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Company No. 05106109 · Incorporated 20 Apr 2004

Guild Corporate Services Group Limited

Registered name: GUILD CORPORATE SERVICES GROUP LIMITED

Guild Corporate Services Group Limited made £570m revenue and £2.4m profit in the year to 30 Apr 2025. read from filing text

Guild Corporate Services Group Limited’s revenue fell 6% to £570m in the year to 30 Apr 2025, with £2.4m profit and 61 employees. The company is classified under “other business support service activities” and is based in Pinner; we hold 4 years of its filed accounts.

Full P&L filedSection N · Administrative and support servicesSIC 82990Other business support service activities n.e.c.
Status
Active
Location
Pinner, London
Age
22 yrs · since 2004
Type
Private Limited Company
Latest accounts · year to 30 Apr 2025

Key figures

IndependentCapital-light
Revenue
£570m
Growth ▼5.5%
Profit
£2.4m
Growth ▼14.3%
Profit margin
0.4%
Gross 1.3%
Employees
61
Change ▼1.6%
Profit / employee
£38.7k
Revenue/employee £9.3m
Profitable streak
4yrs
Consecutive profitable years in our data

Badges are automated estimates derived from the filed figures — not statements of fact about the company.

4 filed years

Financial history

Multi-year financials, oldest to newest
Year to29 Apr 202230 Apr 202330 Apr 202430 Apr 2025
DisclosureFull P&Lread from filing textFull P&Lread from filing textFull P&Lread from filing textFull P&Lread from filing text
Profit & loss
Revenue (turnover)£527m£580m£603m£570m
Cost of sales£519m£571m£595m£562m
Gross profit£8.2m£8.3m£8m£7.6m
Operating profit£3.7m£3m£3.3m£2.8m
Profit before tax£3.8m£3.1m£3.7m£3.2m
Profit after tax£3m£2.5m£2.8m£2.4m
Profit (best available)£3m£2.5m£2.8m£2.4m
Employees (average)71686261
Ratios
Profit margin0.6%0.4%0.5%0.4%
Gross margin1.6%1.4%1.3%1.3%
Revenue per employee£7.4m£8.5m£9.7m£9.3m
Profit per employee£42.7k£36.8k£44.4k£38.7k
Growth (year on year)
Revenue growth—▲10%▲4%▼5.5%
Profit growth—▼17.6%▲10.1%▼14.3%
Headcount growth—▼4.2%▼8.8%▼1.6%
Balance sheet — indirect signals, not revenue
Cash at bank£132k£132k£124k£122k
Net assets£808k£799k£793k£789k
Fixed assets£1.3m£1.3m£1.3m£1.3m
Current assets£132k£139k£131k£129k
Debtors£0£0£0£0
SourceAccounts · bulk data Dec 2023Accounts · bulk data Dec 2023FullAccounts · bulk data Jan 2025FullAccounts · bulk data Jan 2026
Derived from the latest filing

How the business works

Profit margin
0.4%
Profit ÷ revenue.
Gross margin
1.3%
Gross profit ÷ revenue. High for software and services.
Revenue per employee
£9.3m
Revenue ÷ average employees.
Profit per employee
£38.7k
Profit ÷ average employees.
Cash conversion
—
Cash generated from operations ÷ operating profit. Needs a cash-flow statement.
Fixed assets ÷ revenue
0.2%
Capital intensity. Low = capital-light, cheaper to start.
Deferred income ÷ revenue
—
Customers paying upfront (subscriptions, deposits). Approximate when combined with accruals.
Debtors ÷ revenue
0%
Money owed by customers. Low = customers pay quickly.
Indirect — not revenue

Balance-sheet signals

Year-on-year changes in filed balance-sheet items. They can hint at momentum (or investment) but are not revenue or profit and must not be read as such.

Net assets
▼1%
Now £789k
Cash at bank
▼1%
Now £122k
Headcount
▼2%
Now 61
Deferred income
—
Now —
Fixed assets
0%
Now £1.3m
Corporate ownership

Group structure

Subsidiaries (5)

From the Persons with Significant Control register (corporate controllers only).

Same industry, similar size

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Industry benchmarks →

Sources

Latest figures from FullAccounts for the year to 30 Apr 2025 (profit £2.4m), from the Companies House accounts bulk data published Jan 2026. Spotted an error? Request a correction.

Updated from Companies House on 11 Oct 2026

Contains public sector information from Companies House licensed under the Open Government Licence v3.0. Data from Companies House, © Crown copyright. View the licence.