MB Dg detailing garage

JAR Code: 305990502

Active

Financial Reports

202220232024
Revenue5 96523 78840 527
Profit Before Tax2 7388 85317 433
Net Profit2 5968 40117 433
Profit margin43.5%35.3%43.0%
Equity3 90612 30729 740
Liabilities8452 52817 976
Total Assets4 75114 83547 716

Financial Reports

2024

Balance Sheet

Total Assets47 716 €
Long-term Assets0 €
Short-term Assets47 716 €
Equity29 740 €
Liabilities17 976 €

Profit & Loss Statement

Revenue40 527 €
Profit Before Tax17 433 €
Net Profit17 433 €
2023

Balance Sheet

Total Assets14 835 €
Long-term Assets0 €
Short-term Assets14 835 €
Equity12 307 €
Liabilities2 528 €

Profit & Loss Statement

Revenue23 788 €
Profit Before Tax8 853 €
Net Profit8 401 €
2022(2022-01-25 – 2022-12-31)11 mėn.

Balance Sheet

Total Assets4 751 €
Long-term Assets0 €
Short-term Assets4 751 €
Equity3 906 €
Liabilities845 €

Profit & Loss Statement

Revenue5 965 €
Profit Before Tax2 738 €
Net Profit2 596 €

Source: Registrų centras