monva plans to be an intelligent comparison platform for financial products and services. Approved by the FCA with over 15k people using their testing sites, monva is now ready to launch. Founding team are formerly of MoneySuperMarket.com and MBNA and are aiming to provide access to smart  comparison services.

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Financial data drawn from last filed accounts don't necessarily reflect current trading activity. Financials provided by Company Check.

Accounts

2019 2020 2021
Turnover - - -
Cash £0 £0 £0
Increase in Cash - - -

Profit & Loss

2019 2020 2021
Audit Fees £0 £0 £0
Cost of Sales - - -
Depreciation - - -
Directors Emoluments - - -
Dividends - - -
Export - - -
Gross Profit - - -
Interest Payments - - -
Operating Profit - - -
Pretax Profit - - -
Profit after Tax - - -
Retained Profit - - -
Taxation - - -
Turnover - - -
Wages & Salaries - - -

Balance Sheet

2019 2020 2021
Intangible Assets £0 £0 £0
Bank Loans & Overdrafts £0 £0 £0
Cash £0 £0 £0
Miscellaneous Current Assets £0 £0 £0
Miscellaneous Current Liabilities £0 £0 £0
Other Debtors £0 £5.74k £2.79k
Other Long Term Finance £0 £0 £0
Other Short Term Finance £0 £0 £0
Stock £0 £0 £0
Tangible Accounts £50.74k £78.99k £57.89k
Total Current Assets £139.92k £473.19k £109.89k
Total Current Liabilities £12.47k £14.18k £36.93k
Total Fixed Assets £50.74k £78.99k £57.89k
Total Long Term Finance £9.36k £24k £15.8k
Trade Creditors £12.47k £14.18k £36.93k
Trade Debtors £139.92k £467.45k £107.1k

Capital & Reserves

2019 2020 2021
Profit & Loss Account Reserve £168.83k £514k £115.05k
Called up share capital £0 £0 £0
Revaluation Reserve £0 £0 £0
Shareholder Funds £168.83k £514k £115.05k
Sundry Reserves £0 £0 £0

Cash

2019 2020 2021
Increase in Cash - - -
Net Cash Flow Before Financing £0 £0 £0
Net Cash Flow From Financing - - -
Net Cash Flow From Operations - - -

Other Financials

2019 2020 2021
Net Assets £168.83k £514k £115.05k
Net Worth £168.83k £514k £115.05k
Total Assets £190.66k £552.18k £167.78k
Total Liabilities £21.83k £38.18k £52.73k
Working Capital £127.45k £459k £72.96k

Ratios

2019 2020 2021
Creditor Days 0% 0% 0%
Current Debt Ratio 0.07% 0.02% 0.32%
Current Ratio 11.22% 33.36% 2.98%
Debtor Days 0% 0% 0%
Equity In Percentage 88.5% 93.1% 68.6%
Gearing 5.5% 4.7% 13.7%
Liquidity Ratio Or Acid Test 11.22% 33.36% 2.97%
Pre Tax Profit Margin 0% 0% 0%
Return On Capital Employed 0% 0% 0%
Return On Net Assets Employed 0% 0% 0%
Return On Total Assets Employed 0% 0% 0%
Sales Or Net Working Capital 0% 0% 0%
Stock Turnover Ratio 0% 0% 0%
Total Debt Ratio 0.12% 0.07% 0.45%