Computer Risk Management Limited
Active02783851Wholesale & retailIncorporated 26 Jan 1993 · Manchester
The principal activity of the company in the year under review was that of supply of computer hardware, consumables and equipment.
Revenue
£45.6m
▼ -10.8% vs prior ~12m period
Profit after tax
-£2.7m
Margin -9.1%
Employees
33
▼ -2.9% vs prior ~12m period
Net assets
£8.4m
Total assets £21.2m
Financial history
Revenue by accounting period
7 periods available · ▲ growth ▼ decline
Mar 2019Not available
Mar 2020
£51.5m
Mar 2021
£49.5m▼ -4.0%
Mar 2022
£48.9m▼ -1.1%
Mar 2023
£53.0m▲ +8.4%
Mar 2024
£51.2m▼ -3.5%
Mar 2025
£45.6m▼ -10.8%
| Period end | Revenue | Growth | Profit before tax | Employees | Net assets |
|---|---|---|---|---|---|
| 31 Mar 2025 | £45.6m | ▼ -10.8% | -£3.6m | 33 | £8.4m |
| 31 Mar 2024 | £51.2m | ▼ -3.5% | £5.2m | 34 | £11.1m |
| 31 Mar 2023 | £53.0m | ▲ +8.4% | £5.5m | 35 | £10.0m |
| 31 Mar 2022 | £48.9m | ▼ -1.1% | £5.3m | 36 | £8.7m |
| 31 Mar 2021 | £49.5m | ▼ -4.0% | £5.8m | 40 | £7.0m |
| 31 Mar 2020 | £51.5m | — | £4.8m | 46 | £5.5m |
| 31 Mar 2019 | — | — | — | — | £4.6m |
Latest available figures
Period ending 31 Mar 2025. “Not available” means the figure is not in the accounts we hold. We do not estimate missing figures.
Profit & loss
- Revenue
- £45.6m
- Gross profit
- £9.8m
- Operating profit
- -£4.1m
- Profit before tax
- -£3.6m
- Profit after tax
- -£2.7m
Balance sheet
- Total assets
- £21.2m
- Cash
- £10.7m
- Total liabilities
- £12.8m
- Net assets
- £8.4m
- Revenue per employee
- £1.4m
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