Harley Street Concierge Ltd
Harley Street Concierge Ltd
Trading as: Reframe
#08331310 • Active
B2bServicesSubscription
Reframe specializes in providing comprehensive workplace cancer support, offering nurse-led assistance throughout the cancer journey from prevention to post-treatment. They empower employees, carers, and colleagues affected by cancer with personalized support and resources.
Founded: 14/12/2012
Industries: Other service activities n.e.c.
Website: https://reframe.co.uk
Phone: Subscribe to view
Email: Subscribe to view
Location: Basingstoke
Products
- Guides For Supporting Employees Through Cancer
- Training Webinars On Cancer Awareness
Services
- Cancer Awareness And Prevention Training
- Nurse-led Cancer Support
- Personalized Emotional And Practical Support
Financial Snapshot
Last accounts made up to 31 December 2023
Next accounts due 30 September 2025 (4 months)
Cash in Bank £0.48m
↓ -23%
Employees 16
↑ 0%
Directors
Name | Role | Appointed ↓ | Nationality | Age |
---|---|---|---|---|
Robert Mark Stephenson | Director | 01/09/2022 | British | 60 years |
Michael Kennedy | Director | 23/12/2020 | Irish | 54 years |
Pauline Anne Bradley | Director | 07/12/2015 | British | 63 years |
Role:
Director
Appointed:
01/09/2022
Nationality:
British
Age:
60 years
Role:
Director
Appointed:
23/12/2020
Nationality:
Irish
Age:
54 years
Role:
Director
Appointed:
07/12/2015
Nationality:
British
Age:
63 years
People with Significant Control
Name | Nature of Control | Notified On | Nationality |
---|---|---|---|
Highland And Universal Investments Limited | Ownership Of Shares 75 To 100 Percent, Voting Rights 25 To 50 Percent | 17/05/2016 | United Kingdom |
Nature of Control:
Ownership Of Shares 75 To 100 Percent, Voting Rights 25 To 50 Percent
Notified On:
17/05/2016
Nationality:
United Kingdom
Financial Accounts
Dec 2023 | Dec 2022 | Dec 2021 | |
---|---|---|---|
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 | |||
Financial Expenses | |||
Financial Profit/Loss | |||
Interest Paid | |||
Extraordinary Revenue | |||
Extraordinary Expenses | |||
Net Extraordinary Items | |||
Pre-Tax Profit | |||
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 |
Charges
No charges registered
Properties
No property information available
Grants
No grant information available
Government Council Contracts Beta
No council contracts found
Company Filings
Date | Category | Description | Document |
---|---|---|---|
11/12/2024 | Officers | Change Person Director Company With Change Date | View (2 pages) |
11/12/2024 | Confirmation Statement | Confirmation Statement With Updates | View (5 pages) |
06/10/2024 | Incorporation | Memorandum Articles | View (25 pages) |
06/10/2024 | Resolution | Resolution | View (1 page) |
13/09/2024 | Accounts | Accounts With Accounts Type Total Exemption Full | View (10 pages) |
27/06/2024 | Capital | Capital Allotment Shares | View (4 pages) |
15/01/2024 | Officers | Termination Director Company With Name Termination Date | View (1 page) |