Workshop Works, UAB
JAR Code: 306167728
ActiveFinancial Reports
| 2023 | 2024 | 2025 | ||
|---|---|---|---|---|
| Revenue | 49 139 | 104 158 | 180 532 | |
| Profit Before Tax | 4 643 | 8 140 | 7 835 | |
| Net Profit | 4 448 | 7 692 | 7 338 | |
| Profit margin | 9.1% | 7.4% | 4.1% | |
| Equity | 6 199 | 13 891 | 21 229 | |
| Liabilities | 3 382 | 4 462 | 36 872 | |
| Total Assets | 9 581 | 18 353 | 58 101 |
Financial Reports
2025
Balance Sheet
Total Assets58 101 €
Long-term Assets38 701 €
Short-term Assets19 400 €
Equity21 229 €
Liabilities36 872 €
Profit & Loss Statement
Revenue180 532 €
Profit Before Tax7 835 €
Net Profit7 338 €
2024
Balance Sheet
Total Assets18 353 €
Long-term Assets1 190 €
Short-term Assets17 163 €
Equity13 891 €
Liabilities4 462 €
Profit & Loss Statement
Revenue104 158 €
Profit Before Tax8 140 €
Net Profit7 692 €
2023
Balance Sheet
Total Assets9 581 €
Long-term Assets0 €
Short-term Assets9 581 €
Equity6 199 €
Liabilities3 382 €
Profit & Loss Statement
Revenue49 139 €
Profit Before Tax4 643 €
Net Profit4 448 €
Period(2022-10-27 – 2022-12-31)2 mėn.
Balance Sheet
Total Assets5 650 €
Long-term Assets0 €
Short-term Assets5 650 €
Equity1 751 €
Liabilities3 899 €
Profit & Loss Statement
Revenue2 625 €
Profit Before Tax−749 €
Net Profit−749 €
Source: Registrų centras