{
  "company_number": "09005913",
  "name": "CT Gfx Ltd",
  "url": "/company/09005913",
  "status": "Active",
  "is_active": true,
  "company_type": "Private Limited Company",
  "incorporated_on": "2014-04-22",
  "dissolved_on": null,
  "sic_codes": [
    {
      "code": "74100",
      "description": "specialised design activities",
      "section": "M",
      "section_name": "Professional, scientific and technical activities",
      "url": "/sic/74100"
    }
  ],
  "registered_address": {
    "id": 1591836,
    "url": "/address/1591836",
    "line1": "CHESTNUT END",
    "line2": "LEDDINGTON",
    "post_town": "LEDBURY",
    "county": "",
    "country": "ENGLAND",
    "postcode": "HR8 2LG"
  },
  "companies_house_url": "https://find-and-update.company-information.service.gov.uk/company/09005913",
  "previous_names": [],
  "care_of": "",
  "po_box": "",
  "country_of_origin": "United Kingdom",
  "accounts": {
    "next_due": "2027-04-30",
    "last_made_up": "2025-07-31",
    "category": "TOTAL EXEMPTION FULL",
    "filings": [
      {
        "url": "/company/09005913/accounts/2025-07-31",
        "pdf_url": "/company/09005913/accounts/2025-07-31.pdf",
        "made_up_date": "2025-07-31",
        "period_start": "2025-07-31",
        "period_end": "2025-07-31",
        "entity_name": "CT GFX Ltd",
        "dormant": false,
        "average_employees": "1.00",
        "tangible_fixed_assets": "9215.00",
        "debtors": "1145.00",
        "cash_bank_in_hand": "90977.00",
        "current_assets": "92122.00",
        "creditors_due_within_one_year": "17136.00",
        "creditors_due_after_one_year": null,
        "net_current_assets_liabilities": "74986.00",
        "total_assets_less_current_liabilities": "84201.00",
        "net_assets_liabilities": "82451.00",
        "called_up_share_capital": null,
        "profit_loss_account_reserve": null,
        "shareholder_funds": null,
        "turnover": null,
        "other_operating_income": null,
        "cost_sales": null,
        "gross_profit_loss": null,
        "administrative_expenses": null,
        "raw_materials_consumables": null,
        "staff_costs": null,
        "depreciation_written_off": null,
        "other_operating_charges": null,
        "operating_profit_loss": null,
        "profit_before_tax": null,
        "tax_on_profit": null,
        "profit_loss_for_period": null,
        "file_type": "html",
        "parse_error": "",
        "source_zip": "Accounts_Monthly_Data-April2026.zip"
      },
      {
        "url": "/company/09005913/accounts/2024-07-31",
        "pdf_url": "/company/09005913/accounts/2024-07-31.pdf",
        "made_up_date": "2024-07-31",
        "period_start": "2024-07-31",
        "period_end": "2024-07-31",
        "entity_name": "CT GFX Ltd",
        "dormant": false,
        "average_employees": "1.00",
        "tangible_fixed_assets": "10645.00",
        "debtors": "2457.00",
        "cash_bank_in_hand": "60588.00",
        "current_assets": "63045.00",
        "creditors_due_within_one_year": "13763.00",
        "creditors_due_after_one_year": null,
        "net_current_assets_liabilities": "49282.00",
        "total_assets_less_current_liabilities": "59927.00",
        "net_assets_liabilities": "57905.00",
        "called_up_share_capital": null,
        "profit_loss_account_reserve": null,
        "shareholder_funds": null,
        "turnover": null,
        "other_operating_income": null,
        "cost_sales": null,
        "gross_profit_loss": null,
        "administrative_expenses": null,
        "raw_materials_consumables": null,
        "staff_costs": null,
        "depreciation_written_off": null,
        "other_operating_charges": null,
        "operating_profit_loss": null,
        "profit_before_tax": null,
        "tax_on_profit": null,
        "profit_loss_for_period": null,
        "file_type": "html",
        "parse_error": "",
        "source_zip": "Accounts_Monthly_Data-April2025.zip"
      },
      {
        "url": "/company/09005913/accounts/2023-07-31",
        "pdf_url": "/company/09005913/accounts/2023-07-31.pdf",
        "made_up_date": "2023-07-31",
        "period_start": "2023-07-31",
        "period_end": "2023-07-31",
        "entity_name": "CT GFX Ltd",
        "dormant": false,
        "average_employees": "1.00",
        "tangible_fixed_assets": "12183.00",
        "debtors": "3897.00",
        "cash_bank_in_hand": "56334.00",
        "current_assets": "60231.00",
        "creditors_due_within_one_year": "7535.00",
        "creditors_due_after_one_year": null,
        "net_current_assets_liabilities": "52696.00",
        "total_assets_less_current_liabilities": "64879.00",
        "net_assets_liabilities": "62901.00",
        "called_up_share_capital": null,
        "profit_loss_account_reserve": null,
        "shareholder_funds": null,
        "turnover": null,
        "other_operating_income": null,
        "cost_sales": null,
        "gross_profit_loss": null,
        "administrative_expenses": null,
        "raw_materials_consumables": null,
        "staff_costs": null,
        "depreciation_written_off": null,
        "other_operating_charges": null,
        "operating_profit_loss": null,
        "profit_before_tax": null,
        "tax_on_profit": null,
        "profit_loss_for_period": null,
        "file_type": "html",
        "parse_error": "",
        "source_zip": "Accounts_Monthly_Data-May2024.zip"
      },
      {
        "url": "/company/09005913/accounts/2022-07-31",
        "pdf_url": "/company/09005913/accounts/2022-07-31.pdf",
        "made_up_date": "2022-07-31",
        "period_start": "2022-07-31",
        "period_end": "2022-07-31",
        "entity_name": "CT GFX Ltd",
        "dormant": false,
        "average_employees": "1.00",
        "tangible_fixed_assets": "10803.00",
        "debtors": "1951.00",
        "cash_bank_in_hand": "93777.00",
        "current_assets": "95728.00",
        "creditors_due_within_one_year": "29674.00",
        "creditors_due_after_one_year": null,
        "net_current_assets_liabilities": "66054.00",
        "total_assets_less_current_liabilities": "76857.00",
        "net_assets_liabilities": "74805.00",
        "called_up_share_capital": null,
        "profit_loss_account_reserve": null,
        "shareholder_funds": null,
        "turnover": null,
        "other_operating_income": null,
        "cost_sales": null,
        "gross_profit_loss": null,
        "administrative_expenses": null,
        "raw_materials_consumables": null,
        "staff_costs": null,
        "depreciation_written_off": null,
        "other_operating_charges": null,
        "operating_profit_loss": null,
        "profit_before_tax": null,
        "tax_on_profit": null,
        "profit_loss_for_period": null,
        "file_type": "html",
        "parse_error": "",
        "source_zip": "Accounts_Monthly_Data-April2023.zip"
      },
      {
        "url": "/company/09005913/accounts/2021-07-31",
        "pdf_url": "/company/09005913/accounts/2021-07-31.pdf",
        "made_up_date": "2021-07-31",
        "period_start": "2021-07-31",
        "period_end": "2021-07-31",
        "entity_name": "CT GFX Ltd",
        "dormant": false,
        "average_employees": "1.00",
        "tangible_fixed_assets": "12578.00",
        "debtors": "2407.00",
        "cash_bank_in_hand": "126749.00",
        "current_assets": "129156.00",
        "creditors_due_within_one_year": "47322.00",
        "creditors_due_after_one_year": null,
        "net_current_assets_liabilities": "81834.00",
        "total_assets_less_current_liabilities": "94412.00",
        "net_assets_liabilities": "92023.00",
        "called_up_share_capital": null,
        "profit_loss_account_reserve": null,
        "shareholder_funds": null,
        "turnover": null,
        "other_operating_income": null,
        "cost_sales": null,
        "gross_profit_loss": null,
        "administrative_expenses": null,
        "raw_materials_consumables": null,
        "staff_costs": null,
        "depreciation_written_off": null,
        "other_operating_charges": null,
        "operating_profit_loss": null,
        "profit_before_tax": null,
        "tax_on_profit": null,
        "profit_loss_for_period": null,
        "file_type": "html",
        "parse_error": "",
        "source_zip": "Accounts_Monthly_Data-April2022.zip"
      },
      {
        "url": "/company/09005913/accounts/2020-07-31",
        "pdf_url": "/company/09005913/accounts/2020-07-31.pdf",
        "made_up_date": "2020-07-31",
        "period_start": "2020-07-31",
        "period_end": "2020-07-31",
        "entity_name": "CT GFX Ltd",
        "dormant": false,
        "average_employees": "1.00",
        "tangible_fixed_assets": "16400.00",
        "debtors": "3159.00",
        "cash_bank_in_hand": "89944.00",
        "current_assets": "93103.00",
        "creditors_due_within_one_year": "18609.00",
        "creditors_due_after_one_year": null,
        "net_current_assets_liabilities": "74494.00",
        "total_assets_less_current_liabilities": "90894.00",
        "net_assets_liabilities": "87779.00",
        "called_up_share_capital": null,
        "profit_loss_account_reserve": null,
        "shareholder_funds": null,
        "turnover": null,
        "other_operating_income": null,
        "cost_sales": null,
        "gross_profit_loss": null,
        "administrative_expenses": null,
        "raw_materials_consumables": null,
        "staff_costs": null,
        "depreciation_written_off": null,
        "other_operating_charges": null,
        "operating_profit_loss": null,
        "profit_before_tax": null,
        "tax_on_profit": null,
        "profit_loss_for_period": null,
        "file_type": "html",
        "parse_error": "",
        "source_zip": "Accounts_Monthly_Data-July2021.zip"
      },
      {
        "url": "/company/09005913/accounts/2019-07-31",
        "pdf_url": "/company/09005913/accounts/2019-07-31.pdf",
        "made_up_date": "2019-07-31",
        "period_start": "2019-07-31",
        "period_end": "2019-07-31",
        "entity_name": "CT GFX Ltd",
        "dormant": false,
        "average_employees": "1.00",
        "tangible_fixed_assets": "1783.00",
        "debtors": "4762.00",
        "cash_bank_in_hand": "91295.00",
        "current_assets": "96057.00",
        "creditors_due_within_one_year": "22885.00",
        "creditors_due_after_one_year": null,
        "net_current_assets_liabilities": "73172.00",
        "total_assets_less_current_liabilities": "74955.00",
        "net_assets_liabilities": "74617.00",
        "called_up_share_capital": "100.00",
        "profit_loss_account_reserve": "74517.00",
        "shareholder_funds": "74617.00",
        "turnover": null,
        "other_operating_income": null,
        "cost_sales": null,
        "gross_profit_loss": null,
        "administrative_expenses": null,
        "raw_materials_consumables": null,
        "staff_costs": null,
        "depreciation_written_off": null,
        "other_operating_charges": null,
        "operating_profit_loss": null,
        "profit_before_tax": null,
        "tax_on_profit": null,
        "profit_loss_for_period": null,
        "file_type": "html",
        "parse_error": "",
        "source_zip": "Accounts_Monthly_Data-November2019.zip"
      },
      {
        "url": "/company/09005913/accounts/2018-07-31",
        "pdf_url": "/company/09005913/accounts/2018-07-31.pdf",
        "made_up_date": "2018-07-31",
        "period_start": "2018-07-31",
        "period_end": "2018-07-31",
        "entity_name": "CT GFX Ltd",
        "dormant": false,
        "average_employees": "1.00",
        "tangible_fixed_assets": "2377.00",
        "debtors": null,
        "cash_bank_in_hand": "54766.00",
        "current_assets": "54766.00",
        "creditors_due_within_one_year": "13430.00",
        "creditors_due_after_one_year": null,
        "net_current_assets_liabilities": "41336.00",
        "total_assets_less_current_liabilities": "43713.00",
        "net_assets_liabilities": "43262.00",
        "called_up_share_capital": "100.00",
        "profit_loss_account_reserve": "43162.00",
        "shareholder_funds": "43262.00",
        "turnover": null,
        "other_operating_income": null,
        "cost_sales": null,
        "gross_profit_loss": null,
        "administrative_expenses": null,
        "raw_materials_consumables": null,
        "staff_costs": null,
        "depreciation_written_off": null,
        "other_operating_charges": null,
        "operating_profit_loss": null,
        "profit_before_tax": null,
        "tax_on_profit": null,
        "profit_loss_for_period": null,
        "file_type": "html",
        "parse_error": "",
        "source_zip": "Accounts_Monthly_Data-April2019.zip"
      },
      {
        "url": "/company/09005913/accounts/2017-07-31",
        "pdf_url": "/company/09005913/accounts/2017-07-31.pdf",
        "made_up_date": "2017-07-31",
        "period_start": "2017-07-31",
        "period_end": "2017-07-31",
        "entity_name": "CT GFX Ltd",
        "dormant": false,
        "average_employees": "1.00",
        "tangible_fixed_assets": "433.00",
        "debtors": "1991.00",
        "cash_bank_in_hand": "46369.00",
        "current_assets": "48360.00",
        "creditors_due_within_one_year": "15133.00",
        "creditors_due_after_one_year": null,
        "net_current_assets_liabilities": "33227.00",
        "total_assets_less_current_liabilities": "33660.00",
        "net_assets_liabilities": "33574.00",
        "called_up_share_capital": "100.00",
        "profit_loss_account_reserve": "33474.00",
        "shareholder_funds": "33574.00",
        "turnover": null,
        "other_operating_income": null,
        "cost_sales": null,
        "gross_profit_loss": null,
        "administrative_expenses": null,
        "raw_materials_consumables": null,
        "staff_costs": null,
        "depreciation_written_off": null,
        "other_operating_charges": null,
        "operating_profit_loss": null,
        "profit_before_tax": null,
        "tax_on_profit": null,
        "profit_loss_for_period": null,
        "file_type": "html",
        "parse_error": "",
        "source_zip": "Accounts_Monthly_Data-April2018.zip"
      },
      {
        "url": "/company/09005913/accounts/2016-04-30",
        "pdf_url": "/company/09005913/accounts/2016-04-30.pdf",
        "made_up_date": "2016-04-30",
        "period_start": "2016-04-30",
        "period_end": "2016-04-30",
        "entity_name": "CT GFX Ltd",
        "dormant": false,
        "average_employees": null,
        "tangible_fixed_assets": "629.00",
        "debtors": "268.00",
        "cash_bank_in_hand": "35095.00",
        "current_assets": "35363.00",
        "creditors_due_within_one_year": "16836.00",
        "creditors_due_after_one_year": null,
        "net_current_assets_liabilities": "18527.00",
        "total_assets_less_current_liabilities": "19156.00",
        "net_assets_liabilities": "19030.00",
        "called_up_share_capital": "100.00",
        "profit_loss_account_reserve": "18930.00",
        "shareholder_funds": "19030.00",
        "turnover": null,
        "other_operating_income": null,
        "cost_sales": null,
        "gross_profit_loss": null,
        "administrative_expenses": null,
        "raw_materials_consumables": null,
        "staff_costs": null,
        "depreciation_written_off": null,
        "other_operating_charges": null,
        "operating_profit_loss": null,
        "profit_before_tax": null,
        "tax_on_profit": null,
        "profit_loss_for_period": null,
        "file_type": "html",
        "parse_error": "",
        "source_zip": "Accounts_Monthly_Data-February2017.zip"
      },
      {
        "url": "/company/09005913/accounts/2015-04-30",
        "pdf_url": "/company/09005913/accounts/2015-04-30.pdf",
        "made_up_date": "2015-04-30",
        "period_start": "2015-04-30",
        "period_end": "2015-04-30",
        "entity_name": "CT GFX Ltd",
        "dormant": false,
        "average_employees": null,
        "tangible_fixed_assets": "839.00",
        "debtors": "268.00",
        "cash_bank_in_hand": "27986.00",
        "current_assets": "28254.00",
        "creditors_due_within_one_year": "16514.00",
        "creditors_due_after_one_year": null,
        "net_current_assets_liabilities": "11740.00",
        "total_assets_less_current_liabilities": "12579.00",
        "net_assets_liabilities": "12411.00",
        "called_up_share_capital": "100.00",
        "profit_loss_account_reserve": "12311.00",
        "shareholder_funds": "12411.00",
        "turnover": null,
        "other_operating_income": null,
        "cost_sales": null,
        "gross_profit_loss": null,
        "administrative_expenses": null,
        "raw_materials_consumables": null,
        "staff_costs": null,
        "depreciation_written_off": null,
        "other_operating_charges": null,
        "operating_profit_loss": null,
        "profit_before_tax": null,
        "tax_on_profit": null,
        "profit_loss_for_period": null,
        "file_type": "html",
        "parse_error": "",
        "source_zip": "Accounts_Monthly_Data-January2016.zip"
      }
    ],
    "pdf_only_filings": [],
    "filing_history_url": "https://find-and-update.company-information.service.gov.uk/company/09005913/filing-history"
  },
  "confirmation_statement": {
    "next_due": "2027-06-06",
    "last_made_up": "2026-05-23"
  },
  "officers": [],
  "psc": [
    {
      "name": "Mr Christopher Daniel Tooth",
      "kind": "individual-person-with-significant-control",
      "person_url": "/person/898526",
      "controlling_company_url": null,
      "natures_of_control": [
        "ownership-of-shares-75-to-100-percent"
      ],
      "notified_on": "2016-04-07",
      "ceased_on": null,
      "nationality": "British",
      "country_of_residence": "England",
      "source": "snapshot"
    }
  ],
  "external_links": [],
  "provenance": {
    "source": "snapshot",
    "first_seen_at": "2026-07-05T12:35:35.811816+00:00",
    "last_seen_snapshot": "2026-08-01",
    "retrieved_at": "2026-08-29T21:05:51.028561+00:00"
  },
  "licence": "Open Government Licence v3.0",
  "licence_url": "https://www.nationalarchives.gov.uk/doc/open-government-licence/version/3/",
  "attribution": "Contains public sector information licensed under the Open Government Licence v3.0. Source: Companies House."
}