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IRAQ PETROLEUM COMPANY, LIMITED
Private limited with Share Capital
Company is dissolved
31 January 1911
09100 Support activities for petroleum and natural gas mining - The provision of services in London to an associated company.
Available to 31 Dec 2012. Next accounts due by 30 Sep 2014
For a full in-depth analysis on each of these directors, click any of the links below
Name | Role | Date Of Birth | Appointed |
---|---|---|---|
MR DENIS LEMARCHAL | Director | ||
MR ROBERT SCOTT WILSON | Director | ||
MR ABDULKARIM AHMED ABDULLA MAHMOUD ALMAZMI | Director | ||
MS KATHY P PEPPER | Director | ||
MR PAUL ALAN HUGHES | Director | ||
MR ANDREW JOHN WHITEHEAD | Director | ||
MR ANDREW JOHN WHITEHEAD | Company Secretary | ||
DR ANTONIO JOSE COSTA SILVA | Director | ||
MR ANDREW BERKELEY VAUGHAN | Director | ||
MR MORTEN MAURITZEN | Director | ||
HATEM NUSEIBEH | Director | ||
MS STACY ANN JACKSON | Director | ||
MR FERNANDO ANTONIO DA SILVA BARATA ALVES | Director | ||
JAN ALBERT HOLTSLAG | Director | ||
JOCHEM JOHANNES SCHAAFF | Director | ||
DR EDUARDO CARREGA MARCAL GRILO | Director | ||
MS STEPHANE GERARD FRANCOIS MICHEL | Director | ||
DR SIMON DAVID MARSLAND | Director | ||
MR PIETER VAN ERK | Director |
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Accounts | |||
---|---|---|---|
Cash | £0.00 | £0.00 | £0.00 |
Net Worth | £630,291.00 | £624,796.00 | £620,461.00 |
Total Current Liabilities | £24,500.00 | £21,350.00 | £19,268.00 |
Total Current Assets | £690,330.00 | £660,287.00 | £649,717.00 |
Profit & Loss | |||
---|---|---|---|
Weeks | 52 | 52 | 52 |
Currency | GBP | GBP | GBP |
Consolidated Accounts | N | N | N |
Turnover | - | - | - |
Cost of Sales | - | - | - |
Gross Profit | - | - | - |
Wages & Salaries | - | - | - |
Directors Emoluments | - | - | - |
Operating Profit | - | - | - |
Depreciation | - | - | - |
Audit Fees | £2,885 | £3,976 | £1,880 |
Interest Payments | - | - | - |
Pre Tax Profit | - | - | - |
Tax | - | - | - |
Profit After Tax | - | - | - |
Dividends Payable | - | - | - |
Retained Profit | - | - | - |
Export | - | - | - |
Balance Sheet | |||
---|---|---|---|
Tangible Assets | - | - | - |
Intangible Assets | - | - | - |
Total Fixed Assets | - | - | - |
Stock | - | - | - |
Trade Debtors | - | - | - |
Cash | - | - | - |
Other Debtors | £649,717 | £660,287 | £690,330 |
Miscellaneous Current Assets | - | - | - |
Total Current Assets | £649,717 | £660,287 | £690,330 |
Trade Creditors | - | - | - |
Bank Loans And Overdrafts | - | - | - |
Other Short Term Finance | - | - | - |
Miscellaneous Current Liabilities | £19,268 | £21,350 | £24,500 |
Total Current Liabilities | £19,268 | £21,350 | £24,500 |
Bank Loans And Overdrafts And LTL | £9,988 | £14,141 | £35,539 |
Other Long Term Finance | - | - | - |
Total Long Term Finance | £9,988 | £14,141 | £35,539 |
Capital & Reserves | |||
---|---|---|---|
Called Up Shared Capital | £14,490,898 | £14,490,898 | £14,490,898 |
P & L Account Reserve | - | - | - |
Revaluation Reserve | - | - | - |
Sundry Reserves | - | - | - |
Shareholder Funds | £620,461 | £624,796 | £630,291 |
Other Financial Items | |||
---|---|---|---|
Net Worth | £620,461 | £624,796 | £630,291 |
Working Capital | £630,449 | £638,937 | £665,830 |
Total Assets | £649,717 | £660,287 | £690,330 |
Total Liabilities | £29,256 | £35,491 | £60,039 |
Net Assets | £620,461 | £624,796 | £630,291 |
Cash | |||
---|---|---|---|
Net Cash Flow From Operations | - | - | - |
Net Cash Flow Before Financing | - | - | - |
Net Cash Flow From Financing | - | - | - |
Increase In Cash | - | - | - |
Miscellaneous | |||
---|---|---|---|
Contingent Liability | N | N | N |
Capital Employed | £630,449 | £638,937 | £665,830 |
Number Of Employees | - | - | - |
Auditors | ERNST & YOUNG LLP | ERNST & YOUNG LLP | ERNST & YOUNG LLP |
Auditor Comments | The audit report contains no adverse comments | The audit report contains no adverse comments | The audit report contains no adverse comments |
Ratios | |||
---|---|---|---|
Pre-tax Profit Margin | - | - | - |
Current Ratio | 33.72 | 30.93 | 28.18 |
sales Networking Capital | 0 | 0 | 0 |
Gearing | 1.6 | 2.3 | 5.6 |
Equity In % | 95.5 | 94.6 | 91.3 |
Creditor Days | - | - | - |
Liquidity/Acid Test | 33.72 | 30.92 | 28.17 |
Return on Capital Employed % | -0.68 | -0.86 | -0.53 |
Return on Total Assets Employed % | -0.66 | -0.83 | -0.51 |
Current Debt Ratio | 0.03 | 0.03 | 0.03 |
Total Debt Ratio | 0.04 | 0.05 | 0.09 |
Stock Turnover Ratio % | - | - | - |
Return on Net Assets Employed % | -0.69 | -0.87 | -0.56 |