Annual accounts
Total Exemption Full accounts
31/01/2028Filing deadline
- Next accounts made up to
- 30/04/2027
- Last accounts made up to
- 30/04/2026
Reference data exactly as held at Companies House.
The 4 most recent documents filed at Companies House.
Confirmation statement made on 2026-04-02 with updates
Total exemption full accounts made up to 2025-04-30
Confirmation statement made on 2025-04-02 with updates
Total exemption full accounts made up to 2024-04-30
What Pre-Score will tell you

The two filings Companies House requires every year, and where each one stands against its deadline today.
Total Exemption Full accounts
31/01/2028Filing deadline
Confirms the registry record is up to date
16/04/2027Filing deadline
The latest figures SPRAY CENTRE (U.K.) LIMITED filed. Okredo holds filed accounts data for 2021–2025; the year-by-year record is on the financials page.
Net Assets
2024: £395.97K
Total Assets
2024: £1.34M
Cash in Bank
2024: £303.67K
Total Liabilities
2024: £933.88K
Employees
2024: 13
Of the 4 measures with an earlier filing to compare against, 4 fell. Total assets moved furthest, down 12.35% on 2024. See the full financial analysis for SPRAY CENTRE (U.K.) LIMITED.
The full financial record
Four ways through SPRAY CENTRE (U.K.) LIMITED's filed accounts — the year-by-year numbers, the compound rates and the ratios behind them.
Headcount as reported to Companies House for 2021–2025.
| Year | Employees | Change |
|---|---|---|
| 2025 | 13 | 0 |
| 2024 | 13 | -1 |
| 2023 | 14 | +1 |
| 2022 | 13 | +2 |
| 2021 | 11 | – |
Reported employee count increased from 11 in 2021 to 13 in 2025. See how headcount moved alongside the reported financials.
Credit report
It is a professional assessment of the company 's performance, revealing company's potential and risks, showing it's past experiences and revealing future prospects.
Every document on the Companies House record, newest first.
Confirmation statement made on 2026-04-02 with updates
Total exemption full accounts made up to 2025-04-30
Confirmation statement made on 2025-04-02 with updates
Total exemption full accounts made up to 2024-04-30
Confirmation statement made on 2024-04-02 with updates
Director's details changed for Mr Gary Dale on 2024-03-31
Total exemption full accounts made up to 2023-04-30
Confirmation statement made on 2023-04-02 with updates
Director's details changed for Mr Stephen John Hanson on 2023-02-08
Total exemption full accounts made up to 2022-04-30
See when the next accounts and confirmation statement are due
402 UK companies are similar to SPRAY CENTRE (U.K.) LIMITED, sharing the same company status (Active), the same industry sector and activity group (Retail trade of motor vehicle parts and accessories) and a comparable number of employees. The 5 closest matches are shown below to help you compare competitors and industry peers.
C/O Havers Tyres, Havers Road, Norwich NR3 2DU
Berwick Service Station Station Road, Berwick, Polegate, East Sussex BN26 6TA
3 Johnsons Barns, Waterworks Road, Sheet, Hampshire GU32 2BY
7 Borthwick View, Pentland Industrial Estate, Loanhead, Midlothian EH20 9QH
Endeavour House, Crow Arch Lane, Ringwood, Hampshire BH24 1HP
A short description of the company, written from its Companies House record.
SPRAY CENTRE (U.K.) LIMITED is a private limited company registered in the United Kingdom, based in 9 Woodbourn Hill, Attercliffe, Sheffield, South Yorkshire S9 3NE. Companies House classifies its business as Retail trade of motor vehicle parts and accessories. It has been on the register for 31 years 1 month.
The register currently records it as active. Its 2025 accounts report net assets of £367.28K and 13 employees.
Answered from this company's own registry record and filed figures.
Companies House records SPRAY CENTRE (U.K.) LIMITED under one registered business activity: Retail trade of motor vehicle parts and accessories (45.32 - SIC 2007).
SPRAY CENTRE (U.K.) LIMITED is recorded as active on the Companies House register, and has been on it since 29/08/1995.
The most recent accounts Okredo holds cover 2025 and report net assets of £367.28K, total assets of £1.17M, cash in bank of £290.60K and total liabilities of £796.75K.
The most recent document on the record is dated 02/04/2026: Confirmation statement made on 2026-04-02 with updates, 6 months ago.
On the current registry record, accounts are due by 31/01/2028 and the next confirmation statement is due by 16/04/2027.