MIRA INFORM REPORT

 

 

Report Date :

23.05.2014

 

IDENTIFICATION DETAILS

 

Name :

EUROPEAN METAL RECYCLING LIMITED

 

 

Formerly Known As :

NOBLEDRIFT LIMITED

 

 

Registered Office :

Sirius House, Delta Crescent Westbrook, Warrington, Wa5 7ns

 

 

Country :

United Kingdom

 

 

Financials (as on) :

31.12.2012

 

 

Date of Incorporation :

02.08.1994

 

 

Com. Reg. No.:

02954623

 

 

Legal Form :

Private limited with Share Capital

 

 

Line of Business :

A group engaged and its subsidiary is in the recycling of ferrous and non-ferrous metals.

 

 

No. of Employees

Not Available

 

RATING & COMMENTS

 

MIRA’s Rating :

Ba

 

RATING

STATUS

PROPOSED CREDIT LINE

41-55

Ba

Overall operation is considered normal. Capable to meet normal commitments.

Satisfactory

 

Status :

Satisfactory

Payment Behaviour :

No complaints

Litigation :

Clear

 

NOTES :

Any query related to this report can be made on e-mail : infodept@mirainform.com while quoting report number, name and date.

 

ECGC Country Risk Classification List – March 31, 2014

 

Country Name

Previous Rating

(31.12.2013)

Current Rating

(31.03.2014)

United Kingdom

A1

A1

 

Risk Category

ECGC Classification

Insignificant

 

A1

Low Risk

 

A2

Moderately Low Risk

 

B1

Moderate Risk

 

B2

Moderately  High Risk

C1

High Risk

 

C2

Very High Risk

 

D

 


 

UNITED KINGDOM - ECONOMIC OVERVIEW

 

The UK, a leading trading power and financial center, is the third largest economy in Europe after Germany and France. Over the past two decades, the government has greatly reduced public ownership. Agriculture is intensive, highly mechanized, and efficient by European standards, producing about 60% of food needs with less than 2% of the labor force. The UK has large coal, natural gas, and oil resources, but its oil and natural gas reserves are declining and the UK became a net importer of energy in 2005. Services, particularly banking, insurance, and business services, are key drivers of British GDP growth. Manufacturing, meanwhile, has declined in importance but still accounts for about 10% of economic output. After emerging from recession in 1992, Britain's economy enjoyed the longest period of expansion on record during which time growth outpaced most of Western Europe. In 2008, however, the global financial crisis hit the economy particularly hard, due to the importance of its financial sector. Falling home prices, high consumer debt, and the global economic slowdown compounded Britain's economic problems, pushing the economy into recession in the latter half of 2008 and prompting the then BROWN (Labour) government to implement a number of measures to stimulate the economy and stabilize the financial markets; these included nationalizing parts of the banking system, temporarily cutting taxes, suspending public sector borrowing rules, and moving forward public spending on capital projects. Facing burgeoning public deficits and debt levels, in 2010 the CAMERON-led coalition government (between Conservatives and Liberal Democrats) initiated a five-year austerity program, which aimed to lower London's budget deficit from about 11% of GDP in 2010 to nearly 1% by 2015. In November 2011, Chancellor of the Exchequer George OSBORNE announced additional austerity measures through 2017 largely due to the euro-zone debt crisis. The CAMERON government raised the value added tax from 17.5% to 20% in 2011. It has pledged to reduce the corporation tax rate to 21% by 2014. The Bank of England (BoE) implemented an asset purchase program of £375 billion (approximately $605 billion) as of December 2013. During times of economic crisis, the BoE coordinates interest rate moves with the European Central Bank, but Britain remains outside the European Economic and Monetary Union (EMU). In 2012, weak consumer spending and subdued business investment weighed on the economy, however, in 2013 GDP grew 1.4%, accelerating unexpectedly in the second half of the year because of greater consumer spending and a recovering housing market. The budget deficit is falling but remains high at nearly 7% and public debt has continued to increase

Source : CIA

 

 

 


Company Name and address

 

EUROPEAN METAL RECYCLING LIMITED

 

Registered Address:

SIRIUS HOUSE

DELTA CRESCENT WESTBROOK

WARRINGTON

WA5 7NS

Company Name:

EUROPEAN METAL RECYCLING LIMITED

Limited Company

Company Number:        02954623

 

 

Company Summary

 

Registered Address

SIRIUS HOUSE

DELTA CRESCENT WESTBROOK

WARRINGTON

WA5 7NS

Trading Address

Sirius House

Delta Crescent

Westbrook

Warrington, Cheshire

WA5 7NS

Website Address

http://www.emrgroup.com

Telephone Number        01925715400

Fax Number                  01617453710

TPS                              Yes

FPS                              Yes

Incorporation Date         02/08/1994

Previous Name              NOBLEDRIFT LIMITED

Type                             Private limited with Share Capital

FTSE Index                   -

Date of Change             21/12/1994

Filing Date of Accounts 27/09/2013

Currency                       GBP

Share Capital                £100,426

SIC07                           38320

SIC07 Description         RECOVERY OF SORTED MATERIALS

Principal Activity           A group engaged and its subsidiary is in the recycling of ferrous and non-ferrous metals.

 

 

 

Commentary

 

Multiple CCJ's recorded against the company.

There has been no significant change in the company's credit rating.

The credit limit on this company has risen 19.5% in comparison to the previously suggested credit limit.

Sales in the latest trading period increased 5% on the previous trading period.

Net Worth increased by 11% during the latest trading period.

A 5.2% decline in Total Assets occurred during the latest trading period.

Pre-tax profits decreased by 50.7% compared to the previous trading period.

The company saw a decrease in their Cash Balance of 37.5% during the latest trading period.

The audit report contains no adverse comments.

No recent changes in directorship are recorded.

The company is part of a group.

The company was established over 19 years ago.

CCJ

Total Number of Exact CCJs -

0

Total Value of Exact CCJs -

Total Number of Possible CCJs -

0

Total Value of Possible CCJs -

Total Number of Satisfied CCJs -

2

Total Value of Satisfied CCJs -

£1,373

Total Number of Writs -

-

 

Company DBT

DBT 10

Industry DBT 41

Payment Trend

Stable

Within terms

Within terms 91+ Days

Within terms

Within Terms0-30 Days31-60 Days61-90 Days91+ DaysPaidOutstanding0k1k

The subject is an approved signatory of the Institute of Credit Management Prompt Payment Code, see  www.promptpaymentcode.org.uk  for details.

 


Current Directors

 


Total Current Directors

4

Total Current Secretaries

1

Total Previous Directors / Company Secretaries

16

Current Directors

Name

Robin Sheppard

Date of Birth

04/08/1954

Officers Title

Mr

Nationality

British

Present Appointments

9

Function

Director

Appointment Date

26/09/1994

Address

Sirius House Delta Crescent, Westbrook, Warrington, Cheshire, WA5 7NS

Other Actions

 

 

 

Name

Colin David Iles

Date of Birth

04/09/1944

Officers Title

Mr

Nationality

British

Present Appointments

27

Function

Director

Appointment Date

29/11/1994

Address

Sirius House Delta Crescent, Westbrook, Warrington, Cheshire, WA5 7NS

Other Actions

 

 

 

Name

Christopher Phillip Sheppard

Date of Birth

07/07/1974

Officers Title

Mr

Nationality

British

Present Appointments

53

Function

Director

Appointment Date

20/11/2007

Address

Sirius House Delta Crescent, Westbrook, Warrington, Cheshire, WA5 7NS

Other Actions

 

Name

Edward Scott Pysden

Date of Birth

06/05/1948

Officers Title

Mr

Nationality

British

Present Appointments

6

Function

Director

Appointment Date

27/10/2010

Address

Sirius House, Delta Crescent Westbrook, Warrington, Cheshire, WA5 7NS

Other Actions

 

Current Company Secretary

Name

Christopher John Tinsley

Date of Birth

-

Officers Title

Mr

Nationality

Present Appointments

1

Function

Company Secretary

Appointment Date

20/05/2010

Address

Sirius House, Delta Crescent Westbrook, Warrington, Cheshire, WA5 7NS

 

Top 20 Shareholders

Name

Currency

Share Count

Share Type

Nominal Value

ROBIN SHEPPARD

GBP

1,298,800

ORDINARY A

0.01

TRUSTEES OF PHILLIP SHEPPARD SETTLED LEGACY TRUST

GBP

1,298,800

ORDINARY A

0.01

TREVOR SHEPPARD

GBP

1,298,800

ORDINARY A

0.01

CLIVE SHEPPARD

GBP

1,298,800

ORDINARY A

0.01

TRUSTEES OF PHILLIP SHEPPARD CHILDREN'S SETTLEMENT TRUST

GBP

1,000,000

ORDINARY A

0.01

TRUSTEES OF ROBIN SHEPPARD CHILDREN'S SETTLEMENT TRUST

GBP

1,000,000

ORDINARY A

0.01

TRUSTEES OF TREVOR SHEPPARD CHILDREN'S SETTLEMENT TRUST

GBP

1,000,000

ORDINARY A

0.01

TRUSTEES OF CLIVE SHEPPARD CHILDREN'S SETTLEMENT TRUST

GBP

1,000,000

ORDINARY A

0.01

ROBERT SHEPPARD

GBP

402,400

ORDINARY A

0.01

TRUSTEES OF CHILDREN OF T.J. (TREVOR) SHEPPARD TRUST

GBP

201,200

ORDINARY A

0.01

TRUSTEES OF CHILDREN OF P.R. (PHILLIP) SHEPPARD TRUST

GBP

201,200

ORDINARY A

0.01

TRUSTEES OF PHILLIP SHEPPARD SETTLED LEGACY TRUST

GBP

12,855

ORDINARY B

0.01

ROBERT SHEPPARD

GBP

10,800

ORDINARY B

0.01

CLIVE SHEPPARD

GBP

9,000

ORDINARY B

0.01

TREVOR SHEPPARD

GBP

8,445

ORDINARY B

0.01

ROBIN SHEPPARD

GBP

1,500

ORDINARY B

0.01

Unable to report percentage holdings as filed Shareholder listing is not full.

 

 


Financials

 

Profit & Loss

Date Of Accounts

31/12/12

(%)

31/12/11

(%)

31/12/10

(%)

31/12/09

(%)

31/12/08

Weeks

52

(%)

52

(%)

52

(%)

52

(%)

52

Currency

GBP

(%)

GBP

(%)

GBP

(%)

GBP

(%)

GBP

Consolidated A/cs

Y

(%)

Y

(%)

Y

(%)

Y

(%)

Y

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Turnover

£3,184,246,000

5%

£3,032,254,000

24.7%

£2,431,157,000

31.9%

£1,843,056,000

-40.5%

£3,099,096,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Export

-

-

-

-

-

-

-

-

-

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Cost of Sales

£2,810,906,000

7.9%

£2,605,411,000

31.1%

£1,987,714,000

32.8%

£1,496,362,000

-45.4%

£2,740,180,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Gross Profit

£373,340,000

-12.5%

£426,843,000

-3.7%

£443,443,000

27.9%

£346,694,000

-3.4%

£358,916,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Wages & Salaries

£101,929,000

2.6%

£99,339,000

4.2%

£95,297,000

4.6%

£91,069,000

-27.8%

£126,113,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Directors Emoluments

£5,063,000

36.4%

£3,713,000

-37.7%

£5,956,000

-52.7%

£12,590,000

-35.6%

£19,539,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Operating Profit

£80,991,000

-38.7%

£132,125,000

-11.2%

£148,782,000

57.5%

£94,487,000

33.5%

£70,801,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Depreciation

£37,751,000

7.2%

£35,217,000

5%

£33,548,000

-15%

£39,476,000

7.8%

£36,629,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Audit Fees

£134,000

3.1%

£130,000

-7.1%

£140,000

-

£140,000

7.7%

£130,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Interest Payments

£13,685,000

-3.7%

£14,209,000

31.7%

£10,793,000

40.8%

£7,664,000

-51.2%

£15,696,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Pre Tax Profit

£57,146,000

-50.7%

£115,958,000

-25.2%

£155,101,000

70.3%

£91,095,000

43.6%

£63,444,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Taxation

-£21,091,000

37.8%

-£33,907,000

36.8%

-£53,687,000

-64%

-£32,745,000

6.2%

-£34,902,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Profit After Tax

£36,055,000

-56.1%

£82,051,000

-19.1%

£101,414,000

73.8%

£58,350,000

104.4%

£28,542,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Dividends Payable

£2,048,000

-

-

-

-

-

-

-

-

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Retained Profit

£29,527,000

-63.8%

£81,656,000

-19.5%

£101,414,000

73.8%

£58,350,000

104.4%

£28,542,000

Balance Sheet

Date Of Accounts

31/12/12

(%)

31/12/11

(%)

31/12/10

(%)

31/12/09

(%)

31/12/08

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Tangible Assets

£362,622,000

1.5%

£357,112,000

10.1%

£324,432,000

2.3%

£317,268,000

20.4%

£263,422,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Intangible Assets

£137,764,000

-14.6%

£161,303,000

2%

£158,209,000

-2.8%

£162,731,000

-26.4%

£220,960,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Total Fixed Assets

£500,386,000

-3.5%

£518,415,000

7.4%

£482,641,000

0.6%

£479,999,000

-0.9%

£484,382,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Stock

£395,079,000

-16.8%

£474,907,000

56.2%

£304,020,000

21.5%

£250,125,000

-16.3%

£298,778,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Trade Debtors

£293,621,000

2.9%

£285,379,000

16.2%

£245,604,000

10.7%

£221,869,000

121.7%

£100,073,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Cash

£22,482,000

-37.5%

£35,969,000

-30%

£51,409,000

327.7%

£12,021,000

-60.5%

£30,467,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Other Debtors

£253,036,000

9.6%

£230,919,000

98.6%

£116,298,000

58.6%

£73,329,000

51.6%

£48,367,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Miscellaneous Current Assets

0

-

0

-100%

£32,000

-78.9%

£152,000

-

£152,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Total Current Assets

£964,218,000

-6.1%

£1,027,174,000

43.2%

£717,363,000

28.7%

£557,496,000

16.7%

£477,837,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Trade Creditors

£238,050,000

4%

£228,969,000

3.8%

£220,595,000

31.6%

£167,581,000

31.3%

£127,636,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Bank Loans & Overdrafts

£157,609,000

-39.5%

£260,310,000

999.9%

£7,987,000

-78.2%

£36,562,000

13.7%

£32,154,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Other Short Term Finance

£36,873,000

17.4%

£31,405,000

44.9%

£21,672,000

-68.7%

£69,144,000

-5.4%

£73,059,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Miscellaneous Current Liabilities

£109,096,000

18.3%

£92,191,000

-3.9%

£95,965,000

-17.9%

£116,839,000

2.1%

£114,446,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Total Current Liabilities

£541,628,000

-11.6%

£612,875,000

77%

£346,219,000

-11.3%

£390,126,000

12.3%

£347,295,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Bank Loans & Overdrafts and LTL

£375,467,000

-27.9%

£520,660,000

94.7%

£267,431,000

45.1%

£184,269,000

-2.6%

£189,124,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Other Long Term Finance

£154,868,000

-15.1%

£182,411,000

-8.4%

£199,202,000

107.3%

£96,075,000

-13.3%

£110,851,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Total Long Term Liabilities

£217,858,000

-16.3%

£260,350,000

0.3%

£259,444,000

75.6%

£147,707,000

-5.9%

£156,970,000

.

Capital & Reserves

Date Of Accounts

31/12/12

(%)

31/12/11

(%)

31/12/10

(%)

31/12/09

(%)

31/12/08

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Called Up Share Capital

£101,000

-

£101,000

-

£101,000

-

£101,000

-1.9%

£103,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

P & L Account Reserve

£692,863,000

5%

£660,109,000

13.4%

£582,086,000

19.4%

£487,407,000

9.4%

£445,699,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Revaluation Reserve

£4,128,000

-

£4,128,000

-

£4,128,000

-

£4,128,000

-

£4,128,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Sundry Reserves

£8,026,000

-

£8,026,000

-

£8,026,000

-

£8,026,000

0%

£8,024,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Shareholder Funds

£705,118,000

4.9%

£672,364,000

13.1%

£594,341,000

18.9%

£499,662,000

9.1%

£457,954,000

Other Financial Items

Date Of Accounts

31/12/12

(%)

31/12/11

(%)

31/12/10

(%)

31/12/09

(%)

31/12/08

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Net Worth

£567,354,000

11%

£511,061,000

17.2%

£436,132,000

29.4%

£336,931,000

42.2%

£236,994,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Working Capital

£422,590,000

2%

£414,299,000

11.6%

£371,144,000

121.8%

£167,370,000

28.2%

£130,542,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Total Assets

£1,464,604,000

-5.2%

£1,545,589,000

28.8%

£1,200,004,000

15.7%

£1,037,495,000

7.8%

£962,219,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Total Liabilities

£759,486,000

-13%

£873,225,000

44.2%

£605,663,000

12.6%

£537,833,000

6.7%

£504,265,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Net Assets

£705,118,000

4.9%

£672,364,000

13.1%

£594,341,000

18.9%

£499,662,000

9.1%

£457,954,000

Cash Flow

Date Of Accounts

31/12/12

(%)

31/12/11

(%)

31/12/10

(%)

31/12/09

(%)

31/12/08

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Net Cashflow from Operations

£211,794,000

322.8%

-£95,047,000

-172.5%

£131,058,000

27.7%

£102,622,000

-57.5%

£241,521,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Net Cashflow before Financing

£107,430,000

144.1%

-£243,361,000

-999.9%

£20,358,000

171.7%

-£28,383,000

-157.9%

£49,025,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Net Cashflow from Financing

-£19,858,000

8%

-£21,578,000

-146.7%

£46,196,000

999.9%

£3,467,000

108%

-£43,129,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Increase in Cash

£87,572,000

133.1%

-£264,939,000

-498.1%

£66,554,000

367.1%

-£24,916,000

-522.6%

£5,896,000

Miscellaneous

Date Of Accounts

31/12/12

(%)

31/12/11

(%)

31/12/10

(%)

31/12/09

(%)

31/12/08

Contingent Liability

YES

-

YES

-

YES

-

YES

-

YES

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Capital Employed

£922,976,000

-1%

£932,714,000

9.2%

£853,785,000

31.9%

£647,369,000

5.3%

£614,924,000

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Number of Employees

2379

-2.8%

2448

10%

2226

4.2%

2136

-18.1%

2608

Auditors

KPMG LLP

Auditor Comments

The audit report contains no adverse comments

Bankers

HSBC BANK PLC

Bank Branch Code

Ratios

Date Of Accounts

31/12/12

31/12/11

31/12/10

31/12/09

31/12/08

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Pre-tax profit margin %

1.79

3.82

6.38

4.94

2.05

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Current ratio

1.78

1.68

2.07

1.43

1.38

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Sales/Net Working Capital

7.54

7.32

6.55

11.01

23.74

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Gearing %

53.20

77.40

45

36.90

41.30

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Equity in %

53.10

48.60

57

57.10

61.80

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Creditor Days

27.21

27.48

33.02

33.09

14.99

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Debtor Days

33.56

34.25

36.77

43.81

11.75

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Liquidity/Acid Test

1.05

0.90

1.19

0.78

0.51

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Return On Capital Employed %

6.19

12.43

18.16

14.07

10.31

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Return On Total Assets Employed %

3.90

7.50

12.92

8.78

6.59

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Current Debt Ratio

0.76

0.91

0.58

0.78

0.75

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Total Debt Ratio

1.07

1.29

1.01

1.07

1.10

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Stock Turnover Ratio %

12.40

15.66

12.50

13.57

9.64

Description: http://static.creditsafe.com/IMAGES/barchart-grey.png

Return on Net Assets Employed %

8.10

17.24

26.09

18.23

13.85

 

 

Status History

No Status History found

 

Event History

Date

Description

25/03/2014

Annual Returns

09/10/2013

New Accounts Filed

22/03/2013

Annual Returns

08/10/2012

New Accounts Filed

03/04/2012

Annual Returns

05/10/2011

New Accounts Filed

05/10/2011

New Accounts Filed

02/09/2011

Mr P.R. Sheppard has left the board

02/04/2011

Annual Returns

01/12/2010

New Board Member Mr E.S. Pysden appointed

04/10/2010

New Accounts Filed

04/10/2010

New Accounts Filed

18/08/2010

New Board Member Mr C.P. Sheppard appointed

24/05/2010

Mr M.B. Hughes has resigned as company secretary

24/05/2010

New Company Secretary Mr C.J. Tinsley appointed

 

Previous Company Names

Date

Previous Name

Companies House Documents

21/12/1994

NOBLEDRIFT LIMITED

--

 

Statistics

Group

40 companies

Linkages

12 companies

Countries

In 3 countries

Summary

Holding Company

EUROPEAN METAL RECYCLING LIMITED

Ownership Status

Ultimately Owned

Ultimate Holding Company

EUROPEAN METAL RECYCLING LIMITED

Group structure

Company Name

Registered Number

Latest Key Financials

Consol. Accounts

Rating

Limit

Turnover

EUROPEAN METAL RECYCLING...

 

02954623

31.12.2012

Y

92

£15,000,000

£3,184,246,000

MOUNTSTAR METAL CORPOR...

 

00941219

31.12.2012

N

N/R

-

MOSSDALE METALS (DURHA...

 

02329774

31.12.2012

N

N/R

-

INTERNATIONAL METAL RE...

 

07033301

31.12.2012

N

N/R

-

EUROPEAN METAL RECYCLI...

 

05689978

31.12.2012

N

96

£405,000

EUROPEAN METAL RECYCLI...

 

05721603

31.12.2012

N

94

£450,000

EUROPEAN METAL RECYCLI...

 

05721604

31.12.2012

N

94

£100,000

COOPER BARNES METALS...

 

00238931

31.12.2012

N

N/R

-

MAYER PARRY (EAST AN...

 

00364122

31.12.2012

N

N/R

-

SMITH AND COMPANY (H...

 

00496831

31.12.2012

N

N/R

-

J.T. BROADHURST & SO...

 

00507041

31.12.2012

N

N/R

-

C D JORDAN & SON (TR...

 

00533750

31.12.2012

N

N/R

-

MEON VALLEY METALS L...

 

00592563

31.12.2012

N

N/R

-

CLEVELAND METALS LIM...

 

00630903

31.12.2012

N

N/R

-

T.HOLLOWAY & SONS(ME...

 

00789117

31.12.2012

N

N/R

-

SCRAP PROCESSING (PO...

 

00977974

31.12.2012

N

N/R

-

EMR MIDLAND SHREDDER...

 

01018817

31.12.2012

N

N/R

-

C.D. JORDAN & SON LI...

 

01041311

31.12.2012

N

N/R

-

T LETHBRIDGE LIMITED

 

01086344

31.12.2012

N

N/R

-

MAYER PARRY RECYCLIN...

 

01115211

31.12.2012

N

N/R

-

SHEPPARD GROUP LIMITED

 

01396282

31.12.2012

N

N/R

-

SMITH AND COMPANY (B...

 

01410724

31.12.2012

N

N/R

-

SHEPPARDS WASTE RECO...

 

01490038

31.12.2012

N

N/R

-

JORDANS (NEWHAVEN) L...

 

01607188

31.12.2012

N

N/R

-

COOPERS HOLDINGS LIM...

 

01647343

31.12.2012

N

N/R

-

EMR SHIPPING LIMITED

 

01883741

31.12.2012

N

N/R

-

JACKSON DUNN LIMITED

 

01912355

31.12.2012

N

N/R

-

ROBINSON SHIPPING SE...

 

02386884

31.12.2012

N

N/R

-

MAYER PARRY RECYCLIN...

 

02506721

31.12.2012

N

N/R

-

ISLAND RECYCLING LIM...

 

03084827

31.12.2012

N

N/R

-

EMR EXPORTS LIMITED

 

03478486

31.12.2012

N

N/R

-

EVER 1052 LIMITED

 

03650781

31.12.2012

N

N/R

-

PREMIER GRANULES UK...

 

06243338

31.12.2012

N

N/R

-

E.BARNES & CO.,LIMITED

 

00771444

31.12.2012

N

N/R

-

COOPERS METALS (HOLD...

 

00518811

31.12.2012

N

N/R

-

HENDERSON KERR (SCRA...

 

SC093531

31.12.2012

N

N/R

-

ROBINSON GROUP LTD

 

00707119

31.12.2012

N

N/R

-

JOHN YOUNG (SUNDER...

 

00420759

31.12.2005

N

N/R

-

HENDERSON KERR LIMITED

 

SC029189

31.12.2012

N

N/R

-

MAYER ENVIRONMENTAL LTD.

 

03398932

31.12.2012

N

97

£290,000

£508,000

 

Statistics

Group

40 companies

Linkages

12 companies

Countries

In 3 countries

Other Linked companies

Name

Number

Latest Key Financials

Turnover

EMR DEUTSCHLAND BETEILIGUNGSGESELLSCHAFT MBH

 

HRB 97875

31.12.2012

WERNER HOPP VERMÖGENSBETEILIGUNGS-GMBH

 

HRB 97875

31.12.2007

EMR EUROPEAN METAL RECYCLING GMBH

 

HRB 35223

31.12.2011

€77,294,038

EUROPEAN METAL RECYCLING B.V.

 

20070123

31.12.2012

€301,381,977

SMS GRUNDSTÜCKSVERWALTUNGS-GMBH

 

HRB 1658 IZ

31.12.2011

GRUNDSTÜCKSGESELLSCHAFT BORSIGSTRAßE 1 GMBH

 

HRB 72716

31.12.2011

EMR HOLDINGS B.V.

 

24320247

31.12.2012

INTERNATIONAL METAL & STEEL B.V.

 

24435887

31.12.2012

EMR EUROPEAN METAL RECYCLING GMBH

 

HRB 45403

-

SOUTHERN SCRAP RECYCLING MORGAN CITY, LLC

 

-

$788,000

SOUTHERN RECYCLING LLC

 

-

$110,000,000

SOUTHERN SCRAP MATERIAL CO LLC

 

-

 

Exact CCJ Details

Date

Court

Amount

Status

Case Number

Date Paid

14/07/2011

BURNLEY

£613

Satisfied

1RA00381

21/09/2011

08/12/2008

NORTHAMPTON CCBC

£760

Satisfied

8XH83773

19/03/2009

Possible CCJs Details

There are no possible CCJ details

Writ Details

No writs found

 

 

Mortgage Details

 

Mortgage Type:

STANDARD SECURITY EXECUTED ON 3 JULY 2012

Date Charge Created:

08/08/12

Date Charge Registered:

24/08/12

Date Charge Satisfied:

-

Status:

OUTSTANDING

Person(s) Entitled:

HSBC CORPORATE TRUSTEE COMPANY (UK) LIMITED (AS SECURITY TRUSTEE FOR THE SECURED PARTIES) (THE

Amount Secured:

ALL MONIES DUE OR TO BECOME DUE FROM EACH PRESENT OR FUTURE MEMBER OF THE GROUPTO THE SECURITY AGENTAND/OR THE OTHER SECURED PARTIES (OR ANY OF THEM) ON ANY ACCOUNT WHATSOEVER UNDER THE TERMS OF THEAFOREMENTIONED INSTRUMENT CREATING OR EVIDENCING THE CHARGE

Details:

ALL AND WHOLE THE PROPERTY BEING AREA OF GROUND ON THE EAST SIDE OF KIRKLEE MOSSEND BELLSHILL T/N LAN203454

Mortgage Type:

SUPPLEMENTAL DEBENTURE

Date Charge Created:

18/06/12

Date Charge Registered:

26/06/12

Date Charge Satisfied:

-

Status:

OUTSTANDING

Person(s) Entitled:

HSBC CORPORATE TRUSTEE COMPANY (UK) LIMITED

Amount Secured:

ALL MONIES DUE OR TO BECOME DUE FROM THE COMPANY TO THE SECURITY AGENT AND/OR THE OTHER SECURED PARTIES OR ANY OF THEM ON ANY ACCOUNT WHATSOEVER UNDER THE TERMS OF THE AFOREMENTIONED INSTRUMENT CREATING OR EVIDENCING THE CHARGE

Details:

F/H LAND LYING TO THE SOUTH OF STATION ROAD, BIGGLESWADE T/NO BD213861. F/H LAND BEING HOBSON INDUSTRIAL ESTATE, BURNOPFIELD T/NO DU184392. F/H LAND BEING LANDAND BUILDINGS LYING TO THE SOUTH OF STATION ROAD, BIGGLESWADE T/NO\S BD228640, BD182158. FOR FURTHER DETAILS OF PROPERTY CHARGED PLEASE REFERTO FORM MG01

 

Mortgage Type:

DEBENTURE

Date Charge Created:

05/11/10

Date Charge Registered:

10/11/10

Date Charge Satisfied:

-

Status:

OUTSTANDING

Person(s) Entitled:

HSBC CORPORATE TRUSTEE COMPANY (UK) LIMITED (THE "SECURITY AGENT")

Amount Secured:

ALL MONIES DUE OR TO BECOME DUE FROM EACH MEMBER OF THE GROUP TO THE CHARGEE AND/OR THE OTHER SECURED PARTIES (OR ANY OF THEM) ON ANY ACCOUNT WHATSOEVER UNDER THE TERMS OF THE AFOREMENTIONED INSTRUMENT CREATING OR EVIDENCING THE CHARGE

Details:

L/H LAND AT UNIT 1 DUNDAS CLOSE PORTSMOUTH T/NO PM14710,L/H LAND LYING TO THE NORTH OF LANDOR STREETNECHELLS T/NO WM569752,F/H LAND LYING TO THE WEST SIDE OF CAULDWELL WALK BEDFORD T/NO BD 119137(FORFURTHER DETAILS OF SECURITY ASSETS PLEASE REFER TO FORM MG01) FIXED AND FLOATING CHARGE OVER THE UNDERTAKING AND ALL PROPERTY AND ASSETS PRESENT AND FUTURE, INCLUDING GOODWILL, BOOK DEBTS, UNCALLED CAPITAL, BUILDINGS, FIXTURES, FIXED PLANT & MACHINERY SEE IMAGE FOR FULL DETAILS

Mortgage Type:

SUPPLEMENTAL LEGAL CHARGE

Date Charge Created:

11/03/10

Date Charge Registered:

13/03/10

Date Charge Satisfied:

10/11/10

Status:

SATISFIED

Person(s) Entitled:

HSBC BANK PLC (THE SECURITY AGENT)

Amount Secured:

Details:

L/H LAND AT UNIT 1 DUNDAS CLOSE PORTSMOUTH T/N PM14710 AND ALL BUILDINGS AND FIXTURES AND FIXED PLANT AND MACHINERY ANDALL EASEMENTS RIGHTS AND AGREEMENTS SEEIMAGE FOR FULL DETAILS

 

Mortgage Type:

SUPPLEMENTAL LEGAL CHARGE

Date Charge Created:

09/03/10

Date Charge Registered:

12/03/10

Date Charge Satisfied:

10/11/10

Status:

SATISFIED

Person(s) Entitled:

HSBC BANK PLC (THE SECURITY AGENT)

Amount Secured:

Details:

F/H LAND AT UNIT 7 TRANSPORT AVENUE BRENTFORD T/N NGL524776 AND ALL BUILDINGS AND FIXTURES AND FIXEDPLANT AND MACHINERY AND ALL EASEMENTS RIGHTS AND AGREEMENTS SEE IMAGE FOR FULL DETAILS

Mortgage Type:

SUPPLEMENTAL LEGAL CHARGE

Date Charge Created:

08/05/09

Date Charge Registered:

20/05/09

Date Charge Satisfied:

10/11/10

Status:

SATISFIED

Person(s) Entitled:

HSBC BANK PLC (SECURITY AGENT)

Amount Secured:

Details:

ALL THE RIGHT TITLE AND INTEREST IN ANDTO THE PROPERTY BEING THE L/H LAND LYING TO THE NORTH OF LANDOR STREET, NECHELLS, WEST MIDLANDS, BIRMINGHAM T/NO WM569752 ALL BUILDINGS AND FIXTURES AND FIXED PLANT AND MACHINERY, ALL EASEMENTS, RIGHTS AND AGREEMENTS, THE BENEFIT OF ALL COVENANTS, SEE IMAGE FORFULL DETAILS

 

Mortgage Type:

GROUP DEBENTURE

Date Charge Created:

14/01/09

Date Charge Registered:

20/01/09

Date Charge Satisfied:

10/11/10

Status:

SATISFIED

Person(s) Entitled:

HSBC BANK PLC ("SECURITY AGENT")

Amount Secured:

Details:

FIXED AND FLOATING CHARGE OVER THE UNDERTAKING AND ALL PROPERTY AND ASSETS PRESENT AND FUTURE, INCLUDING GOODWILL, BOOKDEBTS, UNCALLED CAPITAL, BUILDINGS, FIXTURES, FIXED PLANT & MACHINERY SEE IMAGEFOR FULL DETAILS

Mortgage Type:

FIXED AND FLOATING SECURITY DOCUMENT

Date Charge Created:

02/04/07

Date Charge Registered:

17/04/07

Date Charge Satisfied:

07/03/09

Status:

SATISFIED

Person(s) Entitled:

HSBC BANK PLC AS SECURITY TRUSTEE FOR THE BENEFIT OF THE FINANCE PARTIES

Amount Secured:

ALL MONIES DUE OR TO BECOME DUE FROM THE COMPANY TO ANY FINANCE PARTY ON ANY ACCOUNT WHATSOEVER UNDER THE TERMS OF THE AFOREMENTIONED INSTRUMENT CREATING OR EVIDENCING THE CHARGE

Details:

FIXED AND FLOATING CHARGES OVER THE UNDERTAKING AND ALL PROPERTY AND ASSETS PRESENT AND FUTURE INCLUDING GOODWILL BOOKDEBTS UNCALLED CAPITAL BUILDINGS FIXTURESFIXED PLANT AND MACHINERY SEE THE MORTGAGE CHARGE DOCUMENT FOR FULL DETAILS

 

Mortgage Type:

FIXED AND FLOATING SECURITY DOCUMENT

Date Charge Created:

03/03/06

Date Charge Registered:

09/03/06

Date Charge Satisfied:

07/03/09

Status:

SATISFIED

Person(s) Entitled:

HSBC BANK PLC AS SECURITY TRUSTEE FOR THE BENEFIT OF THE FINANCE PARTIES

Amount Secured:

ALL MONIES DUE OR TO BECOME DUE FROM THE COMPANY TO ANY FINANCE PARTY ON ANY ACCOUNT WHATSOEVER UNDER THE TERMS OF THE AFOREMENTIONED INSTRUMENT CREATING OR EVIDENCING THE CHARGE

Details:

FIXED AND FLOATING CHARGES OVER THE UNDERTAKING AND ALL PROPERTY AND ASSETS PRESENT AND FUTURE INCLUDING GOODWILL BOOKDEBTS UNCALLED CAPITAL BUILDINGS FIXTURESFIXED PLANT AND MACHINERY SEE THE MORTGAGE CHARGE DOCUMENT FOR FULL DETAILS

Mortgage Type:

FIXED AND FLOATING SECURITY DOCUMENT

Date Charge Created:

04/05/05

Date Charge Registered:

09/05/05

Date Charge Satisfied:

07/03/09

Status:

SATISFIED

Person(s) Entitled:

HSBC BANK PLC AS SECURITY TRUSTEE FOR THE BENEFIT OF THE FINANCE PARTIES

Amount Secured:

ALL MONIES DUE OR TO BECOME DUE FROM THE COMPANY TO ANY FINANCE PARTY ON ANY ACCOUNT WHATSOEVER UNDER THE TERMS OF THE AFOREMENTIONED INSTRUMENT CREATING OR EVIDENCING THE CHARGE

Details:

BRIGHTON ROAD SHOREHAM BY SEA T/NO WSX204686 AND WSX204687,THAMES WHARF BOW CREEK NEWHAM T/NO EGL107110,LAND ON THE NORTH EAST OF EAST COAST ROAD ATTERCLIFFE SHEFFIELD T/NO SYK233868 AND SYK241073 (FOR DETAILS OF FURTHER PROPERTIES CHARGEDPLEASE REFER TO FORM 395) SEE THE MORTGAGE CHARGE DOCUMENT FOR FULL DETAILS

 

Mortgage Type:

FIXED AND FLOATING SECURITY DOCUMENT

Date Charge Created:

03/05/00

Date Charge Registered:

16/05/00

Date Charge Satisfied:

12/05/05

Status:

SATISFIED

Person(s) Entitled:

HSBC INVESTMENT BANK PLC (THE "SECURITY TRUSTEE")

Amount Secured:

ALL PRESENT AND FUTURE MONEYS DEBTS ANDLIABILITIES DUE OWING OR INCURRED BY ANY CHARGOR (INCLUDING THE COMPANY) TO ANYFINANCE PARTY UNDER OR IN CONNECTION WITH ANY FINANCE DOCUMENT (IN EACH CASE WHETHER ALONE OR JOINTLY OR JOINTLY AND SEVERALLY WITH ANY OTHER PERSON WHETHER ACTUALLY OR CONTINGENTLYAND WHETHER AS PRINCIPAL SURETY OR OTHERWISE)(ALL TERMS AS DEFINED)

Details:

LEGAL MORTGAGE ALL REAL PROPERTY IN ENGLAND AND WALES (INCLUDING THAT DESCRIBEDIN SCHEDULE 1 TO THE395) BELONGING TO IT AT THE DATE OF THE DEBENTURE; FIXED EQUITABLE CHARGE ALL OTHER REAL PROPERTY BELONGING TO IT AT THE DATE OF THE DEBENTURE AND ALL REAL PROPERTY ACQUIRED BY IT THEREAFTER; AND FIXED CHARGE,ALL ITS PRESENT AND FUTURE: (I) BOOK DEBTS;(II) BANK ACCOUNTS;(III) INVESTMENTS; (V) INSURANCES; (V) UNCALLED CAPITAL AND GOODWILL; (VI) INTELLECTUAL PROPERTY; (VII) PLANT AND MACHINERY. SEETHE MORTGAGE CHARGE DOCUMENT FOR FULL DETAILS

Mortgage Type:

FIXED CHARGE

Date Charge Created:

03/02/00

Date Charge Registered:

04/02/00

Date Charge Satisfied:

12/05/05

Status:

SATISFIED

Person(s) Entitled:

LLOYDS UDT LIMITED

Amount Secured:

THE PRINCIPAL SUM OF £514,305.56 TOGETHER WITH INTEREST AND CHARGES THEREON DUEOR TO BECOME DUE FROMTHE COMPANY TO THE CHARGEE

Details:

A FIRST FIXED CHARGE OVER 1 X LIEBHERR R984C-EW S/N 624/2026

 

Mortgage Type:

FIXED CHARGE

Date Charge Created:

25/11/99

Date Charge Registered:

26/11/99

Date Charge Satisfied:

12/05/05

Status:

SATISFIED

Person(s) Entitled:

LLOYDS UDT LIMITED

Amount Secured:

THE PRINCIPAL SUM OF £415,512.19 DUE ORTO BECOME DUE FROM THE COMPANY TO THE CHARGEE

Details:

A FIRST FIXED CHARGER OVER 1 X HYUNDAI R2002-2 INDUSTRIAL WHEELED LOADING MACHINE C/W ARDEN AE4100R GRAB SERIAL NUMBER E0377 1 X FUCHS 350A SERIAL NUMBER 0299 SEE THE MORTGAGE CHARGE DOCUMENT FOR FULL DETAILS

Mortgage Type:

EQUITABLE CHARGE

Date Charge Created:

09/11/98

Date Charge Registered:

18/11/98

Date Charge Satisfied:

02/06/00

Status:

SATISFIED

Person(s) Entitled:

BARCLAYS BANK PLC

Amount Secured:

ALL MONIES DUE OR TO BECOME DUE FROM THE COMPANY TO THE CHARGEE ON ANY ACCOUNT WHATSOEVER

Details:

ALL THAT THE COMPANY\S SHARE OF THE NETPROCEEDS OF SALE AND OF THE NET RENTS PROFITS TILL SALE OF THE UNDERMENTIONED PROPERTY: 123 GYPSY LANE SWINDON WITLSHIRE T/N WT91703 AND ALL OTHER THE INTERESTOFTHE COMPANY UNDER THE TRUST AFFECTING THE SAID PROPERTY SEE THE MORTGAGE CHARGE DOCUMENT FOR FULL DETAILS

 

Mortgage Type:

LEGAL CHARGE

Date Charge Created:

09/03/96

Date Charge Registered:

20/03/96

Date Charge Satisfied:

02/06/00

Status:

SATISFIED

Person(s) Entitled:

BARCLAYS BANK PLC

Amount Secured:

ALL MONIES DUE OR TO BECOME DUE FROM THE COMPANY TO THE CHARGEE ON ANY ACCOUNT WHATSOEVER

Details:

LAND AND PREMISES AT CARPENTERS ROAD, STRATFORD, L/B OF NEWHAM

Mortgage Type:

LEGAL CHARGE

Date Charge Created:

09/03/96

Date Charge Registered:

20/03/96

Date Charge Satisfied:

02/06/00

Status:

SATISFIED

Person(s) Entitled:

BARCLAYS BANK PLC

Amount Secured:

ALL MONIES DUE OR TO BECOME DUE FROM THE COMPANY TO THE CHARGEE ON ANY ACCOUNT WHATSOEVER

Details:

LAND AND PREMISES AT CARPENTERS ROAD, STRATFORD, L/B OF NEWHAM

 

Mortgage Type:

LEGAL CHARGE

Date Charge Created:

09/03/96

Date Charge Registered:

20/03/96

Date Charge Satisfied:

02/06/00

Status:

SATISFIED

Person(s) Entitled:

BARCLAYS BANK PLC

Amount Secured:

ALL MONIES DUE OR TO BECOME DUE FROM THE COMPANY TO THE CHARGEE ON ANY ACCOUNT WHATSOEVER

Details:

LAND AND PREMISES AT CARPENTERS ROAD, STRATFORD, L/B OF NEWHAM

Mortgage Type:

LEGAL CHARGE

Date Charge Created:

09/03/96

Date Charge Registered:

18/03/96

Date Charge Satisfied:

02/06/00

Status:

SATISFIED

Person(s) Entitled:

BARCLAYS BANK PLC

Amount Secured:

ALL MONIES DUE OR TO BECOME DUE FROM THE COMPANY TO THE CHARGEE ON ANY ACCOUNT WHATSOEVER

Details:

F/H-LAND AND BUILDINGS ON THE EAST SIDEOF UNCOUTH ROAD MILNROW ROCHDALE GREATER MANCHESTER T/N-GM543302. F/H-LAND ON THE NORTH WEST SIDE OF TRINITY ROAD KINGSBURY (NORTH) WARWICKSHIRE T/N-WK308647. F/H-LAND ON THE SOUTH EAST SIDE OF BENTLEY ROAD SOUTH DARLASTON WEST MIDLANDS T/N-WM471486 SEE THE MORTGAGE CHARGE DOCUMENT FOR FULL DETAILS

 

Mortgage Type:

GUARANTEE AND DEBENTURE

Date Charge Created:

29/11/94

Date Charge Registered:

14/12/94

Date Charge Satisfied:

02/06/00

Status:

SATISFIED

Person(s) Entitled:

BARCLAYS BANK PLC

Amount Secured:

ALL MONIES DUE OR TO BECOME DUE FROM THE COMPANY AND/OR ALL OR ANY OF THE OTHERCOMPANIES NAMED THEREIN TO THE CHARGEE ON ANY ACCOUNT WHATSOEVER

Details:

FIXED AND FLOATING CHARGES OVER THE UNDERTAKING AND ALL PROPERTY AND ASSETS PRESENT AND FUTURE INCLUDING GOODWILL BOOKDEBTS UNCALLED CAPITAL BUILDINGS FIXTURESFIXED PLANT AND MACHINERY SEE THE MORTGAGE CHARGE DOCUMENT FOR FULL DETAILS

Mortgage Type:

SECOND FIXED AND FLOATING CHARGE

Date Charge Created:

29/11/94

Date Charge Registered:

08/12/94

Date Charge Satisfied:

28/04/97

Status:

SATISFIED

Person(s) Entitled:

ROBERT COOPER"THE PARTIES"

Amount Secured:

ALL MONIES DUE OR TO BECOME DUE FROM THE COMPANY TO THE CHARGEE PURSUANT TO CLAUSE 3.5.1. OF A SHARESALE AGREEMENT OF EVEN DATE

Details:

FIXED AND FLOATING CHARGES OVER THE UNDERTAKING AND ALL PROPERTY AND ASSETS PRESENT AND FUTURE INCLUDING GOODWILL BOOKDEBTS UNCALLED CAPITAL BUILDINGS FIXTURESFIXED PLANT AND MACHINERY SEE THE MORTGAGE CHARGE DOCUMENT FOR FULL DETAILS


Creditor Details

Total Number

Total Value

Trade Creditors

0

-

No Creditor Data

 

Trade Debtors / Bad Debt Detail

Total Number of Documented Trade

Total Value of Documented Trade

 

Trade Debtors

3

£1,172

 

Company Name

Amount

Statement Date

W E 3 Recycling Limited

£726

10/01/2014

T C G Global Limited

£288

20/09/2012

Bliss Aggregates Com Limited

£158

22/05/2013

 

Previous Director/Company Secretaries

Name

Current Directorships

Previous Directorships

John Brian Roberts

4

15

Phillip Robert Sheppard

33

54

Malcolm Ian Cameron Wallace

2

13

Alan Michael Crowe

2

21

Peter John Callaghan

9

64

Michael John Cummins

0

3

Colin David Iles

27

61

David James Ingall

7

54

Nick Warren

0

20

Peter Thomas Armer

8

68

Charles Raueleigh Cooper Eddolls

10

9

Michael Blake Hughes

24

64

Nicholas Warren

0

42

Michael John Maher

37

68

LONDON LAW SERVICES LIMITED

1697

53451

LONDON LAW SECRETARIAL LIMITED

1799

53393

 

Average Invoice Value

£2737.70

Invoices available

2077

Paid

1670

Outstanding

407

 

Trade Payment Data is information that we collect from selected third party partners who send us information about their whole sales ledger.

 

Within Terms

0-30 Days

31-60 Days

61-90 Days

91+ Days

Paid

928

606

70

46

20

Outstanding

115

99

7

3

183


 

FOREIGN EXCHANGE RATES

 

Currency

Unit

Indian Rupees

US Dollar

1

Rs.58.57

UK Pound

1

Rs.98.87

Euro

1

Rs.80.05

 

INFORMATION DETAILS

 

Analysis Done by :

KAR

 

 

Report Prepared by :

PDT

 

               

RATING EXPLANATIONS

 

RATING

STATUS

PROPOSED CREDIT LINE

 

>86

Aaa

Possesses an extremely sound financial base with the strongest capability for timely payment of interest and principal sums

 

Unlimited

 

71-85

Aa

Possesses adequate working capital. No caution needed for credit transaction. It has above average (strong) capability for payment of interest and principal sums

 

Large

 

56-70

A

Financial & operational base are regarded healthy. General unfavourable factors will not cause fatal effect. Satisfactory capability for payment of interest and principal sums

 

Fairly Large

 

41-55

Ba

Overall operation is considered normal. Capable to meet normal commitments.

 

Satisfactory

 

26-40

B

Capability to overcome financial difficulties seems comparatively below average.

 

Small

 

11-25

Ca

Adverse factors are apparent. Repayment of interest and principal sums in default or expected to be in default upon maturity

 

Limited with full security

 

<10

C

Absolute credit risk exists. Caution needed to be exercised

 

Credit not recommended

 

--

NB

New Business

--

 

This score serves as a reference to assess SC’s credit risk and to set the amount of credit to be extended. It is calculated from a composite of weighted scores obtained from each of the major sections of this report. The assessed factors and their relative weights (as indicated through %) are as follows:

 

Financial condition (40%)            Ownership background (20%)                  Payment record (10%)

Credit history (10%)                   Market trend (10%)                                Operational size (10%)

 

PRIVATE & CONFIDENTIAL : This information is provided to you at your request, you having employed MIPL for such purpose. You will use the information as aid only in determining the propriety of giving credit and generally as an aid to your business and for no other purpose. You will hold the information in strict confidence, and shall not reveal it or make it known to the subject persons, firms or corporations or to any other. MIPL does not warrant the correctness of the information as you hold it free of any liability whatsoever. You will be liable to and indemnify MIPL for any loss, damage or expense, occasioned by your breach or non observance of any one, or more of these conditions

This report is issued at your request without any risk and responsibility on the part of MIRA INFORM PRIVATE LIMITED (MIPL) or its officials.