This study examines the comparative financial statement analysis of Think NEXT Technologies Pvt. Ltd. for the period 2022–2024. The purpose of the analysis is to assess the company’s financial health by evaluating its liquidity, profitability, solvency, and efficiency. Using tools such as trend analysis, common-size analysis, and ratio analysis, the study highlights variations in revenue, net profit, and key financial ratios across the three years. Findings indicate that while the company maintained a stable net profit and healthy liquidity position, it experienced a significant decline in revenue during 2024. The absence of debt reflects a conservative financing structure, but the need for revenue diversification and strategic investment remains crucial for long-term sustainability. This research provides useful insights for management, investors, and stakeholders, supporting informed decision-making and financial planning.