ARVIND CONTOUR LIMITED
Company number 13555431 · Monitor this company
This analysis was written by an AI from the company's public filings. It may contain errors or omissions and is not financial or professional advice.
ARVIND CONTOUR LIMITED - Analysis Report
Company Number: 13555431
Analysis Date: 2025-07-19 12:41 UTC
Risk Rating: LOW
Based on the available financial data for ARVIND CONTOUR LIMITED, the company demonstrates a solid net asset position and positive working capital, with no overdue filings or signs of distress. The company operates in the construction sector with a micro-entity filing status, indicating relatively modest scale but stable financial footing.Key Concerns:
- Significant decrease in current assets from £701,286 in 2022 to £10,656 in 2023 raises questions about liquidity and cash flow management.
- The company reported zero employees, which may suggest reliance on subcontractors or outsourcing; operational sustainability should be verified.
- Control structure is concentrated with a corporate entity and one individual controlling majority share and voting rights, which can pose governance risks if not carefully monitored.
- Positive Indicators:
- Strong net fixed assets of £1,000,020 in 2023, indicating substantial investment in long-term assets relative to company size.
- Net current assets remain positive (£8,556 in 2023), implying the company can meet short-term liabilities.
- No overdue statutory filings (accounts or confirmation statement) demonstrating compliance with Companies House requirements.
- Director and corporate secretary appointments are clear and current, with no indications of director disqualifications or governance issues.
- Due Diligence Notes:
- Investigate the reason for the sharp decline in current assets during the latest financial year and assess cash flow adequacy for ongoing operations.
- Review contracts and operational structure to understand how the company delivers its construction services without employees recorded.
- Confirm the nature and valuation of fixed assets to assess their liquidity and potential use as collateral.
- Evaluate the corporate governance framework given the concentrated ownership and control by one corporate entity and one individual.
- Obtain management accounts or cash flow forecasts to assess short-term financial health beyond the year-end snapshot.
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