STARK WAYNE LTD.

09495737
Active Penkridge

Business and domestic software development

5 employees website.com
Software Enterprise SaaS (ERP, HR, finance) Business and domestic software development
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STARK WAYNE LTD.

09495737

Business and domestic software development

Founded 18 Mar 2015 Active Penkridge, United Kingdom 5 employees website.com
Software Enterprise SaaS (ERP, HR, finance) Business and domestic software development
Accounts Submitted 15 Dec 2025 Next due 31 Dec 2026 5 months remaining
Confirmation Submitted 25 Mar 2026 Next due 1 Apr 2027 8 months remaining
Net assets £138K £2K 2024 year on year
Total assets £231K £5K 2024 year on year
Total Liabilities £93K £3K 2024 year on year
Charges None No charges registered

Contact & Details

Contact

Registered Address

Woodland Lodge Dunston Business Village Stafford Road Penkridge Staffordshire ST18 9AB United Kingdom

Telephone

0800 000 0000

Email

info@example.com

Website

www.example.com

Full company profile for STARK WAYNE LTD. (09495737), an active software company based in Penkridge, United Kingdom. Incorporated 18 Mar 2015. Business and domestic software development. 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 Apr → 31 Mar 2025
Type total-exemption-full
Next accounts 31 Mar 2026
Due by 31 Dec 2026 5 months remaining

Net Assets, Total Assets & Total Liabilities (2015–2024)

Cash in Bank

£148.18k

Increased by £39.60k (+36%)

Net Assets

£138.09k

Decreased by £1.51k (-1%)

Total Liabilities

£92.71k

Decreased by £3.33k (-3%)

Turnover

N/A

Employees

5

Debt Ratio

40%

Decreased by 1 (-2%)

Financial History

Revenue, profit, EBITDA and key financial figures

2025
31 Mar Year End
2024
31 Mar 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

Share Capital

Share Capital

Share allotments and capital structure

1 Allotment 2 Shares £2 Total
Date FromShare ClassShares AllottedAmount RaisedPrice/Share
31 Mar 20252£2£1

Officers

Officers

3 active
Status
Belcher, Simon Christian Edward, Mr.DirectorBritishUnited Kingdom4318 Mar 2015Active
Burgess, David Allan, Mr.DirectorBritishEngland431 Apr 2015Active
Donna-marie BelcherSecretaryUnknownUnknown1 Jan 2025Active

Shareholders

Shareholders (4)

Simon Belcher
49.0%
50
David Burgess
49.0%
50

Persons with Significant Control

Persons with Significant Control (4)

4 Active

David Allan Burgess

British

Active
Notified 6 Apr 2016
Residence England
DOB October 1982
Nature of Control
  • Ownership Of Shares 25 To 50 Percent

Simon Christian Edward Belcher

British

Active
Notified 6 Apr 2016
Residence United Kingdom
DOB March 1983
Nature of Control
  • Ownership Of Shares 25 To 50 Percent

Mr. David Allan Burgess

British

Active
Notified 6 Apr 2016
Residence United Kingdom
DOB October 1982
Nature of Control
  • Ownership Of Shares 25 To 50 Percent

Mr. Simon Christian Edward Belcher

British

Active
Notified 6 Apr 2016
Residence United Kingdom
DOB March 1983
Nature of Control
  • Ownership Of Shares 25 To 50 Percent

Group Structure

Group Structure

STARK WAYNE LTD. Current Company
CRAFTY BOYS LIMITED united kingdom

Charges

Charges

No charges registered

Properties

Properties

0 total

No related properties

Documents

Company Filings

DateCategoryDescriptionDocument
25 Mar 2026Confirmation StatementConfirmation statement made on 18 Mar 2026 with no updates
15 Dec 2025AccountsAnnual accounts made up to 31 Mar 2025
7 Apr 2025Confirmation StatementConfirmation statement made on 18 Mar 2025 with updates
7 Apr 2025CapitalAllotment of shares (GBP 102) on 31 Mar 2025
6 Jan 2025OfficersAppointment of Ms Tracy Jane Doyle as director on 1 Jan 2025
25 Mar 2026 Confirmation Statement

Confirmation statement made on 18 Mar 2026 with no updates

15 Dec 2025 Accounts

Annual accounts made up to 31 Mar 2025

7 Apr 2025 Confirmation Statement

Confirmation statement made on 18 Mar 2025 with updates

7 Apr 2025 Capital

Allotment of shares (GBP 102) on 31 Mar 2025

6 Jan 2025 Officers

Appointment of Ms Tracy Jane Doyle as director on 1 Jan 2025

Recent Activity

Latest Activity

Confirmation statement made on 18 Mar 2026 with no updates

3 months ago on 25 Mar 2026

Annual accounts made up to 31 Mar 2025

6 months ago on 15 Dec 2025

Confirmation statement made on 18 Mar 2025 with updates

1 years ago on 7 Apr 2025

Allotment of shares (GBP 102) on 31 Mar 2025

1 years ago on 7 Apr 2025

Appointment of Ms Tracy Jane Doyle as director on 1 Jan 2025

1 years ago on 6 Jan 2025