CONTRAFLOW LIMITED

Registry code: SC105179

ActiveUK

Financial Reports

2022202320242025
Revenue10 030 27111 667 482
Profit Before Tax1 467 4391 896 030
Net Profit1 122 4641 516 9061 190 3832 511 858
Profit margin11.2%13.0%
Equity60606060
Liabilities1 651 6731 928 0642 002 5832 789 732
Total Assets5 052 8346 296 1179 397 94412 115 239

Financial Reports

2025()

Balance Sheet

Total Assets12 115 239 €
Long-term Assets
Short-term Assets
Equity60 €
Liabilities2 789 732 €

Profit & Loss Statement

Revenue
Profit Before Tax
Net Profit2 511 858 €
2024()

Balance Sheet

Total Assets9 397 944 €
Long-term Assets
Short-term Assets
Equity60 €
Liabilities2 002 583 €

Profit & Loss Statement

Revenue
Profit Before Tax
Net Profit1 190 383 €
2023()

Balance Sheet

Total Assets6 296 117 €
Long-term Assets
Short-term Assets
Equity60 €
Liabilities1 928 064 €

Profit & Loss Statement

Revenue11 667 482 €
Profit Before Tax1 896 030 €
Net Profit1 516 906 €
2022()

Balance Sheet

Total Assets5 052 834 €
Long-term Assets
Short-term Assets
Equity60 €
Liabilities1 651 673 €

Profit & Loss Statement

Revenue10 030 271 €
Profit Before Tax1 467 439 €
Net Profit1 122 464 €
2021()

Balance Sheet

Total Assets3 913 480 €
Long-term Assets
Short-term Assets
Equity60 €
Liabilities2 036 039 €
2020()

Balance Sheet

Total Assets2 546 522 €
Long-term Assets
Short-term Assets
Equity60 €
Liabilities1 557 581 €
2019()

Balance Sheet

Total Assets2 654 011 €
Long-term Assets
Short-term Assets
Equity100 €
Liabilities1 707 313 €

Source: Companies House