Contraflow Limited

ActiveSC105179ConstructionIncorporated 15 Jun 1987 · Glasgow

The principal activity of the group in the year under review was that of provision of road traffic management systems, and the supply and hire of goods and services to the road maintenance sector.

Revenue

£11.7m

▲ +16.3% vs prior ~12m period

Profit after tax

£1.5m

Margin 16.2%

Employees

191

▲ +21.7% vs prior ~12m period

Net assets

£8.8m

Total assets £12.1m

Financial history

Revenue by accounting period

6 periods available · ▲ growth ▼ decline

Jun 2020
Not available
Jun 2021
£8.9m
Jun 2022
£10.0m▲ +13.2%
Jun 2023
£11.7m▲ +16.3%
Jun 2024
Not available
Jun 2025
Not available
Period endRevenueGrowthProfit before taxEmployeesNet assets
30 Jun 2025———191£8.8m
30 Jun 2024———157£6.8m
30 Jun 2023£11.7m▲ +16.3%£1.9m124£6.0m
30 Jun 2022£10.0m▲ +13.2%£1.5m125£4.8m
30 Jun 2021£8.9m—£1.8m118£3.6m
30 Jun 2020———99£2.3m

Latest available figures

Period ending 30 Jun 2023. “Not available” means the figure is not in the accounts we hold. We do not estimate missing figures.

Profit & loss

Revenue
£11.7m
Gross profit
£4.4m
Operating profit
£1.9m
Profit before tax
£1.9m
Profit after tax
£1.5m

Balance sheet

Total assets
£12.1m
Cash
£5.3m
Total liabilities
£3.3m
Net assets
£8.8m
Revenue per employee
Not available

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