Mažoji bendrija Konsjeržas lt
JAR Code: 306567131
ActiveFinancial Reports
| 2024 | 2025 | ||
|---|---|---|---|
| Revenue | 70 493 | 68 400 | |
| Profit Before Tax | 28 463 | 9 274 | |
| Net Profit | 26 959 | 8 576 | |
| Profit margin | 38.2% | 12.5% | |
| Equity | 33 943 | 42 519 | |
| Liabilities | 42 050 | 27 566 | |
| Total Assets | 75 993 | 70 085 |
Financial Reports
2025
Balance Sheet
Total Assets70 085 €
Long-term Assets33 603 €
Short-term Assets36 482 €
Equity42 519 €
Liabilities27 566 €
Profit & Loss Statement
Revenue68 400 €
Profit Before Tax9 274 €
Net Profit8 576 €
2024
Balance Sheet
Total Assets75 993 €
Long-term Assets45 016 €
Short-term Assets30 977 €
Equity33 943 €
Liabilities42 050 €
Profit & Loss Statement
Revenue70 493 €
Profit Before Tax28 463 €
Net Profit26 959 €
Period(2023-10-18 – 2023-12-31)2 mėn.
Balance Sheet
Total Assets7 005 €
Long-term Assets0 €
Short-term Assets7 005 €
Equity6 984 €
Liabilities21 €
Profit & Loss Statement
Revenue8 221 €
Profit Before Tax6 984 €
Net Profit6 984 €
Source: Registrų centras