Tbf Scaffolding Ltd

Tbf Scaffolding Ltd

#01841098 Active
B2bServices

tbf Scaffolding is a reputable scaffolding company based in Ipswich, providing commercial and domestic scaffolding services across East Anglia. With over 30 years of experience, they are known for their impeccable safety records and outstanding customer service.

Founded: 15/08/1984
Industries: Scaffold erection
Location: Ipswich

Services

  • Bespoke Scaffolding
  • Commercial Scaffolding
  • Domestic Scaffolding
  • New Build Scaffolding
  • Specialist Scaffolding

Financial Snapshot

Last accounts made up to 31 March 2024
Next accounts due 31 December 2025 (7 months)
Cash in Bank £85,319
↓ -17%
Turnover £3.4m
↑ 14%
EBITDA £0.46m
↓ -7%
Gross Profit £2.25m
↑ 4%
Total Liabilities £0.97m
↑ 1%
Employees 30
↓ -3%

Directors

Role:
Director
Appointed:
01/04/2025
Nationality:
British
Age:
59 years
Role:
Chartered Accountant
Appointed:
04/11/2024
Nationality:
British
Age:
42 years
Role:
Director
Appointed:
01/02/2023
Nationality:
British
Age:
44 years
Role:
Director
Appointed:
24/08/2020
Nationality:
British
Age:
34 years
Role:
Director
Appointed:
07/12/2018
Nationality:
British
Age:
56 years
Role:
Director
Appointed:
07/12/2018
Nationality:
British
Age:
42 years
Role:
Director
Appointed:
07/12/2018
Nationality:
British
Age:
63 years
Role:
Contracts Manager
Appointed:
11/01/2013
Nationality:
British
Age:
56 years
Role:
Finance Director
Appointed:
11/01/2013
Nationality:
British
Age:
48 years
Role:
Tree Surgeon
Appointed:
11/01/2013
Nationality:
British
Age:
59 years

People with Significant Control

Nature of Control:
Ownership Of Shares 75 To 100 Percent, Voting Rights 75 To 100 Percent, Right To Appoint And Remove Directors
Notified On:
09/11/2023
Nationality:
United Kingdom
Mar 2023Mar 2022Apr 2020
Income Statement
Turnover
Export Revenue
Sales
Other Operating Income
Other Operating Items
Cost of Sales
Raw Materials & Consumables
Gross Profit
Admin Expenses
Other Operating Charges
Depreciation
R&D Expenses
Operating Profit
EBITDA
Financial Revenue
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Interest Paid
Extraordinary Revenue
Extraordinary Expenses
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Tax
Profit After Tax
Retained Profit
Balance Sheet
Non-Current Assets
Intangible Assets
Tangible Fixed Assets
Other Non-Current Assets
Current Assets
Stock
Debtors
Cash in Hand
Other Current Assets
Called Up Share Capital
P&L Account Reserve
Shareholder Funds
Other Shareholder Funds
Provisions
Long Term Debt
Creditors (> 1 year)
Other Non-Current Liabilities
Short Term Debt
Creditors
Creditors (< 1 year)
Other Current Liabilities
Key Metrics
Net Assets
Net Current Assets
Total Assets Less Current Liabilities
Working Capital
Enterprise Value
Added Value
Cashflow Before D&A
Other Information
Staff Costs
Number of Employees
2 shareholders available
Shareholder 1
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Percentage:
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Charges

8 charges registered
Ares Management Limited as Security Trustee for the Secured Parties (As Defined in the Instrument) Outstanding
Created 06/09/2024
#018410980008 Negative Pledge
Ares Management Limited (As Security Trustee for Itself and the Other Secured Parties (as Defined in the Instrument)) Outstanding
Created 06/08/2021
#018410980007 Negative Pledge

Properties

No property information available

0 issuances recorded

Total Amount Raised (Valid Issuances)

Shares Issued (Valid Issuances)

Date CLASS
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Date CLASS
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Grants

No grant information available

Group Structure

Government Council Contracts Beta

Total Council Spend
£2,073,906.87
Across 102 transactions
Contract Period
Sept 2018 - Jul 2024
1 council
Average Per Council
£2,073,906.87
102 avg. transactions

Council Partners

Ipswich Borough Council

Company Filings

10/04/2025 Confirmation Statement

Confirmation Statement With No Updates

03/04/2025 Other

Legacy

03/04/2025 Accounts

Legacy

03/04/2025 Accounts

Accounts With Accounts Type Audit Exemption Subsiduary

03/04/2025 Officers

Appoint Person Director Company With Name Date

03/04/2025 Other

Legacy

02/04/2025 Officers

Termination Director Company With Name Termination Date