JL ENGINEERING A/S — Credit Rating and Financial Key Figures

CVR number: 32890938
Hovedvejen 107, 2600 Glostrup
jess@jl-eng.dk
tel: 43420102
jl-eng.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit21 729.0026 011.5835 191.7634 312.2240 261.47
Employee benefit expenses-16 968.51-21 836.49-29 104.13-31 414.50-32 160.54
Other operating expenses- 249.69
Total depreciation- 590.14- 648.73-1 016.70-1 232.79- 979.67
EBIT4 170.353 526.365 070.931 664.936 871.57
Other financial income13.631.13
Other financial expenses- 346.13- 195.24- 219.25- 272.72- 343.15
Pre-tax profit3 824.233 331.124 865.311 393.346 528.42
Income taxes- 869.85- 815.85-1 113.44- 338.19-1 481.20
Net earnings2 954.382 515.273 751.871 055.155 047.22

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure846.37665.00483.64302.27
Intangible assets total846.37665.00483.64302.27
Buildings716.00484.34837.49351.971 151.10
Machinery and equipment1 017.391 156.671 490.771 475.171 856.38
Tangible assets total1 733.381 641.012 328.261 827.133 007.49
Investments total115.92116.89179.80224.63427.07
Long term receivables total
Inventories total
Current trade debtors6 361.107 291.705 928.5112 436.5913 760.60
Prepayments and accrued income350.93555.44921.35828.32985.03
Current other receivables54.20134.771 719.06485.43823.85
Short term receivables total6 766.247 981.908 568.9213 750.3415 569.47
Cash and bank deposits2 687.713 230.034 485.97416.144 103.37
Cash and cash equivalents2 687.713 230.034 485.97416.144 103.37
Balance sheet total (assets)11 303.2513 816.2016 227.9516 701.8923 409.67

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 000.001 000.001 000.001 000.001 000.00
Shares repurchased2 500.002 100.003 120.00880.004 290.00
Other reserves660.16660.16377.24235.77
Retained earnings-1 542.40-1 348.19-1 952.921 201.88-1 891.50
Profit of the financial year2 954.382 515.273 751.871 055.155 047.22
Shareholders equity total4 911.984 927.256 579.124 514.278 681.50
Provisions37.10362.11403.11266.27292.85
Non-current deferred tax liabilities850.37490.841 072.43424.421 454.62
Non-current liabilities total850.37490.841 072.43424.421 454.62
Advances received39.10
Current trade creditors999.492 519.512 955.551 649.611 791.32
Current owed to group member1 458.222 469.761 536.664 598.465 851.66
Short-term deferred tax liabilities490.841 123.04424.42
Other non-interest bearing current liabilities3 046.103 046.743 190.244 125.814 874.19
Current liabilities total5 503.808 036.008 173.2911 496.9212 980.70
Balance sheet total (liabilities)11 303.2513 816.2016 227.9516 701.8923 409.67
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