Chemence Limited

Active01746313ManufacturingIncorporated 16 Aug 1983 · London

Chemence is a primary manufacturer and distributor of high specification adhesives and solvents for the worldwide industrial, professional, medical and consumer markets, with production and modern, state-of-the-art packaging facilities. We additionally manufacture liquid photopolymer for use in flexographic printing and anaerobic and cementacious grouts for gas mains and service systems . Chemence’s business foundations are built on strong innovation, technology and a global supply infrastructure, managed and maintained by a highly skilled workforce. Our primary objective is to provide chemical solutions and a level of service that surpass customer expectations. Considerable investment in research and development ensures Chemence chemistry remains at the forefront of technology. Our technical departments are responsible for ensuring that the needs of both new and existing customers are fully satisfied. Chemence recognises that quality is of the utmost importance and is accredited to the international standards ISO9001-2000 and QS9000.

Revenue

£7.9m

▼ -8.9% vs prior ~12m period

Profit after tax

£503k

Margin 8.0%

Employees

58

▲ +5.5% vs prior ~12m period

Net assets

£7.8m

Total assets £14.7m

Financial history

Revenue by accounting period

7 periods available · ▲ growth ▼ decline

Dec 2018
Not available
Dec 2019
£8.5m
Dec 2020
£8.6m▲ +2.0%
Dec 2021
£7.9m▼ -8.9%
Dec 2022
Not available
Dec 2023
Not available
Dec 2024
Not available
Period endRevenueGrowthProfit before taxEmployeesNet assets
31 Dec 2024———58£7.8m
31 Dec 2023———55£6.9m
31 Dec 2022———51£4.6m
31 Dec 2021£7.9m▼ -8.9%£621k50£3.8m
31 Dec 2020£8.6m▲ +2.0%£1.2m55£3.3m
31 Dec 2019£8.5m—£207k58£2.3m
31 Dec 2018————£2.1m

Latest available figures

Period ending 31 Dec 2021. “Not available” means the figure is not in the accounts we hold. We do not estimate missing figures.

Profit & loss

Revenue
£7.9m
Gross profit
£3.2m
Operating profit
£630k
Profit before tax
£621k
Profit after tax
£503k

Balance sheet

Total assets
£14.7m
Cash
£877k
Total liabilities
£6.8m
Net assets
£7.8m
Revenue per employee
Not available

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