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PA

PARTOENS GROUP

BV

0735.498.045

Financial statements Financial statement 2024

Income Statement Financial year Preceding financial year
Operating income
Gross margin € 31,835 € 12,489
Turnover
Stock of work in progress and finished goods and contracts in progress: increase (decrease)
Fixed assets produced
Other operating income
Operating expenses
Trade goods, raw and auxiliary materials
Purchases
Stock: decrease (increase)
Services and miscellaneous goods
Remuneration, social security charges and pensions
Depreciation and amortization of formation expenses, intangible and tangible assets - € 11,667
Write-downs on inventories, contracts in progress and trade receivables: additions (reversals)
Provisions for liabilities and charges: additions (uses and reversals)
Other operating expenses € 516 € 475
Non-recurring operating expenses
Operating profit (Operating loss) € 31,319 € 348
Financial returns
Recurring financial income
Income from current assets
Other financial income
Non-recurring financial income
Financial costs € 153 € 153
Recurring financial costs € 153 € 153
Cost of debt
Write-downs on current assets other than inventories, contracts in progress and trade receivables: additions (reversals)
Other financial costs
Non-recurring financial charges
Profit (Loss) for the year before taxes € 31,166 € 194
Withdrawal from deferred taxes
Income taxes € 8,882 € 36
Taxes
Regularization of taxes and reversal of provisions for taxes
Profit (Loss) for the fiscal year € 22,283 € 158
Withdrawal from tax-exempt reserves
Profit (loss) for the year to be appropriated € 22,283 € 158
Results processing Financial year Preceding financial year
Profit (loss) to be appropriated
Profit (loss) for the year to be appropriated € 22,283 € 158
Profit (loss) carried forward from the previous fiscal year € 25,269 € 25,111
Addition to equity
Accumulated profits losses € 25,269 € 25,269
Profit to be distributed
Assets Financial year Preceding financial year
COSTS
FIXED ASSETS - € 3,995
Intangible fixed assets
Tangible fixed assets - € 3,995
Land buildings
Plant machinery equipment - € 3,995
FUrniture vehicles
Other tangible assets
Assets under construction and prepayments
Financial fixed assets
Affiliated financial fixed assets
Participations
Receivables
Other financial fixed assets
Shares and units
Receivables and cash guarantees
CURRENT ASSETS € 58,434 € 29,136
Non-current receivables
Other receivables
Inventories and orders in progress
Stocks
Merchandise
Orders in progress
Receivables due within one year € 56,832 € 21,429
Trade receivables € 51,712 € 21,297
Other receivables € 5,120 € 132
Money investments
Own shares
Other investments
Cash and cash equivalents € 1,603 € 7,310
Accrued expenses - € 396
ASSETS € 58,434 € 33,131
Liabilities Financial year Preceding financial year
EQUITY € 49,552 € 27,269
Equity contribution € 2,000 € 2,000
Unavailable
Capital
Issues capital
Outside capital
Issue premiums
Revaluation capital gains
Reserves € 22,283 -
Unavailable reserves
Legal reserve
Purchase of own shares
Other reserves
Tax-free reserves
Available reserves € 22,283 -
Accumulated profits losses € 25,269 € 25,269
Investment grants
PROVISIONS AND DEFERRED TAXES
Provisions for risks and costs
Pensions and similar obligations
Other risks and costs
Deferred taxes
Amounts payable € 8,882 € 5,862
Non-current liabilities
Financial debts
Unsubordinated debentures
Credit Institutions
Other loans
Amounts payable within one year € 8,882 € 5,862
Financial debts
Credit Institutions
Other loans
Trade debts payables - € 5,826
Suppliers - € 5,826
Prepayments on orders
Liabilities related to taxes, remuneration and social security contributions € 8,882 € 36
Taxes € 8,882 € 36
Remuneration and social charges
Other liabilities
Accrued expenses
TOTAL LIABILITIES € 58,434 € 33,131

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