Dynamic Restaurants Limited

Active12423563HospitalityIncorporated 24 Jan 2020 · Leicester

The principal activity of the company in the year under review was that of operating quick service restaurants. GOING CONCERN The company continued to generate significant operating cash flows and continued to increase operations year-on-year. Despite this, the balance sheet as at 31 December 2024 shows a net current liability position of £1,154,474 (2023: £821,290). This is due to the ongoing investment in its restaurants during the past number of years, which are partly from operating cash flows. The company continues to meet its day to day working capital requirements through operating cash flows and where necessary the support of the Directors and finances all significant refurbishments via a combination of bank finance and working capital. The Directors have produced detailed cash flow and profits forecasts that show that current positive cash flows from trading will be sufficient to meet working capital and financing obligations as they fall due. Having considered all the relevant facts the directors consider it is appropriate to prepare the financial statements on a going concern basis.

Revenue

£21.4m

▲ +1.7% vs prior ~12m period

Profit after tax

-£157k

Margin 0.2%

Employees

449

▼ -13.3% vs prior ~12m period

Net assets

£198k

Total assets £6.2m

Financial history

Revenue by accounting period

5 periods available · ▲ growth ▼ decline

Jan 2021
Not available
Dec 2021
£9.1m
Dec 2022
£18.6m▲ +105.6%
Dec 2023
£21.1m▲ +13.2%
Dec 2024
£21.4m▲ +1.7%
Period endRevenueGrowthProfit before taxEmployeesNet assets
31 Dec 2024£21.4m▲ +1.7%-£124k449£198k
31 Dec 2023£21.1m▲ +13.2%£296k518£394k
31 Dec 2022£18.6m▲ +105.6%-£95k474£266k
31 Dec 2021£9.1m—£639k405£353k
31 Jan 2021———2£100

Latest available figures

Period ending 31 Dec 2024. “Not available” means the figure is not in the accounts we hold. We do not estimate missing figures.

Profit & loss

Revenue
£21.4m
Gross profit
£14.2m
Operating profit
£50k
Profit before tax
-£124k
Profit after tax
-£157k

Balance sheet

Total assets
£6.2m
Cash
£1.5m
Total liabilities
£6.0m
Net assets
£198k
Revenue per employee
£48k

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