UNITEAM TRANSPORT SYSTEMER ApS — Credit Rating and Financial Key Figures

CVR number: 32093981
Taastrup Hovedgade 101, 2630 Taastrup
info@uniteamgroup.com
tel: 43713533
www.uniteamgroup.com

Income statement (kDKK)

2019
2020
2021
2022
2023
Fiscal period length1212121212
Net sales
Gross profit6 298.705 556.386 130.636 348.634 666.65
Employee benefit expenses-5 009.12-4 437.35-4 384.68-4 884.72-4 758.78
Other operating expenses- 133.85
Total depreciation- 752.42- 764.42- 426.90- 489.98- 449.85
EBIT537.16354.611 319.04840.09- 541.98
Other financial income1.4169.23
Other financial expenses-23.78-29.12-37.47- 298.21- 166.41
Pre-tax profit513.38325.491 282.98541.88- 639.16
Income taxes- 336.18-64.66- 283.01- 164.71126.93
Net earnings177.20260.83999.97377.17- 512.23

Assets (kDKK)

2019
2020
2021
2022
2023
Development expenditure2 725.532 891.223 217.084 446.496 045.55
Goodwill57.45
Intangible assets total2 725.532 891.223 274.534 446.496 045.55
Machinery and equipment36.0052.1332.6340.48
Tangible assets total36.0052.1332.6340.48
Investments total147.83144.91127.91206.83192.34
Long term receivables total
Inventories total
Current trade debtors1 235.501 110.38741.14253.44409.94
Prepayments and accrued income53.5066.99127.30
Short term receivables total1 289.001 110.38741.14320.43537.23
Cash and bank deposits127.561 146.142 631.782 310.52
Cash and cash equivalents127.561 146.142 631.782 310.52
Balance sheet total (assets)4 289.925 328.656 827.487 316.896 815.60

Equity and liabilities (kDKK)

2019
2020
2021
2022
2023
Share capital125.00125.00125.00125.00125.00
Other reserves2 255.162 509.323 468.264 715.53
Retained earnings-0.13-2 078.09-2 071.43-2 030.40-2 900.49
Profit of the financial year177.20260.83999.97377.17- 512.23
Shareholders equity total302.07562.891 562.871 940.031 427.80
Provisions106.79171.45454.47619.17492.25
Non-current owed to group member719.58719.58719.58458.19
Non-current other liabilities450.00808.341 529.531 804.382 087.23
Non-current liabilities total1 169.581 527.922 249.122 262.572 087.23
Current loans from credit institutions363.501 112.97
Advances received15.24
Current trade creditors1 818.031 537.871 050.47719.79681.09
Current owed to participating442.30
Current owed to group member21.03
Other non-interest bearing current liabilities857.181 528.521 147.061 775.33571.96
Current liabilities total2 711.483 066.392 561.032 495.122 808.32
Balance sheet total (liabilities)4 289.925 328.656 827.487 316.896 815.60
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