ARVIND CONTOUR LIMITED

Company number 13555431 ·

Active

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

  1. 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.

  2. 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.
  1. 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.
  1. 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.

Perspective: Investment Risk Assessor · Model: gpt-4.1-mini · Generated 19 July 2025

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