PERIMETER PROJECTS LIMITED

Active Sheffield

Other retail sale not in stores, stalls or markets

0 employees website.com
Other retail sale not in stores, stalls or markets
P

PERIMETER PROJECTS LIMITED

Other retail sale not in stores, stalls or markets

Founded 12 Jan 2010 Active Sheffield, United Kingdom 0 employees website.com
Other retail sale not in stores, stalls or markets
Accounts Submitted 17 Mar 2026 Next due 31 Dec 2025 5 months overdue
Confirmation Submitted 18 Mar 2026 Next due 26 Jan 2027 8 months remaining
Net assets £-545K £89K 2024 year on year
Total assets £16K £24K 2024 year on year
Total Liabilities £561K £65K 2024 year on year
Charges None No charges registered

Contact & Details

Contact

Registered Address

The Old Workshop 1 Ecclesall Road South Sheffield S11 9PA

Full company profile for PERIMETER PROJECTS LIMITED (07122907), an active company based in Sheffield, United Kingdom. Incorporated 12 Jan 2010. Other retail sale not in stores, stalls or markets. View financials, directors, shareholders, and filings.

Business Summary

This company specializes in providing innovative solutions and services across multiple sectors.

Products & Services

consulting software analytics integration

Reports

Credit Report

In-depth credit score, financial analysis, risk assessment and company intelligence.

Financials

Financials

Period 1 Jan → 31 Dec 2024
Type Total Exemption Full
Next accounts 31 December 2025
Due by 30 September 2026 9 months

Net Assets, Total Assets & Total Liabilities (2014–2024)

Cash in Bank

N/A

Net Assets

-£545.03k

Decreased by £88.96k (-20%)

Total Liabilities

£560.69k

Increased by £64.81k (+13%)

Turnover

N/A

Employees

N/A

Debt Ratio

3579%

Increased by 2334 (+187%)

Financial History

Revenue, profit, EBITDA and key financial figures

2024
Dec Year End
2023
Dec Year End
P&L
Revenue
£142.3M
£128.7M
Gross Profit
£48.2M
£43.1M
Operating Profit
£22.4M
£19.8M
Net Profit
£18.1M
£15.9M
EBITDA
£31.5M
£28.2M
Assets
Cash
£24.7M
£21.3M
Total Assets
£89.4M
£82.1M
Liabilities
Total Liabilities
£45.2M
£41.8M
Key Metrics
Employees
1,247
1,156
Latest Revenue
£142.3M
Latest EBITDA
£31.5M
Cash Position
£24.7M

Funding

Fundraising & Grants

No fundraising or grants recorded

Investors (0)

No investor information available

Officers

Officers

1 active 1 resigned
Status
Revert, Pascale MarieDirectorFrenchUnited Kingdom6312 Jan 2010Active

Shareholders

Shareholders (1)

Pascale Marie Revert
100.0%
1

Persons with Significant Control

Persons with Significant Control (1)

1 Active

Mrs Pascale Marie Revert

French

Active
Notified 30 Jun 2016
Residence England
DOB August 1962
Nature of Control
  • Ownership Of Shares 75 To 100 Percent

Group Structure

Group Structure

No group structure identified

Charges

Charges

No charges registered

Properties

Properties

0 total

No related properties

Documents

Company Filings

DateCategoryDescriptionDocument
18 Mar 2026Confirmation StatementConfirmation statement made on 12 Jan 2026 with no updates
18 Mar 2026GazetteGazette Filings Brought Up To Date
17 Mar 2026OfficersTermination of Peter Spencer William Wheeler as director on 30 Oct 2025
17 Mar 2026AccountsAnnual accounts made up to 31 Mar 2025
3 Mar 2026GazetteGazette Notice Compulsory
18 Mar 2026 Confirmation Statement

Confirmation statement made on 12 Jan 2026 with no updates

18 Mar 2026 Gazette

Gazette Filings Brought Up To Date

17 Mar 2026 Officers

Termination of Peter Spencer William Wheeler as director on 30 Oct 2025

17 Mar 2026 Accounts

Annual accounts made up to 31 Mar 2025

3 Mar 2026 Gazette

Gazette Notice Compulsory

Recent Activity

Latest Activity

Confirmation statement made on 12 Jan 2026 with no updates

1 months ago on 18 Mar 2026

Gazette Filings Brought Up To Date

1 months ago on 18 Mar 2026

Termination of Peter Spencer William Wheeler as director on 30 Oct 2025

1 months ago on 17 Mar 2026

Annual accounts made up to 31 Mar 2025

1 months ago on 17 Mar 2026

Gazette Notice Compulsory

2 months ago on 3 Mar 2026