CCIT SERVICE A/S — Credit Rating and Financial Key Figures

CVR number: 35892508
Ove Gjeddes Vej 39, 5220 Odense SØ
tel: 70702014

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit6 964.115 806.667 416.437 350.986 908.15
Employee benefit expenses-2 565.27-3 356.45-2 449.63-3 299.26-3 800.15
Other operating expenses-28.00
Total depreciation- 818.18- 783.04- 781.97- 786.59-33.93
EBIT3 580.661 667.174 156.833 265.143 074.08
Other financial income37.43131.07184.91397.20526.23
Other financial expenses-37.44-14.53-15.41-4.97-43.91
Pre-tax profit3 580.651 783.714 326.343 657.373 556.40
Income taxes- 795.17- 393.27-1 121.70- 804.62- 786.04
Net earnings2 785.481 390.453 204.642 852.752 770.36

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure867.89
Goodwill2 205.001 470.00735.00
Intangible assets total2 205.001 470.00735.00867.89
Buildings46.6342.44
Machinery and equipment137.5089.4642.4926.0816.30
Tangible assets total137.5089.4642.4972.7258.74
Investments total
Long term receivables total
Finished products/goods3 636.944 075.674 923.195 068.615 246.45
Inventories total3 636.944 075.674 923.195 068.615 246.45
Current trade debtors1 044.961 446.331 328.081 664.041 803.85
Current amounts owed by group member comp.3 134.983 663.025 552.088 235.3510 797.66
Current owed by particip. interest comp.388.96
Current other receivables145.02276.22438.35169.86345.48
Current deferred tax assets192.3517.42
Short term receivables total4 324.955 385.577 510.8710 475.6312 946.98
Cash and bank deposits768.15286.14454.84289.35294.75
Cash and cash equivalents768.15286.14454.84289.35294.75
Balance sheet total (assets)11 072.5411 306.8413 666.4015 906.3019 414.80

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Other reserves676.95
Retained earnings2 190.334 975.816 366.269 570.9011 746.69
Profit of the financial year2 785.481 390.453 204.642 852.752 770.36
Shareholders equity total5 475.816 866.2610 070.9012 923.6415 694.00
Provisions469.50308.70145.26176.96
Non-current other liabilities259.13262.04
Non-current deferred tax liabilities161.79267.55105.12285.50
Non-current liabilities total420.92262.04267.55105.12285.50
Current trade creditors1 653.941 284.611 275.29938.611 298.94
Current owed to participating1 429.61
Current owed to group member189.75472.83
Short-term deferred tax liabilities798.07554.071 310.54967.30591.66
Other non-interest bearing current liabilities690.361 728.87596.87971.62894.90
Accruals and deferred income134.33112.54
Current liabilities total4 706.313 869.843 182.702 877.543 258.33
Balance sheet total (liabilities)11 072.5411 306.8413 666.4015 906.3019 414.80
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