Oilfield Production Consultants (opc) Limited

General information

Name:

Oilfield Production Consultants (opc) Ltd

Office Address:

1-2 Apollo Studios Charlton Kings Road Kentish Town NW5 2SB London

Number: 02299264

Incorporation date: 1988-09-22

End of financial year: 31 December

Category: Private Limited Company

Status: Active

Description

Data updated on:

Registered as 02299264 36 years ago, Oilfield Production Consultants (opc) Limited was set up as a Private Limited Company. The current mailing address is 1-2 Apollo Studios Charlton Kings Road, Kentish Town London. This firm's classified under the NACE and SIC code 74909 which stands for Other professional, scientific and technical activities not elsewhere classified. The most recent financial reports describe the period up to Saturday 31st December 2022 and the most current confirmation statement was filed on Friday 8th September 2023.

The corporation's trademark is "FIT Solutions". They submitted a trademark application on 2014/09/09 and it was printed in the journal number 2014-044.

Taking into consideration the following firm's magnitude, it became unavoidable to find other directors: Ryan M. and Piers J. who have been collaborating since August 2020 to promote the success of the firm. To support the directors in their duties, the firm has been using the skills of Dawn J. as a secretary since the appointment on July 25, 1991.

Trade marks

Trademark UK00003071859
Trademark image:-
Trademark name:FIT Solutions
Status:Application Published
Filing date:2014-09-09
Owner name:Oilfield Production Consultants (OPC) Ltd
Owner address:Unit 1-2, Apollo Studios, Charlton King's Road, LONDON, United Kingdom, NW5 2SB

Company staff

Ryan M.

Role: Director

Appointed: 11 August 2020

Latest update: 25 March 2024

Piers J.

Role: Director

Appointed: 25 July 1991

Latest update: 25 March 2024

Dawn J.

Role: Secretary

Appointed: 25 July 1991

Latest update: 25 March 2024

People with significant control

Piers Jonathon J. is the individual who has control over this firm, owns over 3/4 of company shares and has 3/4 to full of voting rights.

Piers Jonathon J.
Notified on 6 April 2016
Nature of control:
over 3/4 of shares
3/4 to full of voting rights

Accounts Documents

Account next due date 30 September 2024
Account last made up date 31 December 2022
Confirmation statement next due date 22 September 2024
Confirmation statement last made up date 08 September 2023
Annual Accounts
Start Date For Period Covered By Report 2022-01-01
End Date For Period Covered By Report 2022-12-31
Audit Fees Expenses 28,000
Accrued Liabilities 345,565
Accumulated Depreciation Impairment Investment Property Cost Model 234,662
Additions From Subsequent Expenditure Recognised As Asset Investment Property Cost Model 66,745
Additions Other Than Through Business Combinations Property Plant Equipment 9,085
Amounts Owed By Subsidiaries 860,530
Amounts Owed To Subsidiaries 99,422
Average Number Employees During Period 19
Comprehensive Income Expense 402,452
Cost Sales 5,642,718
Financial Assets 9,747
Further Item Cash Flow From Used In Financing Activities Component Net Cash Flows From Used In Financing Activities 200,001
Further Item Current Tax Expense Credit Component Total Current Tax Expense 112,000
Gain Loss On Non-financing Activities Due To Foreign Exchange Differences Recognised In Profit Or Loss 306,355
Impairment Loss Investment Property Cost Model 66,830
Impairment Loss Reversal Investment Property Cost Model 66,830
Increase From Depreciation Charge For Year Property Plant Equipment 43,853
Interest Income On Bank Deposits 420
Investment Property Cost Model Gross 276,863
Investment Property Including Right-of-use Assets 42,201
Investments In Subsidiaries 4,747
Net Current Assets Liabilities 2,768,289
Other Interest Receivable Similar Income Finance Income 420
Other Payables 79,595
Other Taxation Social Security Payable 57,749
Payments Lease Liabilities Classified As Financing Activities 8,496
Pension Other Post-employment Benefit Costs Other Pension Costs 42,136
Prepayments 150,003
Profit Loss 402,452
Property Plant Equipment Excluding Right-of-use Assets 894,493
Property Plant Equipment Gross Cost 55,669
Property Plant Equipment Including Right-of-use Assets 894,493
Purchase Treasury Shares Decrease In Equity 100,160
Tax Expense Credit Applicable Tax Rate 97,746
Total Borrowings 200,000
Total Current Tax Expense Credit 112,000
Trade Debtors Trade Receivables 2,151,406
Trade Other Receivables 3,133,595

Company filings

Filing category

Hide filing type
Accounts Address Annual return Auditors Capital Confirmation statement Incorporation Mortgage Officers Persons with significant control Resolution
Free Download
Group of companies' report and financial statements (accounts) made up to 2022/12/31 (AA)
filed on: 29th, September 2023
accounts
Free Download Download filing (44 pages)

Search other companies

Services (by SIC Code)

  • 74909 : Other professional, scientific and technical activities not elsewhere classified
35
Company Age

Similar companies nearby

Closest companies