FLEXFLIGHT ApS — Credit Rating and Financial Key Figures

CVR number: 27376770
Lufthavnsvej 50, 4000 Roskilde
tel: 45807060
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit15 655.0015 748.0024 871.0052 028.0049 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
EBIT5 298.001 882.004 703.0027 735.0022 748.00
Other financial income12.003.006 224.003 977.003 885.00
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.)4.003.00
Pre-tax profit3 692.00862.003 909.0028 526.003 757.00
Income taxes-2 626.00- 190.00- 863.00-6 276.00-5 168.00
Net earnings1 066.00672.003 046.0022 250.00-1 411.00

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill23 750.00
Intangible assets total23 750.00
Land and waters1 169.001 159.001 015.00990.00965.00
Machinery and equipment803.001 047.00664.00644.00788.00
Tangible assets total1 972.002 206.001 679.001 634.001 753.00
Holdings in group member companies203.00198.0026.00202.00206.00
Investments total1 143.001 138.007 264.008 120.008 498.00
Long term receivables total
Finished products/goods19.00
Inventories total19.00
Current trade debtors1 205.006 866.006 082.0046 396.0019 369.00
Current amounts owed by group member comp.40 454.0037 933.0067 463.00
Prepayments and accrued income394.004 763.001 760.002 746.006 374.00
Current other receivables1 970.002 153.0011 369.0043 633.0024 900.00
Short term receivables total44 023.0051 715.0086 674.0092 775.0050 643.00
Cash and bank deposits9 283.0027 076.0010 474.0014 651.0056 770.00
Cash and cash equivalents9 283.0027 076.0010 474.0014 651.0056 770.00
Balance sheet total (assets)56 440.0082 135.00106 091.00117 180.00141 414.00

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital130.00130.00130.00130.00130.00
Asset revaluation reserve22.00
Other reserves558.005.005.009.009.00
Retained earnings2 300.003 941.0015 368.0018 410.0040 660.00
Profit of the financial year1 066.00672.003 046.0022 250.00-1 411.00
Shareholders equity total4 076.004 748.0018 549.0040 799.0039 388.00
Provisions175.00170.003 140.003 106.003 605.00
Non-current owed to group member207.0047.00
Non-current other liabilities724.00
Non-current deferred tax liabilities805.00832.00849.00
Non-current liabilities total724.00805.001 039.00896.00
Current loans from credit institutions78.00648.00348.00366.00
Advances received37 334.0049 599.0066 372.0049 874.0079 231.00
Current trade creditors4 422.0014 974.0012 640.0011 173.0013 222.00
Current owed to group member166.001 070.00
Short-term deferred tax liabilities1 398.00193.002 521.008 831.003 232.00
Other non-interest bearing current liabilities8 869.007 808.001 416.002 010.001 325.00
Accruals and deferred income2 771.00149.00
Current liabilities total52 189.0076 493.0083 597.0072 236.0097 525.00
Balance sheet total (liabilities)56 440.0082 135.00106 091.00117 180.00141 414.00
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