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READYMICKS CONCRETE PRODUCTS LIMITED Financials

Company number
05987454Copy
Copy
Registered office
C/O Michael Bailey Transport, Canal Street, Longport, Stoke On Trent, Staffs ST6 4LU
Incorporated
03/11/2006

Company snapshot

Status
Active
Employees
26 (2025)
Latest financial data
2025
Accounts type
Total Exemption Full

Financial highlights

Latest reported figures. Okredo holds filed data for 2021–2025.

Net Assets

£2.77M2025
13.73%vs 2024

2024: £2.43M

Total Assets

£4.54M2025
12.26%vs 2024

2024: £4.04M

Cash in Bank

£1.82M2025
20.82%vs 2024

2024: £1.51M

Total Liabilities

£1.05M2025
13.02%vs 2024

2024: £931.90K

Employees

262025
0vs 2024

2024: 26

In 2025, READYMICKS CONCRETE PRODUCTS LIMITED reported net assets of £2.77M. The same filing shows total assets of £4.54M, cash in bank of £1.82M and total liabilities of £1.05M. Reported headcount was 26 in 2025. Total Assets rose from £4.04M in 2024 to £4.54M in 2025 (12.26%). Okredo holds filed figures for 2021–2025; the table below lists every reported indicator by year. See every reported indicator by year.

Financial performance

Pick a measure to see how it has moved across the reported years, with the year-on-year change beneath it.

Net Assets

£2.77M2025
13.73%from £2.43M in 2024

Year-on-year change

Net Assets as filed for 2021–2025. Every figure in this chart is also in the financial history table.

3-year financial trend (2023–2025)

How the figures READYMICKS CONCRETE PRODUCTS LIMITED filed moved across the three reported years 2023, 2024 and 2025 — measured end to end rather than year on year.

Net Assets

£2.49M2023£2.77M2025
+11.1%vs 2023

+5.4% a year compound (CAGR)

Cash in Bank

£1.73M2023£1.82M2025
+5%vs 2023

+2.5% a year compound (CAGR)

Total Assets

£4.18M2023£4.54M2025
+8.5%vs 2023

+4.1% a year compound (CAGR)

Total Liabilities

£947.42K2023£1.05M2025
+11.2%vs 2023

+5.4% a year compound (CAGR)

Employees

242023262025
+8.3%vs 2023+2

Biggest increase

Total Liabilities+11.2%

£947.42K in 2023 to £1.05M in 2025

Every indicator Okredo holds for READYMICKS CONCRETE PRODUCTS LIMITED rose between 2023 and 2025. The steepest rise came in total liabilities, pointing to heavier outstanding obligations, with net assets, cash in bank, total assets and employee numbers climbing alongside it. See the full year-by-year figures.

Ratios from the filed figures

Calculated from READYMICKS CONCRETE PRODUCTS LIMITED's own reported amounts, each shown against the year it was derived from — nothing here is estimated or industry-averaged.

Net assets to total assets
60.99%2025
Reported net assets divided by reported total assets, for the latest year both were filed. Shows how much of the asset base is not financed by liabilities.
Liabilities to total assets
23.21%2025
Total liabilities divided by reported total assets, for the latest year both were available. Shows how much of the asset base is funded by obligations.
Cash to liabilities
172.90%2025
Reported cash in bank divided by total liabilities for the same year. Shows what share of outstanding obligations the reported cash balance would cover.
Cash to total assets
40.12%2025
Reported cash in bank divided by reported total assets, for the latest year both were filed.

Financial history

Every indicator Okredo tracks, year by year.

Reported financial indicators for READYMICKS CONCRETE PRODUCTS LIMITED by year. Amounts are as filed; a dash means the figure was not reported for that year.

Indicator20212022202320242025
Net Assets£1.52M2.00M2.49M2.43M2.77M
Total Assets£2.45M3.69M4.18M4.04M4.54M
Cash in Bank£1.05M1.51M1.73M1.51M1.82M
Total Liabilities£593.71K1.11M947.42K931.90K1.05M
Employees2626242626

READYMICKS CONCRETE PRODUCTS LIMITED financials: frequently asked questions

Answered from this company's own filed figures.

Yes. Okredo holds filed figures for READYMICKS CONCRETE PRODUCTS LIMITED covering 2021–2025, across 5 reported indicators. The most recent reported year is 2025.

READYMICKS CONCRETE PRODUCTS LIMITED reported net assets of £2.77M for 2025. That compares with £2.43M in 2024, a change of 13.73%.

READYMICKS CONCRETE PRODUCTS LIMITED reported total assets of £4.54M for 2025. That compares with £4.04M in 2024, a change of 12.26%.

READYMICKS CONCRETE PRODUCTS LIMITED reported cash in bank of £1.82M for 2025. That compares with £1.51M in 2024, a change of 20.82%.

READYMICKS CONCRETE PRODUCTS LIMITED reported 26 employees in 2025, compared with 26 in 2024.

Between 2023 and 2025, READYMICKS CONCRETE PRODUCTS LIMITED's net assets rose by 11.1%, cash in bank rose by 5%, total assets rose by 8.5% and total liabilities rose by 11.2%. Net assets compounded at 5.4% a year across the two years to 2025, from £2.49M to £2.77M. Reported headcount went from 24 in 2023 to 26 in 2025 (+2).

Okredo holds reported figures for the years 2021, 2022, 2023, 2024, 2025. Where an indicator was not reported for a given year, the financial history table shows a dash rather than a value.