FLEXFLIGHT ApS — Credit Rating and Financial Key Figures
CVR number: 27376770
Lufthavnsvej 50, 4000 Roskilde
tel: 45807060
Income statement (kDKK)
2020 | 2021 | 2022 | 2023 | 2024 | |
---|---|---|---|---|---|
Fiscal period length | 12 | 12 | 12 | 12 | 12 |
Net sales | |||||
Gross profit | 15 655.00 | 15 748.00 | 24 871.00 | 52 028.00 | 49 097.00 |
Employee benefit expenses | -10 239.00 | -13 537.00 | -19 641.00 | -23 875.00 | -24 723.00 |
Total depreciation | - 118.00 | - 329.00 | - 527.00 | - 418.00 | -1 626.00 |
EBIT | 5 298.00 | 1 882.00 | 4 703.00 | 27 735.00 | 22 748.00 |
Other financial income | 12.00 | 3.00 | 6 224.00 | 3 977.00 | 3 885.00 |
Other financial expenses | - 419.00 | -1 018.00 | -7 018.00 | -3 190.00 | -22 879.00 |
Reduction non-current investment assets | -1 199.00 | -5.00 | |||
Net income from associates (fin.) | 4.00 | 3.00 | |||
Pre-tax profit | 3 692.00 | 862.00 | 3 909.00 | 28 526.00 | 3 757.00 |
Income taxes | -2 626.00 | - 190.00 | - 863.00 | -6 276.00 | -5 168.00 |
Net earnings | 1 066.00 | 672.00 | 3 046.00 | 22 250.00 | -1 411.00 |
Assets (kDKK)
2020 | 2021 | 2022 | 2023 | 2024 | |
---|---|---|---|---|---|
Goodwill | 23 750.00 | ||||
Intangible assets total | 23 750.00 | ||||
Land and waters | 1 169.00 | 1 159.00 | 1 015.00 | 990.00 | 965.00 |
Machinery and equipment | 803.00 | 1 047.00 | 664.00 | 644.00 | 788.00 |
Tangible assets total | 1 972.00 | 2 206.00 | 1 679.00 | 1 634.00 | 1 753.00 |
Holdings in group member companies | 203.00 | 198.00 | 26.00 | 202.00 | 206.00 |
Investments total | 1 143.00 | 1 138.00 | 7 264.00 | 8 120.00 | 8 498.00 |
Long term receivables total | |||||
Finished products/goods | 19.00 | ||||
Inventories total | 19.00 | ||||
Current trade debtors | 1 205.00 | 6 866.00 | 6 082.00 | 46 396.00 | 19 369.00 |
Current amounts owed by group member comp. | 40 454.00 | 37 933.00 | 67 463.00 | ||
Prepayments and accrued income | 394.00 | 4 763.00 | 1 760.00 | 2 746.00 | 6 374.00 |
Current other receivables | 1 970.00 | 2 153.00 | 11 369.00 | 43 633.00 | 24 900.00 |
Short term receivables total | 44 023.00 | 51 715.00 | 86 674.00 | 92 775.00 | 50 643.00 |
Cash and bank deposits | 9 283.00 | 27 076.00 | 10 474.00 | 14 651.00 | 56 770.00 |
Cash and cash equivalents | 9 283.00 | 27 076.00 | 10 474.00 | 14 651.00 | 56 770.00 |
Balance sheet total (assets) | 56 440.00 | 82 135.00 | 106 091.00 | 117 180.00 | 141 414.00 |
Equity and liabilities (kDKK)
2020 | 2021 | 2022 | 2023 | 2024 | |
---|---|---|---|---|---|
Share capital | 130.00 | 130.00 | 130.00 | 130.00 | 130.00 |
Asset revaluation reserve | 22.00 | ||||
Other reserves | 558.00 | 5.00 | 5.00 | 9.00 | 9.00 |
Retained earnings | 2 300.00 | 3 941.00 | 15 368.00 | 18 410.00 | 40 660.00 |
Profit of the financial year | 1 066.00 | 672.00 | 3 046.00 | 22 250.00 | -1 411.00 |
Shareholders equity total | 4 076.00 | 4 748.00 | 18 549.00 | 40 799.00 | 39 388.00 |
Provisions | 175.00 | 170.00 | 3 140.00 | 3 106.00 | 3 605.00 |
Non-current owed to group member | 207.00 | 47.00 | |||
Non-current other liabilities | 724.00 | ||||
Non-current deferred tax liabilities | 805.00 | 832.00 | 849.00 | ||
Non-current liabilities total | 724.00 | 805.00 | 1 039.00 | 896.00 | |
Current loans from credit institutions | 78.00 | 648.00 | 348.00 | 366.00 | |
Advances received | 37 334.00 | 49 599.00 | 66 372.00 | 49 874.00 | 79 231.00 |
Current trade creditors | 4 422.00 | 14 974.00 | 12 640.00 | 11 173.00 | 13 222.00 |
Current owed to group member | 166.00 | 1 070.00 | |||
Short-term deferred tax liabilities | 1 398.00 | 193.00 | 2 521.00 | 8 831.00 | 3 232.00 |
Other non-interest bearing current liabilities | 8 869.00 | 7 808.00 | 1 416.00 | 2 010.00 | 1 325.00 |
Accruals and deferred income | 2 771.00 | 149.00 | |||
Current liabilities total | 52 189.00 | 76 493.00 | 83 597.00 | 72 236.00 | 97 525.00 |
Balance sheet total (liabilities) | 56 440.00 | 82 135.00 | 106 091.00 | 117 180.00 | 141 414.00 |
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