RADWISE LIMITED
Inactive
Last Accounts
31 January 2022
Directors
3
Age
25 years
Reg. No.:
SC213485
Company Summary
- Last Accounts
- In blockade
Financial summary
2019 | 2020 | 2021 | |
---|---|---|---|
Turnover | 35,734,036.28 | 27,507,190.25 | 18,964,546.54 |
Wages And Salaries | 10,258,751.71 | 5,308,520.42 | 4,736,859.69 |
Directors Emulements | 486,236.73 | 423,535.78 | 372,683.46 |
Operating Profit | 3,560,609.33 | 1,760,986.62 | 1,124,203.30 |
Pretax Profit | 3,560,469.17 | 1,762,905.09 | 1,124,203.30 |
Profit After Tax | 2,882,591.35 | 1,425,167.82 | 910,604.23 |
Retained Profit | 1,159,406.81 | -642,653.63 | 221,330.42 |
Cost Of Sales | 27,961,472.24 | 22,647,472.10 | 15,833,262.90 |
Total Fixed Assets | 290,767.86 | 210,056.20 | 134,461.24 |
Total Assets | 8,901,059.21 | 7,236,331.98 | 6,983,354.70 |
Total Liabilities | 2,609,234.55 | 1,587,160.95 | 1,112,853.26 |
Net Assets | 6,291,824.66 | 5,649,171.03 | 5,870,501.44 |
Cash | -2.30 | -2.30 | -2.30 |
Number Of Employees | 179.21 | 91.90 | 87.31 |
Total Debt Ratio | 0.95 | 0.65 | 0.44 |