Davro Site Services Limited
Active01689131ConstructionIncorporated 24 Dec 1982 · London
The principal activity of the company in the year under review was the supply and hire of temporary portable buildings, welfare facilities, portable toilets, and waste management solutions, within the construction industry.
Revenue
£8.1m
▼ -0.5% vs prior ~12m period
Profit after tax
£533k
Margin 12.0%
Employees
70
▲ +2.9% vs prior ~12m period
Net assets
£1.8m
Total assets £7.3m
Financial history
Revenue by accounting period
5 periods available · ▲ growth ▼ decline
Apr 2019Not available
Mar 2020
£6.1m
Mar 2021
£7.0m▲ +14.9%
Mar 2022
£8.2m▲ +16.2%
Mar 2023
£8.1m▼ -0.5%
| Period end | Revenue | Growth | Profit before tax | Employees | Net assets |
|---|---|---|---|---|---|
| 31 Mar 2023 | £8.1m | ▼ -0.5% | £861k | 70 | £1.8m |
| 31 Mar 2022 | £8.2m | ▲ +16.2% | £1.6m | 68 | £3.2m |
| 31 Mar 2021 | £7.0m | ▲ +14.9% | £1.3m | 62 | £3.1m |
| 31 Mar 2020 | £6.1m | — | £877k | 57 | £2.8m |
| 1 Apr 2019 | — | — | — | — | £2.5m |
Latest available figures
Period ending 31 Mar 2023. “Not available” means the figure is not in the accounts we hold. We do not estimate missing figures.
These are the most recent accounts available to us; more recent accounts may exist at Companies House.
Profit & loss
- Revenue
- £8.1m
- Gross profit
- £3.2m
- Operating profit
- £976k
- Profit before tax
- £861k
- Profit after tax
- £533k
Balance sheet
- Total assets
- £7.3m
- Cash
- £129k
- Total liabilities
- £5.5m
- Net assets
- £1.8m
- Revenue per employee
- £116k
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