FAIR FLOW LTD

Company number 10415529 ·

Active

Net assets, total assets & total liabilities 2017 – 2025

  • Total assets
  • Net assets
  • Total liabilities
-£100k -£50k £0 £50k £100k £150k £200k £250k 2017 2018 2019 2020 2021 2022 2023 2024 2025 Total assets 2017: £16,724 Total assets 2018: £25,523 Total assets 2019: £33,172 Total assets 2020: £42,209 Total assets 2021: £50,624 Total assets 2022: £38,064 Total assets 2023: £120,399 Total assets 2024: £165,023 Total assets 2025: £205,357 Total assets Net assets 2017: £5,437 Net assets 2018: £14,146 Net assets 2019: £18,023 Net assets 2020: £19,825 Net assets 2021: £32,213 Net assets 2022: £23,334 Net assets 2023: £51,096 Net assets 2024: £64,901 Net assets 2025: £117,344 Net assets Total liabilities 2017: -£20,729 Total liabilities 2018: -£25,570 Total liabilities 2019: -£11,820 Total liabilities 2020: -£17,955 Total liabilities 2021: -£14,196 Total liabilities 2022: -£10,515 Total liabilities 2023: -£30,931 Total liabilities 2024: -£63,114 Total liabilities 2025: -£63,457 Total liabilities

Figures extracted from filed accounts. Hover a point for the exact value.

Employees 2024 – 2025

0 0 0 0 0 1 2024 2025 2024: 1 2025: 1

Average employees, from filed accounts. Hover a point for the exact figure.

Balance sheet by year 9 years

Latest accounts (2025-10-31): Audit exempt.

Year ending Total assets Total liabilities Net assets Cash Turnover Profit Employees
2025-10-31 £205,357 -£63,457 £117,344 £60,956 1
2024-10-31 £165,023 -£63,114 £64,901 £57,524 1
2023-10-31 £120,399 -£30,931 £51,096 £10,563
2022-10-31 £38,064 -£10,515 £23,334 £29
2021-10-31 £50,624 -£14,196 £32,213 £4,909
2020-10-31 £42,209 -£17,955 £19,825 £9,311
2019-10-31 £33,172 -£11,820 £18,023 £3,697
2018-10-31 £25,523 -£25,570 £14,146 £18,333
2017-10-31 £16,724 -£20,729 £5,437 £10,536

Profit and employee figures are captured from accounts filed from August 2026 onwards, where the accounts disclose them.

Debt & working capital 2025-10-31

Owed by customers
£15,430
Owed to suppliers
£11,202