Spabreaks.Com Limited
Active06409934Information & communicationIncorporated 26 Oct 2007 · London
The core focus of the company continues to be the sale of spa days, spa breaks and gift vouchers via call centre and online booking channels in the UK.
Revenue
£6.7m
▲ +12.5% vs prior ~12m period
Profit after tax
£350k
Margin 5.2%
Employees
65
— vs prior ~12m period
Net assets
£513k
Total assets £13.3m
Financial history
Revenue by accounting period
7 periods available · ▲ growth ▼ decline
Dec 2019Not available
Dec 2020
£2.7m
Dec 2021
£6.0m▲ +123.4%
Dec 2022
£6.7m▲ +12.5%
Dec 2023Not available
Dec 2024Not available
Sept 2025Not available
| Period end | Revenue | Growth | Profit before tax | Employees | Net assets |
|---|---|---|---|---|---|
| 30 Sept 2025 | — | — | £86k | 65 | £513k |
| 31 Dec 2024 | — | — | £700k | 63 | £448k |
| 31 Dec 2023 | — | — | £578k | 66 | £531k |
| 31 Dec 2022 | £6.7m | ▲ +12.5% | £351k | 69 | £129k |
| 31 Dec 2021 | £6.0m | ▲ +123.4% | £1.2m | 66 | -£731k |
| 31 Dec 2020 | £2.7m | — | -£2.1m | 61 | -£1.8m |
| 31 Dec 2019 | — | — | — | — | -£12k |
Some periods are not about 12 months apart, usually because the company changed its year end or the register holds more than one set of accounts for a year. Growth is shown only against a prior period roughly 12 months earlier.
Latest available figures
Period ending 31 Dec 2022. “Not available” means the figure is not in the accounts we hold. We do not estimate missing figures.
Profit & loss
- Revenue
- £6.7m
- Gross profit
- Not available
- Operating profit
- Not available
- Profit before tax
- £351k
- Profit after tax
- £350k
Balance sheet
- Total assets
- £13.3m
- Cash
- £8.6m
- Total liabilities
- £12.8m
- Net assets
- £513k
- Revenue per employee
- Not available
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