Financial results - GAMAR CONSTRUCT SRL

Financial Summary - Gamar Construct Srl
Unique identification code: 19201382
Registration number: J2006001413337
Nace: 4683
Sales - Ron
16.561.985
Net Profit - Ron
646.756
Employees
47
Open Account
Company Gamar Construct Srl with Fiscal Code 19201382 recorded a turnover of 2024 of 16.561.985, with a net profit of 646.756 and having an average number of employees of 47. The company operates in the field of Comerţ cu ridicata al materialului lemnos şi a materialelor de construcţie şi echipamentelor sanitare having the NACE code 4683.
Sales - Ron

Sales, Profit, Employees, Total Income, Financial Results - Gamar Construct Srl

2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Sales - EUR 8.541.623 10.528.417 11.794.012 9.442.948 11.371.352 11.664.310 13.686.431 13.969.731 14.589.598 16.561.985
Total Income - EUR 8.742.780 10.890.576 11.963.522 9.737.698 11.443.205 11.867.000 13.932.808 14.142.613 14.821.127 16.676.702
Total Expenses - EUR 8.729.409 10.869.620 11.879.170 9.732.845 11.330.315 11.514.667 13.462.403 13.485.024 14.126.542 15.935.800
Gross Profit/Loss - EUR 13.371 20.956 84.351 4.853 112.891 352.332 470.406 657.589 694.585 740.902
Net Profit/Loss - EUR 10.067 16.594 17.187 3.363 95.978 302.684 406.032 570.751 614.026 646.756
Employees 38 50 50 66 57 42 48 49 47 47
The table presents the most important indicators of the company from the Profit and Loss Account for the last 10 years of activity as found at the Ministry of Finance. The data provides the evolution of the company during this period regarding the increases and possibly decreases recorded. In the last year of activity, the sales increased by 14.2%, from 14.589.598 euro in the year 2023, to 16.561.985 euro in 2024. The Net Profit increased by 36.161 euro, from 614.026 euro in 2023, to 646.756 in the last year.
Sales - Ron
Net Profit - Ron
Employees

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Debts, Equity, Inventories, Receivables, Accounts, Assets - Gamar Construct Srl - CUI 19201382

2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Fixed Assets 285.271 782.579 830.401 770.662 703.565 651.664 2.713.109 4.730.278 4.640.584 4.787.218
Current Assets 1.413.652 1.971.003 2.157.530 1.891.734 1.783.520 2.102.969 2.523.939 4.272.521 4.875.664 5.664.545
Inventories 353.006 712.839 1.207.754 1.290.283 1.209.959 1.363.777 1.567.211 2.860.923 3.154.704 3.648.724
Receivables 1.009.545 1.238.331 889.804 537.986 531.919 504.602 769.501 1.269.175 1.616.019 1.783.581
Cash 51.101 19.834 59.973 63.464 41.642 234.590 167.012 121.964 84.433 211.849
Shareholders Funds 501.708 502.452 494.553 439.031 395.029 609.979 964.980 3.308.853 3.801.246 3.989.729
Social Capital 45 45 44 257.870 252.876 12.404 12.129 12.167 12.130 12.062
Debts 1.197.215 2.251.130 2.507.952 2.405.612 2.236.821 2.102.528 4.313.876 5.793.455 5.981.238 6.691.404
Income in Advance 0 0 0 0 0 124.303 7.568 8.268 5.689 6.235
Exchange rate - RON 4.9743 4.9465 4.9315 4.9468 4.8371 4.7454 4.6535 4.5681 4.4908 4.445
Main CAEN "4683 - 4683"
CAEN Financial Year 4673
The table presents the company's Balance Sheet structure for the last 10 years. Current Assets recorded a value of 5.664.545 euro in 2024 which includes Inventories of 3.648.724 euro, Receivables of 1.783.581 euro and cash availability of 211.849 euro.
The company's Equity was valued at 3.989.729 euro, while total Liabilities amounted to 6.691.404 euro. Equity increased by 209.727 euro, from 3.801.246 euro in 2023, to 3.989.729 in 2024. The Debt Ratio was 62.6% in the year 2024.

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