Solarframe Limited
06718821
Healthy
- Going concern doubt noted in accounts (-10)
- 1 outstanding charge (-2)
Details
Compliance
Last accounts
31/08/2025
full
Next accounts due
31/05/2027
Confirmation statement
Last: 29/09/2025
Due 13/10/2026
Industry
Officers
Former
secretary · Resigned 08/03/2016
director · Resigned 25/02/2020
secretary · Resigned 28/09/2021
director · Resigned 11/02/2022
director · Resigned 17/08/2023
Persons with Significant Control
Solarframe Holdings Limited
Unit 3 Davey Road, Fields End Business Park, Rotherham, S63 0JF
Reg: 9743699 · Regitrar Of Companies England & Wales · Limited Company
Notified 15/07/2020
Former PSCs
Mr Steve Taylor
Ceased 15/07/2020
Charges1 outstanding
SVENSKA HANDELSBANKEN AB (PUBL)
Change History
Active
Private Limited Company
UNIT 3 DAVEY ROAD FIELDS END BUSINESS PARK
NR ROTHERHAM
CompanyRankvs 1755+ SIC 32990 peers60
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How is this score calculated?
Net worth compared to all companies in the same SIC code with published accounts. Top quartile earns the full 25 points.
Workforce size relative to sector peers from the most recent accounts. A larger team generally signals commercial scale.
Current assets ÷ current liabilities. A ratio above 2× earns full marks; between 1–2× scores partially; below 0.5× scores minimal points.
One point per year of operation since incorporation, capped at 15. Older companies have a proven track record.
Full 15 points when both annual accounts and confirmation statement are filed on time. Points are deducted for each overdue filing.
Risk deductions
Going concern doubt: -10 pts
Outstanding charges: -10 pts
Maximum score is 100. Deductions apply for insolvency history, outstanding charges, going concern doubt, or disqualified officers.
Going Concern Doubt
we have not identified any material uncertainties relating to events or conditions that, individually or collectively, may cast significant doubt on the company's ability to continue as a going concern for a period of at least twelve months from when the original financial statements were authorised for issue. Our responsibilities and the responsibilities of the directors with respect to going con
Key FinancialsYear ending 31/08/2025
Turnover
£10.8M
Annual revenue
Net Worth
£1.3M
Balance sheet strength
Cash
£1.1M
Cash in the bank
Profit Before Tax
£276k
Bottom line earnings
Net Current Assets
£906k
Working capital
Current Assets
£4.1M
Current Liabilities
£3.2M
Fixed Assets
£1.3M
Debtors
£1.9M
Cost of Sales
£7.7M
Gross Profit
£3.2M
Admin Expenses
£2.8M
Profit After Tax
£234k
Tax at Year End
People Costs
Balance Sheet
EstimatesDerived
| Year | Current Ratio | Implied Profit |
|---|---|---|
| 2025 | 1.29 | +£68k |
| 2024 | 1.26 | -£572k |
| 2023 | 1.70 | — |
Derived from filed accounts. Not audited figures.