PRINT NOW LTD

Company number 14403593 ·

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.

PRINT NOW LTD - Analysis Report

Company Number: 14403593

Analysis Date: 2025-07-20 13:00 UTC

  1. Risk Rating: HIGH
    Justification: PRINT NOW LTD shows extremely limited trading activity with minimal turnover (£2,300) and no recorded assets or liabilities. The company reported a loss of £1,000 for the period, no net assets, and zero working capital, indicating no financial buffer. The absence of current assets and liabilities suggests very limited operational scale and financial resources, raising significant solvency and liquidity concerns.

  2. Key Concerns:

  • Financial Fragility: Zero net assets and shareholders’ funds, combined with a loss reported in the latest period, indicate the company lacks financial resilience to meet obligations or absorb operational shocks.
  • Minimal Operational Activity: Turnover is negligible and the company employs only one person, which questions the sustainability and scale of operations.
  • Lack of Tangible or Current Assets: No fixed or current assets on the balance sheet suggests absence of cash reserves or working capital, potentially restricting ability to fund ongoing expenses or growth.
  1. Positive Indicators:
  • Compliance with Filing Requirements: The company is up to date with accounts and confirmation statement filings, evidencing regulatory compliance.
  • Clear Control Structure: Ownership and control are concentrated with a single individual holding 75-100% shares and voting rights, which may facilitate swift decision-making.
  • No Overdue Filings or Insolvency Status: The company is active, not in liquidation or administration, and filings are current, indicating no immediate regulatory or legal compliance issues.
  1. Due Diligence Notes:
  • Verify the nature of the business activities and whether the company is operational or dormant despite reporting turnover and expenses.
  • Investigate the company’s cash flow arrangements and how operational expenses are being met given zero recorded current assets.
  • Assess the intentions and financial backing of the controlling shareholder to understand prospects for capital injection or business scaling.
  • Review any related party transactions or off-balance sheet arrangements that might affect the financial position.
  • Confirm whether the loss reported is expected to continue and what strategic plans exist to achieve profitability.

Perspective: Investment Risk Assessor · Model: gpt-4.1-mini · Generated 20 July 2025

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