Financial results - TAD START CONSTRUCT SRL

Financial Summary - Tad Start Construct Srl
Unique identification code: 33249629
Registration number: J2014000356016
Nace: 4100
Sales - Ron
39.130
Net Profit - Ron
132
Employees
1
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Company Tad Start Construct Srl with Fiscal Code 33249629 recorded a turnover of 2024 of 39.130, with a net profit of 132 and having an average number of employees of 1. The company operates in the field of Lucrări de construcţii a clădirilor rezidenţiale şi nerezidenţiale having the NACE code 4100.
Sales - Ron

Sales, Profit, Employees, Total Income, Financial Results - Tad Start Construct Srl

2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Sales - EUR 27.773 8.239 6.883 13.328 20.588 20.902 49.215 34.336 71.063 39.130
Total Income - EUR 27.773 8.239 6.953 13.328 20.588 20.902 49.215 34.336 71.063 47.357
Total Expenses - EUR 22.892 9.971 4.932 11.400 16.983 17.070 41.811 26.001 41.497 46.833
Gross Profit/Loss - EUR 4.881 -1.732 2.021 1.928 3.605 3.832 7.404 8.335 29.566 524
Net Profit/Loss - EUR 4.042 -1.897 1.917 1.795 3.399 3.623 6.971 8.043 28.891 132
Employees 1 1 1 1 1 1 1 1 1 1
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 decreased by -44.6%, from 71.063 euro in the year 2023, to 39.130 euro in 2024. The Net Profit decreased by -28.597 euro, from 28.891 euro in 2023, to 132 in the last year.
Sales - Ron
Net Profit - Ron
Employees

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TAD START CONSTRUCT SRL

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Financial Analysis Reports provide a clear and comprehensive view of a company's financial activity. In addition to presenting financial data, the reports analyze this data so that any user can understand whether the results are positive or less favorable. The Financial Rating provides an analysis based on the most important financial ratios, including liquidity, solvency, and profitability. Payment Limits represent the maximum amounts for which a company can offer goods or services on credit to its clients. The Probability of Insolvency presents the theoretical probability that a company may not be able to meet its financial obligations towards its creditors, i.e., suppliers and financial institutions.

Debts, Equity, Inventories, Receivables, Accounts, Assets - Tad Start Construct Srl - CUI 33249629

2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Fixed Assets 0 0 0 0 0 0 1.298 911 519 128
Current Assets 5.952 3.339 2.524 3.634 9.250 14.484 25.699 21.603 54.309 53.866
Inventories 4 592 596 153 0 0 0 77 451 10.033
Receivables 671 2.266 482 0 2.106 3.438 15.508 11.120 40.665 19.851
Cash 5.277 481 1.447 3.481 7.144 11.046 10.192 10.406 13.193 23.983
Shareholders Funds 4.652 -1.438 503 2.289 5.643 9.159 15.927 19.964 48.795 42.623
Social Capital 337 334 328 322 316 310 303 304 303 302
Debts 1.301 4.777 2.021 1.345 3.606 5.324 11.070 2.550 6.033 11.371
Income in Advance 0 0 0 0 0 0 0 0 0 0
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 "4100 - 4100"
CAEN Financial Year 4120
The table presents the company's Balance Sheet structure for the last 10 years. Current Assets recorded a value of 53.866 euro in 2024 which includes Inventories of 10.033 euro, Receivables of 19.851 euro and cash availability of 23.983 euro.
The company's Equity was valued at 42.623 euro, while total Liabilities amounted to 11.371 euro. Equity decreased by -5.899 euro, from 48.795 euro in 2023, to 42.623 in 2024.

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