Chambers Runfold PLC

Active01832939Water & wasteIncorporated 16 Jul 1984 · Runfold

The principal activities of the Company in the year under review continued to be that of sand extraction, the sale of aggregates and the operation of tipping facilities.

Revenue

£7.5m

▼ -6.5% vs prior ~12m period

Profit after tax

£875k

Margin 12.5%

Employees

30

▲ +7.1% vs prior ~12m period

Net assets

£19.5m

Total assets £22.6m

Financial history

Revenue by accounting period

7 periods available · ▲ growth ▼ decline

Oct 2019
Not available
Oct 2020
£7.6m
Sept 2021
£8.1m▲ +7.0%
Sept 2022
£8.5m▲ +5.2%
Sept 2023
£8.9m▲ +4.4%
Sept 2024
£8.0m▼ -10.1%
Sept 2025
£7.5m▼ -6.5%
Period endRevenueGrowthProfit before taxEmployeesNet assets
30 Sept 2025£7.5m▼ -6.5%£1.3m30£19.5m
30 Sept 2024£8.0m▼ -10.1%£2.9m28£20.9m
30 Sept 2023£8.9m▲ +4.4%£2.9m29£19.8m
30 Sept 2022£8.5m▲ +5.2%£2.3m33£17.9m
30 Sept 2021£8.1m▲ +7.0%£2.7m33£16.4m
1 Oct 2020£7.6m—£2.3m36£14.6m
1 Oct 2019————£13.2m

Latest available figures

Period ending 30 Sept 2025. “Not available” means the figure is not in the accounts we hold. We do not estimate missing figures.

Profit & loss

Revenue
£7.5m
Gross profit
£2.2m
Operating profit
£933k
Profit before tax
£1.3m
Profit after tax
£875k

Balance sheet

Total assets
£22.6m
Cash
£9.9m
Total liabilities
£3.1m
Net assets
£19.5m
Revenue per employee
£250k

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