This shows the first 200 words that were used for data extraction from the financial statement.
=== PAGE 1 === Profit and Loss Sanders Group Limited For the year ended 28 February 2026 2026 2025 Turnover Sales 53,828.70 25,799.00 Sales - recharges 768.60 1,741.50 Total Turnover 54,597.30 27,540.50 Cost of Sales Cost of Goods Sold 100.40 Total Cost of Sales 100.40 Gross Profit 54,496.90 27,540.50 Administrative Costs Advertising & Marketing 83.33 482.33 Audit & Accountancy fees 1,007.80 550.75 Bank Fees 48.00 96.00 Corporation Tax 100.00 Depreciation Expense 434.03 Directors' Remuneration 12,000.00 12,000.00 Employers National Insurance 1,038.00 262.20 General Expenses 376.00 35.00 IT Software and Consumables 294.34 723.14 Travel - National 1,741.50 Total Administrative Costs 14,947.47 16,324.95 Operating Profit 39,549.43 11,215.55 Profit on Ordinary Activities Before Taxation 39,549.43 11,215.55 Profit after Taxation 39,549.43 11,215.55 Profit and Loss Sanders Group Limited 8 May 2026 Page 1 of 1