UK Data Ltd Full Report

OFFICE DEPOT INTERNATIONAL (UK) LIMITED

Statutory Information

Previous Name(s):

VIKING DIRECT LIMITED (until  25/05/2000)

VASTSWIFT LIMITED (until  15/03/1990)

Registered Number: 02472621
Incorporation Date: 21/02/1990
Registered Office: BURSOM INDUSTRIAL PARK
  TOLWELL ROAD
  LEICESTER
  LE4 1BR
Latest Filed Accounts: 25/12/2004 Date Accounts Lodged: 04/11/2005
Analysed Accounts: 25/12/2004 Accounts Ref. Date: 29/12
Latest Annual Return: 21/02/2005 Issued Capital:  (GBP) 1,365,957
Company Status: Large Type of Accounts: Full Accounts

Directory Information

Trading Address: -
Telephone Number: - Fax Number: -
Region: EAST MIDLANDS
Bankers: 16-23-21 ROYAL BANK OF SCOT 
Auditors: Deloitte & Touche LLP
Audit Opinion or Qualification: The Auditors have expressed a clean opinion (i.e. unqualified with no referrals) on the accounts for the period ended 25/12/2004.
Principal Activities: The distribution of office supplies by mail order and from telephone, internet and facsimile order.

UK SIC Code(s): 52610 Retail sale via mail order houses

Risk Information

Risk Score

Credit Limit (GBP)

Todays: 74 Todays: 4,250,000
Previous: 73  until (23/12/2005) Previous: 4,250,000  until (23/12/2005)
Historical Trend Contract Limit (GBP): 60,000,000
  73 until (25/12/2004)  
  79 until (27/12/2003)  
  49 until (28/12/2002)  
  79 until (29/12/2001)  
Score Key
1 - 35 Caution. High Risk Potential.
36 - 50 Caution. Moderate Risk Potential. Measured Exposure.
51 - 60 Normal. Limited Risk Potential. Normal Terms.
61 - 100 Confidence. Low Risk Potential.

Based on standard Companies House filing requirements the latest and previous accounts were both late in being filed.

However, it should be noted that the company successfully applied for a 3 month extension to these normal filing requirements.

The company has been established for more than 16 years.

The period to 25/12/2004 saw a slight increase in Sales from £434,337,000 to £441,519,000.

Losses increased from £4,463,000 to £5,471,000.

The resultant Profit Margin of -1.24% (previous = -1.03%) compares unfavourably with the industry average of 2.24%.

Shareholders Funds decreased from £86,975,000 to £82,503,000, whilst Total Assets increased from £251,599,000 to £275,667,000.

The resultant Gearing Ratio of 0.30 (Previous = 0.35) compares unfavourably with the industry average of 0.31.

This company operates in a sector which has historically generated a similar level of insolvency relative to the total population.

CCJ information has been linked to this company - please see the list.

County Court Judgments Summary: Number of exact unsatisfied CCJs:  1  Totalling: £515.00
  Number of probable unsatisfied CCJs:  None
  Number of possible unsatisfied CCJs:  None

Cumulative Total of Exact CCJs over: 3 Months 6 Months 12 Months
  GBP GBP GBP
Exact Match 0.00 0.00 0.00
Probable Match - - -
Possible Match - - -

Latest Ten Judgments
On 08/02/2003, a judgment of  £515.00 was made in STOCKPORT court (Case No. SK320039) against OFFICE DEPOT INTERNATIONAL (UK) LTD , 6A BENTON OFFICE PARK, BENNETT AVE, BENNETT HILL, HORBURY WAKEFIELD, W YORKS WF4 5HJ, Ref. No. 2102301113 (exact match). 

Ownership

Group Structure
Holding Company: 02691521 - VIKING DIRECT (HOLDINGS) LIMITED
Ultimate Holding Company: OFFICE DEPOT INC. [United States of America]

All immediate shareholdings on UK Data Ltd's Database by Turnover
None
Share Capital Structure
Class of Shares Par Value (pence) Number of Shares Issued Capital
ORDINARY 100.000 1365957 1,365,957
Total Issued Capital £1,365,957
Shareholders
Shareholder Name & Address Share Class No. of Shares Issued Capital (£) Shareholding No.

VIKING DIRECT (HOLDINGS) LIMITED

Bursom Industrial Park,

Tollwell Road,

Leicester,

LE4 1BR

ORDINARY 1,365,957 1,365,957 1

Profit & Loss Account

Date of Accounts 25/12/2004 27/12/2003 28/12/2002 29/12/2001 30/12/2000
Consolidated N N N N N
Subsidiary Y Y Y Y Y
No. of Weeks 52 52 52 52 53
Currency (GBP '000) (GBP '000) (GBP '000) (GBP '000) (GBP '000)
Audit Qual./Comment No No No No No
   
Turnover [1] 441,519 434,337 391,558 357,751 327,266
Cost of Sales 294,392 280,897 254,455 230,703 192,761
Gross Profit 147,127 153,440 137,103 127,048 134,505
Operating Profit [2] 20,182 22,250 25,186 42,840 49,681
Non-Trading Income -21,408 -20,765 -16,613 -16,203 -8,803
Interest Payable 4,245 5,948 5,696 5,119 4,242
Pre-Tax Profit -5,471 -4,463 2,877 21,518 36,636
Taxation 1,917 -1,627 2,108 6,632 10,912
Profit After Tax -7,388 -2,836 769 14,886 25,724
Retained Profit -7,388 -2,836 769 -114 724
   
Value Added 70,410 67,221 64,314 74,532 74,036

Balance Sheet

Date of Accounts 25/12/2004 27/12/2003 28/12/2002 29/12/2001 30/12/2000
Consolidated N N N N N
Subsidiary Y Y Y Y Y
No. of Weeks 52 52 52 52 53
Currency (GBP '000) (GBP '000) (GBP '000) (GBP '000) (GBP '000)
   
Tangible Fixed Assets [3] 86,719 111,542 111,719 116,642 132,517
Intangible Assets 0 0 0 0 0
Total Fixed Assets 86,719 111,542 111,719 116,642 132,517
   
Stocks 5,904 4,660 3,343 510 43
Trade Debtors 50,750 53,126 48,925 40,058 39,723
Cash 70,059 23,367 64,339 10,943 9,616
Miscellaneous Current Assets [4] 62,235 58,904 17,736 17,087 7,942
Total Current Assets 188,948 140,057 134,343 68,598 57,324
   
Creditors: Amounts falling due within 1 year [5] 193,164 162,737 164,873 114,619 116,785
   
Total Assets less Current Liabilities 82,503 88,862 81,189 70,621 73,056
   
Total Liabilities 193,164 164,624 167,037 115,217 117,383
   
Share Capital & Reserves [7] 53,823 53,823 53,823 53,823 53,823
P & L Account Reserve 28,680 33,152 25,202 16,200 18,635
Revaluation Reserve 0 0 0 0 0
Shareholders Funds 82,503 86,975 79,025 70,023 72,458
Capital Employed 82,503 88,862 81,189 70,621 73,056
   
Net Worth 82,503 86,975 79,025 70,023 72,458
Working Capital -4,216 -22,680 -30,530 -46,021 -59,461
   
Contingent Liabilities 0 0 0 0 0

Cash Flow

Date of Accounts 25/12/2004 27/12/2003 28/12/2002 29/12/2001 30/12/2000
Consolidated N N N N N
Subsidiary Y Y Y Y Y
No. of Weeks 52 52 52 52 53
Currency (GBP '000) (GBP '000) (GBP '000) (GBP '000) (GBP '000)
   
Net Cash Flow from Operating Activities - - - - -
Net Cash Flow from Return on Investment and Servicing of Finance - - - - -
Net Cash Flow before Financing - - - - -
Net Cash Flow from Financing - - - - -
Increase in cash - - - - -

Account Notes

Date of Accounts 25/12/2004 27/12/2003 28/12/2002 29/12/2001 30/12/2000
Consolidated N N N N N
Subsidiary Y Y Y Y Y
No. of Weeks 52 52 52 52 53
Currency (GBP '000) (GBP '000) (GBP '000) (GBP '000) (GBP '000)
   
[2] Operating Profit is after charging the following  
Employees Remuneration 35,988 35,534 30,827 24,937 18,461
Directors Remuneration 456 345 343 478 686
Audit Fees 59 70 60 55 47
Non-Audit Fees 51 104 87 35 35
Depreciation 10,497 5,741 5,095 4,162 3,974
   
Average Number of Employees (actual) 1,734 1,801 1,549 1,355 1,031
   
[3] Tangible Assets consist of  
Fixed Assets 39,150 41,812 34,050 29,094 25,379
Intermediate Assets 47,569 69,730 77,669 87,548 107,138
which includes:  
-Due from Group, Non-Current 0 0 0 0 0
   
[4] Miscellaneous Current Assets includes:  
-Due from Group, Current 54,449 42,376 1,459 7,269 1,403
   
[5] Creditors: Amounts falling due within one year consists of:  
Trade Creditors 21,850 17,276 15,534 8,614 6,027
a Bank Overdraft 0 0 0 0 0
Miscellaneous Current Liabilities includes: 171,314 145,461 149,339 106,005 110,758
b -Bank Loans - Current Portion 0 0 0 0 0
c Other Short-Term Finance, including: 165,999 137,927 141,587 100,989 104,029
-Due to Group, Current 165,999 137,927 141,587 100,989 104,029
-Due to Directors, Current 0 0 0 0 0
   
Short-Term Loans (a+b+c) 165,999 137,927 141,587 100,989 104,029
   
[6] Total Long-Term Liabilities consists of:  
Long-Term Loans, which consists of: 0 0 0 0 0
-Long-Term Bank Loans 0 0 0 0 0
-Other Long-Term Finance including: 0 0 0 0 0
-Due to Group, Non-Current 0 0 0 0 0
-Due to Directors, Non-Current 0 0 0 0 0
Other Long-Term Liabilities 0 1,887 2,164 598 598
   
[7] Share Capital and Reserves consists of:  
Called-up Share Capital 1,366 1,366 1,366 1,366 1,366
Sundry Reserves 52,457 52,457 52,457 52,457 52,457

Ratios

Date of Accounts 25/12/2004 27/12/2003 28/12/2002 29/12/2001 30/12/2000
Acid Ratio 0.95 0.83 0.79 0.59 0.49
Profit/Capital Employed -6.63 -5.02 3.54 30.47 49.20
Current Liquidity 0.98 0.86 0.81 0.60 0.49
Profit/Sales (%) -1.24 -1.03 0.73 6.01 11.19
Interest Burden -346.25 400.54 66.44 19.22 10.38
Stock Turnover (days) 4.88 3.92 3.12 0.52 0.05
Days Sales Outstanding (DSO) 41.95 44.65 45.61 40.87 45.16
Cash Cycle (days) 46.84 48.56 48.72 41.39 45.20
Days Purchases Outstanding (DPO) 27.09 22.45 22.28 13.63 11.63
Creditor Days 18.06 14.52 14.48 8.79 6.85
Profit/Total Assets (%) -1.98 -1.77 1.17 11.62 18.93
Profit/ Shareholders Funds (%) -6.63 -5.13 3.64 30.73 49.61
Sales/Total Assets (%) 160.16 172.63 159.13 193.13 169.14
Sales/Fixed Assets 11.28 10.39 11.50 12.30 12.65
Working Capital/Sales (%) -0.95 -5.22 -7.80 -12.86 -18.52
Total Debt/Net worth (%) 201.20 158.58 179.17 144.22 143.57
Shareholders Funds/Total Assets 0.30 0.35 0.32 0.38 0.38
Long-term Debt/Net Worth (%) 0.00 0.00 0.00 0.00 0.00
Interest/Pre-interest Profit -346.25 400.54 66.44 19.22 10.38
Total Debt/Working Capital (%) -39.37 -6.08 -4.64 -2.19 -1.75
Average Employee Remuneration (�) 20,754 19,730 19,901 18,404 17,568
Wages/Sales (%) 8.15 8.18 7.87 6.97 5.64
Profit per Employee (�) -3,155 -2,478 1,857 15,880 34,864
Sales per Employee (�) 254,625 241,164 252,781 264,023 311,437
Capital Employed per Employee (�) 47,580 49,340 52,414 52,119 70,859
Total Fixed Assets per Employee (�) 50,011 61,933 72,123 86,083 128,532
Total Assets per Employee (�) 158,978 139,700 158,852 136,708 184,133
Creditors/Debtors 0.43 0.33 0.32 0.22 0.15
Debtors/Total Assets (%) 18.41 21.12 19.88 21.62 20.92
Current Liabilities/Stocks 32.72 34.92 49.32 224.74 2,715.93
Exports/Sales (%) 8.69 6.64 2.60 0.41 0.10
Sales/Audit Fees 7,483.37 6,204.81 6,525.97 6,504.56 6,831.73
Total Assets/ Audit Fees 4,672.32 3,594.27 4,101.03 3,368.00 4,039.17

Growth Rates

  1 year 2 year 3 year 4 year
Turnover 1.7 12.8 23.4 36.8
Pre-tax Profit - - - -
Audit Fees -15.7 -1.7 7.3 25.5
Directors Remuneration 32.2 32.9 -4.6 -31.6
Number of Employees -3.7 11.9 28.0 68.2
Employees Remuneration 1.3 16.7 44.3 96.8
Fixed Assets -6.4 15.0 34.6 54.3
Tangible Assets -22.3 -22.4 -25.7 -34.6
Total Fixed Assets -22.3 -22.4 -25.7 -34.6
Stocks 26.7 76.6 1,057.6 13,630.2
Trade Debtors -4.5 3.7 26.7 27.8
Total Current Assets 34.9 40.6 175.4 229.6
Total Assets 9.6 12.0 48.8 45.2
Trade Creditors 26.5 40.7 153.7 262.5
Short-Term Loans 20.4 17.2 64.4 59.6
Total Current Liabilities 18.7 17.2 68.5 65.4
Net Cash 199.8 8.9 540.2 628.6
Shareholders Funds -5.1 4.4 17.8 13.9
Net Worth -5.1 4.4 17.8 13.9
Long-Term Loans - - - -
Long-Term Liabilities -100.0 -100.0 -100.0 -100.0
Capital Employed -7.2 1.6 16.8 12.9

Company/Industry Comparison

This comparison is based on the results of 1242 companies in the same industrial sector: 52610 Retail sale via mail order houses

  Company Industry Averages
  25/12/2004 Lower Median Upper
Performance  
Profit/Sales (%) -1.24 -6.86 2.24 10.38
Profit/Capital Employed (%) -6.63 0.00 24.00 89.42
Profit/Total Assets (%) -1.98 -13.48 5.32 23.57
Profit/Shareholders Funds (%) -6.63 1.47 39.05 100.00
Turnover  
Sales/Total Assets (%) 160.16 102.59 220.00 365.32
Sales/Fixed Assets (%) 11.28 10.19 29.81 108.21
Working Capital/Sales (%) -0.95 15.38 2.91 -13.75
Stock Turnover (days) 4.88 121.00 52.00 24.00
Credit Period (days) 41.95 33.18 5.59 0.00
Creditor Days 18.06 46.20 18.56 0.00
Liquidity  
Current Ratio 0.98 0.50 1.00 1.55
Liquidity Ratio 0.95 0.16 0.60 1.06
Gearing  
Total Debt/Net Worth (%) 201.20 100.97 26.38 0.57
Shareholders Funds/Total Assets 0.30 0.11 0.31 0.56
Long Term Debt/Net Worth (%) 0.00 6.16 0.00 0.00
Interest/Pre-interest Profit -346.25 7.70 0.26 0.00
Total Debt/Working Capital -39.37 1.10 0.23 0.00
Employee  
Average Employee Remuneration (�) 20,754 12,942 18,268 25,019
Wages/Sales (%) 8.15 17.92 12.12 7.40
Profit per Employee (�) -3,155 -1,794 4,253 13,541
Sales per Employee (�) 254,625 77,583 135,329 204,914
Capital Employed per Employee (�) 47,580 2,899 18,220 49,000
Total Fixed Assets per Employee (�) 50,011 1,167 5,751 26,166
Total Assets per Employee (�) 158,978 27,765 65,292 121,790
Other  
Creditors/Debtors 0.43 0.86 2.27 7.12
Debtors/Total Assets (%) 18.41 0.00 7.48 27.55
Current Liabilities/Stocks 32.72 1.14 2.11 4.51
Exports/Sales (%) 8.69 0.00 0.00 1.95
Sales/Audit Fees 7,483.37 400.00 990.33 1,958.62
Total Assets/Audit Fees 4,672.32 157.50 390.66 854.62

Filing History

12/05/2005 Change among the directors of a company
22/12/1998 Resolutions which give, vary, revoke or renew an authority for the purposes of section 80 (allotment of securities)
02/06/1997 Alteration in memorandum or articles of association

Officers

Company Secretaries

JOHN ARTHUR DAVIES
Appointment Date: 06/02/2004
Date of Birth: 09/02/1946
Occupation:  
Address: 1 JUTLAND CRESCENT, ANDOVER, HAMPSHIRE, SP10 4NB
Present Appointment Details:

W.H.HAYDEN & CO.LIMITED  (RISK SCORE=Not scored)

GUILBERT OFREX LIMITED  (RISK SCORE=Not scored)

SANDHURST MARKETING LIMITED  (RISK SCORE=Not scored)

SATEX LIMITED  (RISK SCORE=Not scored)

SANDHURST MARKETING (OFFICE SUPPLIES) LIMITED  (RISK SCORE=Not scored)

CARTWRIGHT BRICE HOLDINGS LIMITED  (RISK SCORE=Not scored)

PENTAGON STATIONERS LIMITED  (RISK SCORE=Not scored)

ARKLE OFFICE SUPPLIES LIMITED  (RISK SCORE=Not scored)

PENTAGON PRINT LIMITED  (RISK SCORE=Not scored)

PENTAGON GROUP LIMITED(THE)  (RISK SCORE=Not scored)

ESSE BUSINESS SUPPLIES LIMITED  (RISK SCORE=Not scored)

CARTWRIGHT BRICE & COMPANY LIMITED  (RISK SCORE=Not scored)

GUILBERT NICEDAY LIMITED  (RISK SCORE=Not scored)

NICEDAY 2000 LIMITED  (RISK SCORE=Not scored)

GUILBERT UK LIMITED  (RISK SCORE=Not scored)

PENTAGON OFFICE FURNITURE LIMITED  (RISK SCORE=Not scored)

H.J. CHAPMAN & COMPANY LIMITED  (RISK SCORE=Not scored)

PENTAGON OFFICE EQUIPMENT LIMITED  (RISK SCORE=Not scored)

SATEX GROUP LIMITED  (RISK SCORE=Not scored)

GUILBERT NICEDAY (STATIONERY & PRINT) LTD  (RISK SCORE=Not scored)

OFFICE DEPOT INTERNATIONAL (UK) LIMITED  (RISK SCORE=74)

OFFICE DEPOT UK LIMITED  (RISK SCORE=82)

VIKING DIRECT (HOLDINGS) LIMITED  (RISK SCORE=84)

ESSE FURNITURE LIMITED  (RISK SCORE=Not scored)

ESSE PRINT LIMITED  (RISK SCORE=Not scored)

ESSE INTERIORS LIMITED  (RISK SCORE=Not scored)

NICEDAY WAREHOUSE DEVELOPMENTS LIMITED  (RISK SCORE=Not scored)

NICEDAY OFFICE DEVELOPMENTS LIMITED  (RISK SCORE=61)

INFOPRINT LIMITED  (RISK SCORE=Not scored)

NICEDAY DISTRIBUTION CENTRE LIMITED  (RISK SCORE=83)

GUILBERT UK PENSION TRUSTEES LIMITED  (RISK SCORE=Not scored)

GUILBERT UK PENSION TRUSTEES LIMITED  (RISK SCORE=Not scored)

OFFICE 1 LIMITED  (RISK SCORE=Not scored)

GUILBERT UK HOLDINGS LIMITED  (RISK SCORE=68)

OFFICE 1 (1995) LIMITED  (RISK SCORE=28)

RELIABLE U.K. LIMITED  (RISK SCORE=80)

BOISE CASCADE OFFICE PRODUCTS (UK) LIMITED  (RISK SCORE=Not scored)


Current Directors

GRAHAM CUNDICK
Appointment Date: 20/05/1997
Date of Birth: 22/01/1960
Occupation: VP EUROPEAN MERCHANDISING 
Address: AIRDALE FARM MAIN STREET, LEIRE, LUTTERWORTH, LEICESTERSHIRE, LE17 5HF
Present Appointment Details:

OFFICE DEPOT INTERNATIONAL (UK) LIMITED  (RISK SCORE=74)

VIKING DIRECT (HOLDINGS) LIMITED  (RISK SCORE=84)


RUDOLPH VAN KALDEKERKEN
Appointment Date: 06/02/2004
Date of Birth: 25/03/1950
Occupation: EXECUTIVE 
Address: WILLCHERSTRASSE 26, MEERBUSCH, 40670
Present Appointment Details:

OFFICE DEPOT INTERNATIONAL (UK) LIMITED  (RISK SCORE=74)

OFFICE DEPOT UK LIMITED  (RISK SCORE=82)

VIKING DIRECT (HOLDINGS) LIMITED  (RISK SCORE=84)

NICEDAY OFFICE DEVELOPMENTS LIMITED  (RISK SCORE=61)

NICEDAY DISTRIBUTION CENTRE LIMITED  (RISK SCORE=83)

OFFICE 1 LIMITED  (RISK SCORE=Not scored)

GUILBERT UK HOLDINGS LIMITED  (RISK SCORE=68)

OFFICE 1 (1995) LIMITED  (RISK SCORE=28)

RELIABLE U.K. LIMITED  (RISK SCORE=80)


ERNST WESSEL
Appointment Date: 06/02/2004
Date of Birth: 06/04/1963
Occupation: EXECUTIVE 
Address: AHORNSTRASSE 43B, HEERBUACH, 40667,
Present Appointment Details:

W.H.HAYDEN & CO.LIMITED  (RISK SCORE=Not scored)

GUILBERT OFREX LIMITED  (RISK SCORE=Not scored)

SANDHURST MARKETING LIMITED  (RISK SCORE=Not scored)

SATEX LIMITED  (RISK SCORE=Not scored)

SANDHURST MARKETING (OFFICE SUPPLIES) LIMITED  (RISK SCORE=Not scored)

CARTWRIGHT BRICE HOLDINGS LIMITED  (RISK SCORE=Not scored)

PENTAGON STATIONERS LIMITED  (RISK SCORE=Not scored)

ARKLE OFFICE SUPPLIES LIMITED  (RISK SCORE=Not scored)

PENTAGON PRINT LIMITED  (RISK SCORE=Not scored)

PENTAGON GROUP LIMITED(THE)  (RISK SCORE=Not scored)

ESSE BUSINESS SUPPLIES LIMITED  (RISK SCORE=Not scored)

CARTWRIGHT BRICE & COMPANY LIMITED  (RISK SCORE=Not scored)

GUILBERT NICEDAY LIMITED  (RISK SCORE=Not scored)

NICEDAY 2000 LIMITED  (RISK SCORE=Not scored)

GUILBERT UK LIMITED  (RISK SCORE=Not scored)

PENTAGON OFFICE FURNITURE LIMITED  (RISK SCORE=Not scored)

H.J. CHAPMAN & COMPANY LIMITED  (RISK SCORE=Not scored)

PENTAGON OFFICE EQUIPMENT LIMITED  (RISK SCORE=Not scored)

SATEX GROUP LIMITED  (RISK SCORE=Not scored)

GUILBERT NICEDAY (STATIONERY & PRINT) LTD  (RISK SCORE=Not scored)

OFFICE DEPOT INTERNATIONAL (UK) LIMITED  (RISK SCORE=74)

OFFICE DEPOT UK LIMITED  (RISK SCORE=82)

VIKING DIRECT (HOLDINGS) LIMITED  (RISK SCORE=84)

ESSE FURNITURE LIMITED  (RISK SCORE=Not scored)

ESSE PRINT LIMITED  (RISK SCORE=Not scored)

ESSE INTERIORS LIMITED  (RISK SCORE=Not scored)

NICEDAY WAREHOUSE DEVELOPMENTS LIMITED  (RISK SCORE=Not scored)

NICEDAY OFFICE DEVELOPMENTS LIMITED  (RISK SCORE=61)

INFOPRINT LIMITED  (RISK SCORE=Not scored)

NICEDAY DISTRIBUTION CENTRE LIMITED  (RISK SCORE=83)

OFFICE 1 LIMITED  (RISK SCORE=Not scored)

GUILBERT UK HOLDINGS LIMITED  (RISK SCORE=68)

OFFICE 1 (1995) LIMITED  (RISK SCORE=28)

RELIABLE U.K. LIMITED  (RISK SCORE=80)

BOISE CASCADE OFFICE PRODUCTS (UK) LIMITED  (RISK SCORE=Not scored)


Previous Directors

CHRISTOPHER TERENCE MAHONEY
Resignation Date: 21/09/2004
Date of Birth: 13/01/1952
Occupation: EXECUTIVE 
Address: 1 MAXWELL DRIVE, HASLEMORE, HIGH WYCOMBE, BUCKS, NP15 7BX

WILLIAM BEST
Resignation Date: 15/04/1996
Date of Birth: 25/09/1940
Occupation:  
Address: 29 ABERFORD ROAD, WOODLESFORD, LEEDS, WEST YORKSHIRE, LS26 8LD

IRWIN HELFORD
Resignation Date: 08/12/1999
Date of Birth: 18/06/1934
Occupation: COMPANY DIRECTOR 
Address: 11 VISTA REAL ROLLING HILLS, LOS ANGELES, COUNTY CALIFORNIA 90274

STEPHEN RUSSELL KROLL
Resignation Date: 21/05/1997
Date of Birth: 18/10/1946
Occupation:  
Address: 6038 JAMES ALAN STREET, CYPRESS ORANGE, COUNTY CALIFORNIA 90630,

KEITH CAIN
Resignation Date: 08/01/2002
Date of Birth: 22/10/1947
Occupation: EXECUTIVE 
Address: 145 STATION ROAD, CROPSTON, LEICESTERSHIRE, , LE7 7HH

CHARLOTTE JANE WIETHOFF
Resignation Date: 08/12/1999
Date of Birth: 02/06/1963
Occupation: SECRETARY VIKING OFFICE PRODUC 
Address: 1738 HARPER AVENUE REDONDO BEACH, CALIFORNIA 90278, USA,

MURRAY BRUCE NELSON
Resignation Date: 06/02/2004
Date of Birth: 06/02/1945
Occupation: PRESIDENT VIKING OFFICE PRODUC 
Address: 2301 SPANISH RIVER ROAD, BOCA EATON, FLORIDA, 33432

FRANK ROBERT JARC
Resignation Date: 08/12/1999
Date of Birth: 04/04/1942
Occupation: CFO VIKING OFFICE PRODUCTS INC 
Address: 140 THE VILLAGE APT 301, REDONDO BEACH CALIFORNIA 90277, USA,

DAVID HULSE
Resignation Date: 30/01/2004
Date of Birth: 21/09/1953
Occupation: BUSINESS EXECUTIVE 
Address: WOODVIEW FARM, WOOD LANE, CADEBY, NUNEATON, WARWICKSHIRE, CV13 0AU

DAVID FANNIN
Resignation Date: 06/02/2004
Date of Birth: 05/02/1946
Occupation: SNR V.P. & G.C 
Address: 3900 GALT OCEAN DRIVE, FORT LAUNDERDALE, FLORIDA, 1601

BARRY GOLDSTEIN
Resignation Date: 31/10/2000
Date of Birth: 07/03/1943
Occupation: EXEC V.P 
Address: 9981 NORTH WEST 45TH STREET, CORAL SPRINGS, FLORIDA, 33065

DOUGLAS RAMSDALE
Resignation Date: 23/02/2000
Date of Birth: 03/12/1945
Occupation: BUSINESS EXECUTIVE 
Address: 204 BEACHVIEW LANE, BARRINGTON, ILLINOIS, 6001 0

ROBERT CURTIS HENRY VALE
Resignation Date: 12/06/2003
Date of Birth: 13/05/1956
Occupation: EXECUTIVE 
Address: ARTHUR VAN DYCKLAAN 47A, TERVUREN, 3080

PETER GEOFFREY BIRKS
Resignation Date: 05/09/2003
Date of Birth: 22/08/1963
Occupation: COMPANY DIRECTOR 
Address: WHITLEY HOUSE, WHITLEY HILL HENLEY IN ARDEN, SOLIHULL, , B95 5DJ

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