CONTRAFLOW LIMITED
Registry code: SC105179
ActiveUKFinancial Reports
| 2022 | 2023 | 2024 | 2025 | ||
|---|---|---|---|---|---|
| Revenue | 10 030 271 | 11 667 482 | — | — | |
| Profit Before Tax | 1 467 439 | 1 896 030 | — | — | |
| Net Profit | 1 122 464 | 1 516 906 | 1 190 383 | 2 511 858 | |
| Profit margin | 11.2% | 13.0% | — | — | |
| Equity | 60 | 60 | 60 | 60 | |
| Liabilities | 1 651 673 | 1 928 064 | 2 002 583 | 2 789 732 | |
| Total Assets | 5 052 834 | 6 296 117 | 9 397 944 | 12 115 239 |
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