REDBRIK MEDIA LIMITED - SHEFFIELD


Company Profile Company Filings

Overview

REDBRIK MEDIA LIMITED is a Private Limited Company from SHEFFIELD ENGLAND and has the status: Active.
REDBRIK MEDIA LIMITED was incorporated 5 years ago on 05/03/2019 and has the registered number: 11862290. The accounts status is TOTAL EXEMPTION FULL and accounts are next due on 31/12/2024.

REDBRIK MEDIA LIMITED - SHEFFIELD

This company is listed in the following categories:
73120 - Media representation services

Accounts Status

Accounting Year End (d/m) Accounts Last Made Up Date Accounts Next Due Date
31 / 3 31/03/2023 31/12/2024

Registered Office

UNIT 13, 92 BURTON ROAD
SHEFFIELD
SOUTH YORKSHIRE
S3 8BX
ENGLAND

This Company Originates in : United Kingdom

Confirmation Statements

Last Statement Next Statement Due
04/03/2023 18/03/2024

Map

ENGLAND

Company Officers - Current and Previous

Name Born Nationality Role Appointed Status
MR MARK DANIEL ROSS Sep 1980 British Director 2019-03-05 CURRENT
MR PETER JAMES LEE Feb 1977 British Director 2019-03-05 CURRENT
MR DAVID JAMES COOPER Oct 1985 British Director 2019-03-05 CURRENT
MR MICHAEL EDWARD PARRY Apr 1984 British Director 2019-03-05 UNTIL 2020-12-11 RESIGNED
MRS JULIE ANNE BULHELLER Oct 1965 British Director 2019-03-05 UNTIL 2020-11-26 RESIGNED

Persons with Significant Control

Name Active from Born Address Level of control
Mrs Julie Anne Bulheller 2019-03-05 - 2020-11-26 10/1965 Chesterfield   Derbyshire Ownership of shares 25 to 50 percent
Voting rights 25 to 50 percent
Mr Mark Daniel Ross 2019-03-05 9/1980 Chesterfield   Derbyshire Ownership of shares 25 to 50 percent
Voting rights 25 to 50 percent

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Free Reports Available

Report Date Filed Date of Report Assets
ACCOUNTS - Final Accounts preparation 2023-12-20 31-03-2023 11,495 Cash -61,743 equity
ACCOUNTS - Final Accounts preparation 2022-12-24 31-03-2022 6,788 Cash -19,230 equity
ACCOUNTS - Final Accounts preparation 2021-11-05 31-03-2021 29,148 Cash -16,802 equity
ACCOUNTS - Final Accounts preparation 2021-01-22 31-03-2020 2,932 Cash -24,137 equity

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