Back to search

International Magic Group Limited

10623282

active
Private Limited Company
Companies House
Health Score
90 / 100

Healthy

30/30
Filing
20/30
Financial
40/40
Risk

No risk factors detected.

Details

14 FAIRFIELD PARK ROAD, BATH, BA1 6JN
Incorporated 16/02/2017

Compliance

Accounts

Up to date

Confirmation statement

Up to date

Industry

90030
Artistic creation
96090
Other personal service activities

Officers

Mr Stefan Endress

director · Since 16/02/2017

CREATIVE DIRECTOR

GERMAN · GERMANY · Age 39

Mr Adam Rodgers

director · Since 16/02/2017

CREATIVE DIRECTOR

BRITISH · UNITED KINGDOM · Age 47

Also on 1 other board

Persons with Significant Control

Mr Adam Rodgers

25–50% shares

British · England · Age 47

Top Floor , 5 Princes Buildings, George Street, Bath, BA1 2ED

Notified 16/02/2017

Mr Stefan Endress

25–50% shares

German · Germany · Age 39

Riemerschmidstr. 5b, 90455, Nürnberg

Notified 16/02/2017

CompanyRankvs 5092+ SIC 90030 peers
68

Financial strength87th percentile among SIC peers · 22/25
Employees15th percentile among SIC peers · 2/15
LiquidityCurrent ratio 2.72× · 20/20
Longevity9 years trading (max 15) · 9/15
Filing complianceAll filings up to date · 15/15
Show leaderboard
How is this score calculated?
Financial strength22/25 pts

Net worth compared to all companies in the same SIC code with published accounts. Top quartile earns the full 25 points.

Employees2/15 pts

Workforce size relative to sector peers from the most recent accounts. A larger team generally signals commercial scale.

Liquidity20/20 pts

Current assets ÷ current liabilities. A ratio above 2× earns full marks; between 1–2× scores partially; below 0.5× scores minimal points.

Longevity9/15 pts

One point per year of operation since incorporation, capped at 15. Older companies have a proven track record.

Filing compliance15/15 pts

Full 15 points when both annual accounts and confirmation statement are filed on time. Points are deducted for each overdue filing.

Maximum score is 100. Deductions apply for insolvency history, outstanding charges, going concern doubt, or disqualified officers.

Key FinancialsYear ending 28/02/2025

Net Worth

£58k

Balance sheet strength

Cash

£106

Cash in the bank

Net Current Assets

£50k

Working capital

Current Assets

£79k

Current Liabilities

£29k

Fixed Assets

£8k

Debtors

£79k

Profit After Tax

£129k

0avg. employees-2

Tax at Year End

Corp tax£16k
VAT£1k
Dividends paid£42k

Balance Sheet

Assets less current liabilities£58k
Prepared with Capium Accounts Production

EstimatesDerived

YearCurrent RatioImplied ProfitEst. Revenue
20252.72-£7k£23k
20242.82-£171k£23k
20234.03+£21k£6k
20223.24+£161k£542k
20211.73+£71k
20200.76+£7k
20190.42

Derived from filed accounts. Not audited figures.