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SUPER TOTAL SERVICE ApS — Credit Rating and Financial Key Figures

CVR number: 32270395
Krondalvej 8, 2610 Rødovre
mail@st-service.dk
tel: 36302525
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit10 162.2810 618.776 693.135 657.925 613.84
Employee benefit expenses-9 733.32-10 413.39-5 928.18-5 218.99-5 388.90
Other operating expenses-2 237.46
Total depreciation- 140.45- 145.20- 132.11-39.90-44.67
EBIT288.51-2 177.27632.85399.03180.28
Other financial income12.9610.2771.7438.5220.33
Other financial expenses-6.16-5.93-70.24- 341.95-51.28
Pre-tax profit295.30-2 172.94634.3595.60149.33
Income taxes-66.64130.74- 158.61-87.21-50.67
Net earnings228.67-2 042.20475.748.3998.66

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Machinery and equipment247.05252.5786.4546.5642.78
Tangible assets total247.05252.5786.4546.5642.78
Investments total
Non-current other receivables203.42153.19164.61
Long term receivables total203.42153.19164.61
Raw materials and consumables200.00200.00200.00200.00200.00
Inventories total200.00200.00200.00200.00200.00
Current trade debtors4 324.224 188.664 579.404 031.672 579.04
Current amounts owed by group member comp.1 017.671 175.06889.401 045.23
Prepayments and accrued income63.00115.9135.4275.0846.87
Current other receivables35.6595.9755.35100.7718.62
Current deferred tax assets2.06132.80169.46
Short term receivables total4 424.935 551.026 014.685 096.913 689.75
Cash and bank deposits614.83371.311 142.28346.1172.39
Cash and cash equivalents614.83371.311 142.28346.1172.39
Balance sheet total (assets)5 690.246 528.107 608.035 689.584 004.92

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital125.00125.00125.00125.00125.00
Retained earnings985.142 613.81323.58799.32807.71
Profit of the financial year228.67-2 042.20475.748.3998.66
Shareholders equity total1 338.81696.61924.32932.711 031.37
Provisions106.134.082.44
Non-current liabilities total
Current trade creditors1 861.261 866.781 914.881 295.891 790.23
Current owed to participating99.4121.7211.3210.02178.14
Current owed to group member572.05469.851 310.30506.19
Short-term deferred tax liabilities78.73189.2552.31
Other non-interest bearing current liabilities1 739.983 473.143 341.072 751.44950.43
Current liabilities total4 351.435 831.496 577.584 752.782 971.11
Balance sheet total (liabilities)5 690.246 528.107 608.035 689.584 004.92
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