Flux Water ApS — Credit Rating and Financial Key Figures

CVR number: 37151106
G-Vej 3, 2300 København S
anneberg@anneberg.net
tel: 96922222

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit-4 267.10-6 085.741 339.8813 369.04-18.60
Employee benefit expenses-6 983.69-6 490.43-1 823.52
Other operating expenses- 524.95
Total depreciation-2 063.16-19 120.15-17.10
EBIT-13 313.94-31 696.32- 500.7313 369.04- 543.56
Other financial income19.06872.63-4.6243.18-0.28
Other financial expenses-2 256.27-1 481.24-1 948.43-31.49-33.99
Net income from associates (fin.)-1 954.54-5 444.96- 804.68-10.05
Pre-tax profit-17 505.69-37 749.90-3 258.4713 370.67- 577.83
Income taxes3 418.957 107.27539.77-3 331.07127.12
Net earnings-14 086.75-30 642.63-2 718.7010 039.60- 450.71

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters1 131.38
Buildings29 338.0716 000.00
Machinery and equipment2 637.80
Tangible assets total33 107.2616 000.00
Investments total
Long term receivables total
Raw materials and consumables451.42317.39
Inventories total451.42317.39
Current trade debtors2 379.28964.5211.89
Current amounts owed by group member comp.7 790.175 423.955 719.571 191.381 200.13
Prepayments and accrued income231.95186.36
Current other receivables1 952.601 101.916 163.0841 967.523 650.00
Current deferred tax assets3 298.756 438.292 971.331 933.89
Short term receivables total15 652.7414 115.0214 865.8645 092.794 850.14
Cash and bank deposits2.210.0628.09
Cash and cash equivalents2.210.0628.09
Balance sheet total (assets)49 211.4230 432.4114 868.0745 092.854 878.23

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Retained earnings-8 343.86-23 345.48-54 507.14-57 225.83-47 186.23
Profit of the financial year-14 086.75-30 642.63-2 718.7010 039.60- 450.71
Shareholders equity total-21 930.61-53 488.11-56 725.83-46 686.23-47 136.94
Provisions13 790.4611 729.287 639.73
Non-current other liabilities1 176.68
Non-current deferred tax liabilities298.95
Non-current liabilities total1 176.68298.95
Current loans from credit institutions2 725.794 312.26635.18
Current trade creditors4 164.972 731.91484.672 349.17
Current owed to group member46 938.6860 718.7070 373.4078 740.3743 988.07
Short-term deferred tax liabilities7 512.60
Other non-interest bearing current liabilities2 561.001 748.63436.892 414.62514.49
Accruals and deferred income961.111 503.05
Current liabilities total57 351.5671 014.5671 294.9684 139.3552 015.16
Balance sheet total (liabilities)49 211.4230 432.4114 868.0745 092.854 878.23
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