Dec to Spec Limited

Active Private Limited Company 14 yrs old Micro

Company No: 07894921 | Incorporated: Mar 1, 2012 | Origin: United Kingdom

WARE, HERTFORDSHIRE, UNITED KINGDOM

Graph
Feb 1, 2026
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Turnover

Not available

No turnover reported
Employees

3

+0.0%
Net Assets

£ 55,589.00

+804.1%
Tech Score

Not profiled

Technology signals unavailable
No Insights Yet

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Business Overview
Primary Industry
Construction
SIC Codes
  • 43341 Painting
Target Markets
Private Markets Construction B2B
Key Capabilities

Technology insights not yet captured.

Contact Details

No direct contact information available.

Locations
Registered Office
1ST and 2ND Floor
2 West Street
Ware
Hertfordshire
SG12 9EE
United Kingdom
Trading Addresses
2 Westgate House
West Street
Ware
SG12 9EE
Postcode coverage: SG12 9EE Explore Location
Local Authority: HERTFORDSHIRE
Technology Profile
Infrastructure

No infrastructure signals detected.

Development Stack

Frontend stack not detected.

Capability Scores
Security N/A
Performance N/A
Modern Stack N/A
Associated Websites

No associated websites recorded.

Key People
2 total
MR MARK CARTHY
Active
Director Painting Contractor
BRITISH
Appointed Jan 2012
View
PAULA JANE CARTHY
Active
Secretary
Appointed Feb 2014
View
People with Significant Control (PSC)
Mr Mark Carthy
Individual
Notified Apr 2016
Ownership Rights (25 to 50%) Voting Rights (25 to 50%)
View
Mrs Paula Jane Carthy
Individual
Notified Apr 2016
Ownership Rights (25 to 50%) Voting Rights (25 to 50%)
View
Shareholders

Shareholder information not available.

Corporate Structure
Parent Company
No parent recorded.
Subsidiaries
No subsidiaries disclosed.
Sister Companies
No sister companies recorded.
Financial Performance
Year ending Mar 2025
Operating Profit Not available
EBITDA Not available
Cash £ 57,129.00 -1,639.6%
Key Ratios
Current Ratio 5.35
Quick Ratio 5.35
Debt to Equity 0.19
Gross Profit Margin -
Net Profit Margin -
Return on Assets 0%
01/04/2024 to 31/03/2025
Filed 31/03/2025 • 12 month period
Filleted Accounts 3 employees +0.0%
Profit & Loss YoY
Turnover£ --
Cost of Sales£ --
Gross Profit£ --
Operating Profit£ --
EBITDA£ --
Net Profit£ --
Depreciation£ --
Amortisation£ --
Interest Payments£ --
Total Staff Costs£ --
Wages & Salaries£ --
Social Security£ --
Pension Costs£ --
Director Emoluments£ --
Other Staff Costs£ --
Audit Fees£ --
Non-Audit Fees£ --
Balance Sheet YoY
Total Assets£ 79,055+6.6%
Fixed Assets£ 21,674+274.0%
Current Assets£ 57,381-16.0%
Cash£ 57,129-16.4%
Debtors£ 252-
Stock£ --
Total Liabilities£ 10,727-52.7%
Current Liabilities£ 10,727-52.7%
Long Term Liabilities£ --
Net Assets / Equity£ 55,589+8.0%
Share Capital£ 100+0.0%
Reserves£ --
Ratios
Current Ratio5.35
Quick Ratio5.35
Debt to Equity0.19
Gross Profit Margin-
Net Profit Margin-
Operating Margin-
Return on Assets0%
Return on Capital0%
Interest Coverage-
Working Capital£ 46,654+2.2%
Asset Turnover-
Debtor Days-
Creditor Days-
Stock Turnover Days-
01/04/2023 to 31/03/2024
Filed 31/03/2024 • 12 month period
Filleted Accounts 3 employees +0.0%
Profit & Loss YoY
Turnover£ --
Cost of Sales£ --
Gross Profit£ --
Operating Profit£ --
EBITDA£ --
Net Profit£ --
Depreciation£ --
Amortisation£ --
Interest Payments£ --
Total Staff Costs£ --
Wages & Salaries£ --
Social Security£ --
Pension Costs£ --
Director Emoluments£ --
Other Staff Costs£ --
Audit Fees£ --
Non-Audit Fees£ --
Balance Sheet YoY
Total Assets£ 74,128+20.2%
Fixed Assets£ 5,795-26.5%
Current Assets£ 68,333+27.1%
Cash£ 68,333+27.1%
Debtors£ --
Stock£ --
Total Liabilities£ 22,676-29.1%
Current Liabilities£ 22,676-29.1%
Long Term Liabilities£ --
Net Assets / Equity£ 51,452+73.5%
Share Capital£ 100+0.0%
Reserves£ --
Ratios
Current Ratio3.01
Quick Ratio3.01
Debt to Equity0.44
Gross Profit Margin-
Net Profit Margin-
Operating Margin-
Return on Assets0%
Return on Capital0%
Interest Coverage-
Working Capital£ 45,657+109.8%
Asset Turnover-
Debtor Days-
Creditor Days-
Stock Turnover Days-
01/04/2022 to 31/03/2023
Filed 31/03/2023 • 12 month period
Filleted Accounts 3 employees +0.0%
Profit & Loss YoY
Turnover£ --
Cost of Sales£ --
Gross Profit£ --
Operating Profit£ --
EBITDA£ --
Net Profit£ --
Depreciation£ --
Amortisation£ --
Interest Payments£ --
Total Staff Costs£ --
Wages & Salaries£ --
Social Security£ --
Pension Costs£ --
Director Emoluments£ --
Other Staff Costs£ --
Audit Fees£ --
Non-Audit Fees£ --
Balance Sheet YoY
Total Assets£ 61,653+32.0%
Fixed Assets£ 7,887-26.5%
Current Assets£ 53,766+49.5%
Cash£ 53,766+60.9%
Debtors£ --
Stock£ --
Total Liabilities£ 32,004-13.8%
Current Liabilities£ 32,004-13.8%
Long Term Liabilities£ --
Net Assets / Equity£ 29,649+210.4%
Share Capital£ 100+0.0%
Reserves£ --
Ratios
Current Ratio1.68
Quick Ratio1.68
Debt to Equity1.08
Gross Profit Margin-
Net Profit Margin-
Operating Margin-
Return on Assets0%
Return on Capital0%
Interest Coverage-
Working Capital£ 21,762+1,936.5%
Asset Turnover-
Debtor Days-
Creditor Days-
Stock Turnover Days-
01/04/2021 to 31/03/2022
Filed 31/03/2022 • 12 month period
Abbreviated Accounts 3 employees +0.0%
Profit & Loss YoY
Turnover£ --
Cost of Sales£ --
Gross Profit£ --
Operating Profit£ --
EBITDA£ --
Net Profit£ --
Depreciation£ 3,980-15.7%
Amortisation£ --
Interest Payments£ --
Total Staff Costs£ --
Wages & Salaries£ --
Social Security£ --
Pension Costs£ --
Director Emoluments£ --
Other Staff Costs£ --
Audit Fees£ --
Non-Audit Fees£ --
Balance Sheet YoY
Total Assets£ 46,698-2.6%
Fixed Assets£ 10,736-27.0%
Current Assets£ 35,962+8.1%
Cash£ 33,415+3.7%
Debtors£ 2,547+145.6%
Stock£ --
Total Liabilities£ 37,147-12.4%
Current Liabilities£ 37,147-12.4%
Long Term Liabilities£ --
Net Assets / Equity£ 9,551+71.7%
Share Capital£ 100+0.0%
Reserves£ --
Ratios
Current Ratio0.97
Quick Ratio0.97
Debt to Equity3.89
Gross Profit Margin-
Net Profit Margin-
Operating Margin-
Return on Assets0%
Return on Capital0%
Interest Coverage-
Working Capital£ -1,185+87.1%
Asset Turnover-
Debtor Days-
Creditor Days-
Stock Turnover Days-
01/04/2020 to 31/03/2021
Filed 31/03/2021 • 12 month period
Abbreviated Accounts 3 employees
Profit & Loss YoY
Turnover£ --
Cost of Sales£ --
Gross Profit£ --
Operating Profit£ --
EBITDA£ --
Net Profit£ --
Depreciation£ 4,722-
Amortisation£ --
Interest Payments£ --
Total Staff Costs£ --
Wages & Salaries£ --
Social Security£ --
Pension Costs£ --
Director Emoluments£ --
Other Staff Costs£ --
Audit Fees£ --
Non-Audit Fees£ --
Balance Sheet YoY
Total Assets£ 47,969-
Fixed Assets£ 14,716-
Current Assets£ 33,253-
Cash£ 32,216-
Debtors£ 1,037-
Stock£ --
Total Liabilities£ 42,405-
Current Liabilities£ 42,405-
Long Term Liabilities£ --
Net Assets / Equity£ 5,564-
Share Capital£ 100-
Reserves£ --
Ratios
Current Ratio0.78
Quick Ratio0.78
Debt to Equity7.62
Gross Profit Margin-
Net Profit Margin-
Operating Margin-
Return on Assets0%
Return on Capital0%
Interest Coverage-
Working Capital£ -9,152-
Asset Turnover-
Debtor Days-
Creditor Days-
Stock Turnover Days-
Financial Profile
Rating
N/A
Score: -
Risk Category
Not supplied
Charges present: No
Suggested Credit Limit
£ -
Payment Behaviour
No payment behaviour data captured.
Financial Health Indicators
  • Days to pay average: -
  • Debt to asset ratio: -
Credit Events

No material credit events reported.

This profile is generated from publicly available data and does not constitute a credit rating or financial advice.

Compliance & Filings
Fully Compliant Compliant Filings last year: 0 • Late: 0 • Last filing: 63 days ago
Persons with Significant Control recorded: 2
Last Accounts Filed
Mar 2025
Type: Total Exemption Full
Next Accounts Due
Not scheduled
Status: On time
Confirmation Statement
Last: Mar 2026
Next due: Not scheduled
Charges & Mortgages
0 total charges
0 outstanding • 0 satisfied
Regulatory Requirements & Eligibility
Audit Required
Micro Entity Eligible
Small Company Regime
Audit Exemption Eligible
Dormant Company
PSC Register Required
PSC Info Filed
Recent Filings
Confirmation Submitted
Mar 2026 • 2 mos ago

Confirmation statement submitted on 01/03/2026

Filing
Address Change
Sept 2022 • 3 yrs ago

6 address fields changed

Address
Postal Code
EN10 6LH SG12 9EE
Country
(empty) UNITED KINGDOM
County
(empty) HERTFORDSHIRE
Post Town
BROXBOURNE WARE
Dependent Locality
(empty) 2 WEST STREET
Thoroughfare Descriptor
43 ST LAURENCE DRIVE 1ST AND 2ND FLOOR
Audit & Assurance
Audit Firm
Unknown
Latest Accounts Reviewed
Mar 2025
Audit Required: No
Exemption Status
Yes
Micro Entity
Exemption reason: Qualifies as micro-entity under Companies Act 2006 (Section 477) Since Mar 2025

No historical auditor changes recorded.

Funding History

No funding history recorded.

Activity
Confirmation Submitted
Mar 2026 • 2 mos ago

Confirmation statement submitted on 01/03/2026

Filing
Address Change
Sept 2022 • 3 yrs ago

6 address fields changed

Address
Postal Code
EN10 6LH SG12 9EE
Country
(empty) UNITED KINGDOM
County
(empty) HERTFORDSHIRE
Post Town
BROXBOURNE WARE
Dependent Locality
(empty) 2 WEST STREET
Thoroughfare Descriptor
43 ST LAURENCE DRIVE 1ST AND 2ND FLOOR
Accounts Data Changed
Jul 2021 • 4 yrs ago

Director Name changed

Financial
Director Name
M Carthy Mr Mark Carthy
Accounts Data Changed
Sept 2018 • 7 yrs ago

Is Dormant changed

Financial
Is Dormant
(empty) No
Accounts Data Changed
Nov 2017 • 8 yrs ago

Director Name changed

Financial
Director Name
Mark Carthy M Carthy
Documents