Visual Therapies C.I.C.
The company has continued to operate in line with its community interest objectives, delivering services and developing projects that support stroke survivors, carers, and the wider community. The company has also engaged with healthcare professionals, academic partners, students, and local organisations to strengthen its work, gather feedback, and explore opportunities for future collaboration and funding. This has included consultation and support around rehabilitation, fall prevention, wellbeing, and the psychological impact of group-based activity. The company notes that £20,980.00 of income was restricted to the project and has been treated accordingly in line with the company’s accounting records and disclosures. A reserve of £3,000.00 has been included within capital and reserves.
Revenue
£21k
▲ +305.6% vs prior ~12m period
Profit after tax
£13k
Margin 63.0%
Employees
3
– 0.0% vs prior ~12m period
Net assets
£13k
Total assets £13k
Financial history
Revenue by accounting period
7 periods available · ▲ growth ▼ decline
| Period end | Revenue | Growth | Profit before tax | Employees | Net assets |
|---|---|---|---|---|---|
| 31 May 2026 | £21k | ▲ +305.6% | £13k | 3 | £13k |
| 31 May 2025 | £5k | — | £351 | 3 | £9 |
| 31 May 2024 | — | — | — | 3 | -£113 |
| 31 May 2023 | — | — | — | 1 | -£861 |
| 31 May 2022 | — | — | — | 0 | -£1k |
| 31 May 2021 | — | — | — | 0 | £291 |
| 31 May 2020 | — | — | — | 0 | £150 |
Latest available figures
Period ending 31 May 2026. “Not available” means the figure is not in the accounts we hold. We do not estimate missing figures.
Profit & loss
- Revenue
- £21k
- Gross profit
- £21k
- Operating profit
- £13k
- Profit before tax
- £13k
- Profit after tax
- £13k
Balance sheet
- Total assets
- £13k
- Cash
- £13k
- Total liabilities
- £0
- Net assets
- £13k
- Revenue per employee
- £7k
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