MOFFAT OPERATIONS LIMITED - PEEBLES


Company Profile Company Filings

Overview

MOFFAT OPERATIONS LIMITED is a Private Limited Company from PEEBLES UNITED KINGDOM and has the status: Active.
MOFFAT OPERATIONS LIMITED was incorporated 4 years ago on 25/02/2020 and has the registered number: SC655573. The accounts status is TOTAL EXEMPTION FULL and accounts are next due on 30/04/2024.

MOFFAT OPERATIONS LIMITED - PEEBLES

This company is listed in the following categories:
55100 - Hotels and similar accommodation

Accounts Status

Accounting Year End (d/m) Accounts Last Made Up Date Accounts Next Due Date
31 / 7 31/07/2022 30/04/2024

Registered Office

BARONY CASTLE
PEEBLES
EH45 8QW
UNITED KINGDOM

This Company Originates in : United Kingdom

Confirmation Statements

Last Statement Next Statement Due
24/02/2023 09/03/2024

Map

UNITED KINGDOM

Company Officers - Current and Previous

Name Born Nationality Role Appointed Status
MS JENNA WHITSON May 1984 British Director 2020-07-31 CURRENT
MR MARK HOWARD Aug 1982 Scottish Director 2020-02-25 UNTIL 2020-07-31 RESIGNED

Persons with Significant Control

Name Active from Born Address Level of control
Mr Scott Weatherby 2021-08-01 7/1969 Peebles   Ownership of shares 25 to 50 percent
Voting rights 25 to 50 percent
Mr Richard Timothy Spanner 2021-08-01 10/1960 Peebles   Ownership of shares 25 to 50 percent
Voting rights 25 to 50 percent
Moffat Hotel Limited 2020-02-25 - 2021-08-01 Peebles   Ownership of shares 75 to 100 percent
Voting rights 75 to 100 percent
Right to appoint and remove directors

Related Companies

CompanyName Address Company Status Accounts Status Main Company Activity
TONTINE OPERATIONS LIMITED EDDLESTON UNITED KINGDOM Active TOTAL EXEMPTION FULL 55100 - Hotels and similar accommodation

Free Reports Available

Report Date Filed Date of Report Assets
MOFFAT_OPERATIONS_LIMITED - Accounts 2024-04-25 31-07-2023 £82,960 Cash £-602,059 equity
MOFFAT_OPERATIONS_LIMITED - Accounts 2023-07-28 31-07-2022 £62,145 Cash £-611,781 equity
MOFFAT_OPERATIONS_LIMITED - Accounts 2022-02-23 31-07-2021 £40,581 Cash £-587,658 equity

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