholdTangibleFixedAssets 2016-05-31 09038328 ns3:LandBuildings ns3:OwnedOrFreeholdTangibleFixedAssets 2015-06-01 2016-05-31 09038328 ns3:LandBuildings ns3:LongLeaseholdProperties 2016-05-31 09038328 ns3:LandBuildings ns3:LongLeaseholdProperties 2015-06-01 2016-05-31 09038328 ns3:NetGoodwill 2016-05-31 09038328 ns3:NetGoodwill 2015-06-01 2016-05-31 09038328 ns1:OrdinaryShareClass1 2016-05-31 09038328 ns1:OrdinaryShareClass2 2016-05-31 09038328 ns1:OrdinaryShareClass3 2016-05-31 09038328 ns3:IntangibleAssetsOtherThanGoodwill 2016-05-31 09038328 ns3:IntangibleAssetsOtherThanGoodwill 2015-06-01 2016-05-31 09038328 ns3:PlantMachinery 2015-06-01 2016-05-31 09038328 ns3:PlantMachinery 2016-05-31 09038328 ns1:PreferenceShareClass1 2016-05-31 09038328 ns1:PreferenceShareClass2 2016-05-31 09038328 ns3:LandBuildings ns3:ShortLeaseholdProperties 2016-05-31 09038328 ns3:LandBuildings ns3:ShortLeaseholdProperties 2015-06-01 2016-05-31 09038328 ns3:Vehicles 2016-05-31 09038328 ns3:Vehicles 2015-06-01 2016-05-31 09038328 ns3:FixturesFittingsToolsEquipment 2015-06-01 2016-05-31 09038328 ns1:AllEntityOfficers 2015-06-01 2016-05-31 09038328 2015-05-31 09038328 2016-05-31 09038328 2016-05-31 09038328 ns3:FixturesFittingsToolsEquipment 2015-05-31 09038328 ns3:LandBuildings ns3:OwnedOrFreeholdTangibleFixedAssets 2015-05-31 09038328 ns3:LandBuildings ns3:LongLeaseholdProperties 2015-05-31 09038328 ns3:NetGoodwill 2015-05-31 09038328 ns3:IntangibleAssetsOtherThanGoodwill 2015-05-31 09038328 ns3:PlantMachinery 2015-05-31 09038328 2014-06-01 09038328 ns3:LandBuildings ns3:ShortLeaseholdProperties 2015-05-31 09038328 ns3:Vehicles 2015-05-31 09038328 2014-06-01 2015-05-31 09038328 ns1:AllEntityOfficers 2014-06-01 2015-05-31 09038328 2015-05-31 09038328 ns1:OrdinaryShareClass2 2015-05-31 09038328 ns1:OrdinaryShareClass1 2015-05-31 09038328 ns1:OrdinaryShareClass3 2014-06-01 09038328 ns1:PreferenceShareClass1 2015-05-31 09038328 ns1:PreferenceShareClass2 2015-05-31 09038328 ns3:BeforeAnyAdjustmentsForAmortisationImpairment ns3:BeforeAnyAdjustmentsForExceptionalItems 2014-06-01 2015-05-31 09038328 ns3:BeforeAnyAdjustmentsForAmortisationImpairment ns3:BeforeAnyAdjustmentsForExceptionalItems 2015-06-01 2015-05-31 09038328 ns3:AfterAnyAdjustmentsForAmortisationImpairment ns3:AfterAnyAdjustmentsForExceptionalItems 2015-06-01 2016-05-31 09038328 ns3:AfterAnyAdjustmentsForAmortisationImpairment ns3:AfterAnyAdjustmentsForExceptionalItems 2014-06-01 2015-05-31 09038328 ns3:NetGoodwill 2015-06-01 2016-05-31 09038328 ns3:NetGoodwill 2014-06-01 2015-05-31 09038328 ns3:NetGoodwill 2016-05-31 09038328 ns3:NetGoodwill 2015-05-31 09038328 ns3:LeasedTangibleFixedAssets 2015-06-01 2016-05-31 09038328 ns1:HighestPaidDirector 2015-06-01 2016-05-31 09038328 ns1:HighestPaidDirector 2014-06-01 2015-05-31 09038328 ns3:Buildings 2015-06-01 2016-05-31 09038328 ns3:LeasedTangibleFixedAssets ns3:Buildings 2015-06-01 2016-05-31 09038328 ns3:OwnedOrFreeholdTangibleFixedAssets 2015-06-01 2016-05-31 09038328 ns3:OwnedOrFreeholdTangibleFixedAssets 2014-06-01 2015-05-31 09038328 ns3:LeasedTangibleFixedAssets 2015-06-01 2016-05-31 09038328 ns3:LeasedTangibleFixedAssets 2014-06-01 2015-05-31 09038328 ns1:AllOrdinaryShares 2016-05-31 09038328 ns1:AllPreferenceShares 2016-05-31 09038328 ns1:AllOrdinaryShares 2015-05-31 09038328 ns1:AllPreferenceShares 2015-05-31 09038328 ns1:AllOrdinaryShares ns3:DividendsPaid 2014-06-01 2015-05-31 09038328 ns1:AllOrdinaryShares ns3:DividendsProposed 2015-06-01 2016-05-31 09038328 ns1:AllOrdinaryShares ns3:DividendsProposed 2014-06-01 2015-05-31 09038328 ns1:AllOrdinaryShares ns3:DividendsPaid 2015-06-01 2016-05-31 09038328 ns1:AllOrdinaryShares 2015-06-01 2016-05-31 09038328 ns1:AllPreferenceShares 2015-06-01 2016-05-31 09038328 ns3:DevelopmentCostsPatentsSimilar 2015-06-01 09038328 ns3:DevelopmentCostsPatentsSimilar 2015-06-01 2016-05-31 09038328 ns3:DevelopmentCostsPatentsSimilar 2016-05-31 09038328 ns3:OtherIntangibleFixedAssets 2015-06-01 09038328 ns3:OtherIntangibleFixedAssets 2015-06-01 2016-05-31 09038328 ns3:OtherIntangibleFixedAssets 2016-05-31 09038328 ns1:OrdinaryShareClass1 2015-06-01 2016-05-31 09038328 ns1:OrdinaryShareClass2 2015-06-01 2016-05-31 09038328 ns1:OrdinaryShareClass3 2015-06-01 2016-05-31 09038328 ns1:OrdinaryShareClass4 2015-06-01 2016-05-31 09038328 ns1:OrdinaryShareClass5 2015-06-01 2016-05-31 09038328 ns1:PreferenceShareClass1 2015-06-01 2016-05-31 09038328 ns1:PreferenceShareClass2 2015-06-01 2016-05-31 09038328 ns1:OrdinaryShareClass3 2016-05-31 09038328 ns1:OrdinaryShareClass4 2016-05-31 09038328 ns1:OrdinaryShareClass5 2016-05-31 09038328 ns1:OrdinaryShareClass3 2015-05-31 09038328 ns1:OrdinaryShareClass4 2015-05-31 09038328 ns1:OrdinaryShareClass5 2015-05-31 xbrli:pure xbrli:shares iso4217:GBP iso4217:USD

Company registration number:09038328
NONAME LONDON LIMITED
ABBREVIATED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 May 2016

NONAME LONDON LIMITED
BALANCE SHEET
AS AT 31 May 2016
2016 2015
Notes £ £ £ £
CURRENT ASSETS
Debtors3,80535,971
Cash at bank and in hand4,478328
8,28336,299
CREDITORS
Amounts falling due within one year(14,364)(42,446)
NET CURRENT ASSETS (6,081) (6,147)
TOTAL ASSETS LESS
CURRENT LIABILITIES (6,081) (6,147)
NET ASSETS (6,081) (6,147)
CAPITAL AND RESERVES
Called-up equity share capital 2 100 100
Profit and loss account (6,181) (6,247)
SHAREHOLDERS FUNDS (6,081) (6,147)
For the year ending 31 May 2016 the company was entitled to exemption unde section 477 of the Companies Act 2006 relating to small companies.
The members have not required the company to obtain an audit in accordance with section 476 of the Companies Act 2006
The director acknowledges his responsibilities for complying with the requirements of the Act with respect to accounting records and the preparation of the accounts.
These financial statements have been prepared in accordance with the special provisions relating to the small companies regime within Part 15 of the Companies Act 2006 and in accordance with the Financial Reporting Standard for Smaller Entities (effective January 2015). Approved by the board of directors on 21 July 2016 and signed on its behalf.
..........................................................................
Lucio Piticchio - Director
21 July 2016
The annexed notes form part of these financial statements.

NONAME LONDON LIMITED
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MAY 2016
1. Accounting policies
Basis of preparing the financial statements
The accounts have been prepared under the historical cost convention and in accordance with the Financial Reporting Standard for Smaller Entities (Effective January 2015).
Statement of cashflow
The Company has taken advantage of the exemption in Financial Reporting Standard No.1 from the requirement to produce a cashflow statement on the grounds that it is a small company.
Turnover
Turnover comprises the invoiced value of goods and services supplied by the company, net of Value Added Tax and trade discounts.
Foreign currency
Assets and liabilities in foreign currencies are translated into sterling at the rates of exchange ruling at the balance sheet date. Transactions in foreign currencies are translated into sterling at the rate ruling on the date of the transaction. Exchange differences are taken into account in arriving at the operating profit.
2. Share capital Allotted, issued and fully paid
2016 2015
£ £
Ordinary shares of £1 each100100
Total issued share capital100100