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SC JOHNSON PROFESSIONAL A/S — Credit Rating and Financial Key Figures

CVR number: 80837410
Sverigesgade 26, 5000 Odense C
finance-dk@scj.com
tel: 64722400
https://www.scjp.com/da-dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit16 340.1810 315.848 756.258 024.458 397.71
Employee benefit expenses-11 833.45-8 661.62-10 247.14-8 300.89-7 013.03
Other operating expenses-6.28
Total depreciation- 202.75- 193.44- 129.31- 203.47- 194.29
EBIT4 303.981 460.79-1 626.48- 479.911 190.38
Other financial income86.02159.6465.8835.6461.33
Other financial expenses- 205.27- 313.45- 285.22- 165.76- 100.57
Pre-tax profit4 184.731 306.97-1 845.82- 610.021 151.15
Income taxes- 920.93- 317.48140.56
Net earnings3 263.80989.50-1 705.25- 610.021 151.15

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure898.10800.30702.51604.72506.93
Intangible rights7.875.172.47
Intangible assets total905.97805.48704.99604.72506.93
Buildings557.56
Machinery and equipment162.2469.2934.1916.76
Advance payments and construction in progress643.34
Tangible assets total162.2469.29677.53574.33
Investments total
Long term receivables total
Finished products/goods253.3793.443.94
Inventories total253.3793.443.94
Current trade debtors3 464.602 664.253 303.403 056.003 383.34
Current amounts owed by group member comp.2 548.492 520.201 507.996 092.2511 329.49
Prepayments and accrued income300.30274.17
Current other receivables329.81475.65268.87588.54425.38
Current deferred tax assets209.04496.29420.00404.00
Short term receivables total6 342.906 169.455 850.7210 156.8015 542.20
Cash and bank deposits17 374.778 240.751 895.571 853.461 503.89
Cash and cash equivalents17 374.778 240.751 895.571 853.461 503.89
Balance sheet total (assets)25 039.2415 378.429 132.7413 189.3117 553.02

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Shares repurchased4 000.00
Other reserves706.66628.27549.89471.68395.26
Retained earnings2 328.921 671.102 738.981 111.93578.32
Profit of the financial year3 263.80989.50-1 705.25- 610.021 151.15
Shareholders equity total6 799.377 788.872 083.611 473.592 624.74
Provisions157.70140.56
Non-current deferred tax liabilities714.67
Non-current liabilities total714.67
Current trade creditors504.80565.87263.55237.89406.94
Current owed to group member10 041.234 417.813 640.359 223.9812 112.71
Short-term deferred tax liabilities765.42
Other non-interest bearing current liabilities6 056.052 465.303 145.232 253.862 408.63
Current liabilities total17 367.507 448.997 049.1311 715.7214 928.28
Balance sheet total (liabilities)25 039.2415 378.429 132.7413 189.3117 553.02
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