STAFF RENGØRING ApS — Credit Rating and Financial Key Figures

CVR number: 31090687
Duevej 7, 6580 Vamdrup
JN@staff-ren.dk
tel: 42223508
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit12 051.7618 038.0623 894.2624 809.8727 696.97
Employee benefit expenses-11 365.09-16 940.40-22 045.40-24 266.01-24 872.38
Other operating expenses-2.50
Total depreciation-7.05-63.56-94.01- 113.17- 140.13
EBIT677.121 034.091 754.85430.692 684.46
Other financial income60.9686.43103.8852.3547.70
Other financial expenses-26.44-29.81-24.54-29.05-27.07
Pre-tax profit711.641 090.711 834.19454.002 705.09
Income taxes- 156.47- 249.43- 410.26- 109.59- 604.09
Net earnings555.17841.271 423.94344.402 101.00

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment36.16511.93491.91529.58583.50
Tangible assets total36.16511.93491.91529.58583.50
Investments total28.3517.8517.8517.8517.85
Long term receivables total
Raw materials and consumables15.0015.00115.21108.61296.03
Inventories total15.0015.00115.21108.61296.03
Current trade debtors1 812.002 450.143 398.674 254.943 801.11
Current amounts owed by group member comp.1 617.702 754.122 576.052 381.062 986.13
Prepayments and accrued income38.69251.78163.0699.70143.67
Current other receivables173.43287.04387.39471.55706.90
Short term receivables total3 641.835 743.096 525.177 207.267 637.81
Cash and bank deposits957.71109.63
Cash and cash equivalents957.71109.63
Balance sheet total (assets)4 679.046 397.507 150.157 863.308 535.19

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital125.00125.00125.00125.00125.00
Shares repurchased750.00750.00200.00500.00
Retained earnings385.83191.00282.271 506.211 350.62
Profit of the financial year555.17841.271 423.94344.402 101.00
Shareholders equity total1 066.001 907.282 581.212 175.624 076.62
Provisions6.5671.8964.0856.5276.98
Non-current other liabilities40.14
Non-current liabilities total40.14
Current loans from credit institutions310.611 392.51564.92
Current trade creditors260.27472.66904.05830.67566.84
Current owed to group member30.77
Short-term deferred tax liabilities160.45184.11382.0757.15583.64
Other non-interest bearing current liabilities3 114.863 761.572 908.123 350.842 666.19
Current liabilities total3 566.344 418.344 504.855 631.164 381.59
Balance sheet total (liabilities)4 679.046 397.507 150.157 863.308 535.19
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