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Refeyn Ltd C/o penningtons manches llp 9400 garsington road oxford business park, Oxford, OX4 2HN

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REFEYN LTD is an active Private Limited Company, registered at Companies House under the number 11333643. REFEYN LTD was incorporated on 27 April 2018 with a registered office address based in Oxford. REFEYN LTD has been operating for 7 year(s) and 1 month(s). According to the latest confirmation statement submitted on 26 April 2024, there is currently 14 active director(s) and activities related to the SIC Code 74909 - Other professional.

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Name Change

Refeyn Ltd

Status Change

ACTIVE

Active since incorporation

Confirmation File Now

DUE SOON

Last submitted on 26 April 2024 (13 months ago)

Next confirmation dated 26 April 2025

Due by 10 May 2025 (0 months remaining)

1 change of name occurred since incorporation

Accounts File Now

Submitted

Last accounts submitted for period 30 June 2024 (11 months ago)

Accounts type was Group

Next accounts dated 30 June 2025

Due by 31 March 2026

Company No.

11333643

Private Limited Company with Share Capital

Incorporation

27 April 2018

Incorporated 7 year(s) and 1 month(s) ago

Size

---

Classification Change

74909 - Other professional

Update Address

Registered Address

C/O Penningtons Manches Llp 9400 Garsington Road Oxford Business Park
Oxford
OX4 2HN

Country of Origin

United Kingdom

Update Active Officers (7)

ACTIVE

Professor Philipp Kukura
Appointed on: 25 /06 /2018 - Professor Of Chemistry German,British

ACTIVE

David Jonathan Flint
Appointed on: 24 /06 /2019 - Company Director British

ACTIVE

Andrea Liapis Jackson
Appointed on: 09 /11 /2020 - Principal American

ACTIVE

Mr Jean Paul Mangeolle
Appointed on: 08 /08 /2022 - Company Director American

ACTIVE

Mr Charalambos Alexis Zervoglos
Appointed on: 10 /08 /2022 - Director Greek

ACTIVE

Dr Heather Elaine Roxborough
Appointed on: 02 /03 /2023 - Investment Partner British

ACTIVE

Mr John Gerard Mackay
Appointed on: 01 /01 /2024 - Chief Executive Officer British

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Financials

Financial chart here

Year Ended

Jun 2024

Total Liabilities

£-2,758.41k

Cash in Bank

£2,633.39k

£+787.93k (+70.08%) vs previous year

Debt Ratio (%)

184.71%

Total Assets

£7,315.82k

£+2,439.76k (+150.04%) vs previous year

Net Assets

£4,682.43k

£+2,439.76k (+208.79%) vs previous year

Employees

-

Turnover

-
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