SABRINAZ COLLECTIONS LTD

Company number 13678364 ·

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.

SABRINAZ COLLECTIONS LTD - Analysis Report

Company Number: 13678364

Analysis Date: 2025-07-29 16:57 UTC

  1. Risk Rating: LOW
    Sabrinaz Collections Ltd exhibits a low risk profile based on the available data. The company is current with its filings, maintains positive net current assets, and shows minimal liabilities. The business is small scale but solvent, with no indications of financial distress or regulatory non-compliance.

  2. Key Concerns:

  • Limited Scale and Financial Depth: The company’s net assets and cash balances are minimal (£649 net assets and £1,031 cash), reflecting a micro-business scale with limited financial buffer.
  • Dependence on Single Director/Shareholder: Mrs. Hira Sadiq holds 100% control, which concentrates governance and financial risk in one individual.
  • No Employees and Limited Operational Data: The absence of employees and minimal disclosed operational information restricts insight into business sustainability and growth prospects.
  1. Positive Indicators:
  • Current with Filings: Both accounts and confirmation statements are up to date with no overdue filings, indicating good regulatory compliance.
  • Positive Working Capital: Net current assets are positive at £649, with cash exceeding current liabilities, suggesting the company can meet short-term obligations.
  • Clear Ownership Structure: A single PSC holding full control simplifies accountability and decision-making.
  1. Due Diligence Notes:
  • Verify Business Model and Revenue Streams: Confirm the nature and stability of the business given limited financials and no employees reported.
  • Assess Cash Flow Trends: Investigate how the company sustains operations with minimal cash and whether there are any external funding sources or director loans beyond the disclosed £32 creditors.
  • Confirm Director’s Capacity and Intent: Given sole control, evaluate the director’s plans for growth, investment, or exit strategy.
  • Review Market Position: Analyze the retail stall and markets sector context to gauge sustainability and competitive pressures.

Perspective: Investment Risk Assessor · Model: gpt-4.1-mini · Generated 29 July 2025

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