Hazell And Jefferies Limited

Active01029519Water & wasteIncorporated 2 Nov 1971 · Pangbourne

The principal activity of the company in the year under review was that of tarmac contracting.

Revenue

£30.7m

▲ +8.1% vs prior ~12m period

Profit after tax

£3.4m

Margin 13.6%

Employees

94

– 0.0% vs prior ~12m period

Net assets

£35.1m

Total assets £39.7m

Financial history

Revenue by accounting period

8 periods available · ▲ growth ▼ decline

Nov 2018
Not available
Nov 2019
£22.0m
Oct 2020
£19.0m▼ -13.5%
Oct 2021
£18.9m▼ -0.6%
Oct 2022
£20.9m▲ +10.6%
Oct 2023
£23.0m▲ +10.4%
Oct 2024
£28.4m▲ +23.5%
Oct 2025
£30.7m▲ +8.1%
Period endRevenueGrowthProfit before taxEmployeesNet assets
31 Oct 2025£30.7m▲ +8.1%£4.6m94£35.1m
31 Oct 2024£28.4m▲ +23.5%£3.9m94£31.7m
31 Oct 2023£23.0m▲ +10.4%£1.8m101£28.9m
31 Oct 2022£20.9m▲ +10.6%£2.6m101£27.3m
31 Oct 2021£18.9m▼ -0.6%£2.4m87£25.2m
31 Oct 2020£19.0m▼ -13.5%£3.5m90£23.3m
1 Nov 2019£22.0m—£4.5m96£20.5m
1 Nov 2018————£16.8m

Latest available figures

Period ending 31 Oct 2025. “Not available” means the figure is not in the accounts we hold. We do not estimate missing figures.

Profit & loss

Revenue
£30.7m
Gross profit
£6.6m
Operating profit
£4.2m
Profit before tax
£4.6m
Profit after tax
£3.4m

Balance sheet

Total assets
£39.7m
Cash
£12.8m
Total liabilities
£4.7m
Net assets
£35.1m
Revenue per employee
£327k

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