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THE LIST OF BALANCE SHEET : CENTRALE PHOTOVOLTAIQUE DE TOUL-ROSIERES 2

CORPORATEBOBACCESTABLISHMENTSMANAGERSFINANCE
Deposit Confidentiality closing date document
2022-10-28 Public 2021-12-31 Complete
2019-04-16 Public 2018-12-31 Complete
2018-07-05 Public 2017-12-31 Complete
2017-06-26 Public 2016-12-31 Complete
NameCENTRALE PHOTOVOLTAIQUE DE TOUL-ROSIERES 2
Siren523963965
Closing2018-12-31
Registry code 7501
Registration number 25815
Management number2012B01398
Activity code 3511Z
Closing date n-12017-12-31
Duration Fiscal year 12
Duration Fiscal year n-112
Filing date2019-04-16
Modification00 Annual accounts entered without anomaly
Balance sheet typeC : Complete
Currency codeEUR
ConfidentialityPublic
Address75009 PARIS
1 - Assets (balance sheet)Gross amount year NAmortization year NNet year NNet year N-1
AP Buildings 124 900 000.00 40 344 411.00 84 555 589.00 124 900 000.00
BJ TOTAL (I) 124 900 000.00 40 344 411.00 84 555 589.00 124 900 000.00
BX Customers and related accounts 782 949.00 782 949.00 782 949.00
BZ Other receivables 72 416.00 72 416.00 72 416.00
CD Marketable securities 1 161.00 1 161.00 1 161.00
CF Cash and cash equivalents 12 496 670.00 12 496 670.00 12 496 670.00
CH Prepaid expenses 194 227.00 194 227.00 194 227.00
CJ TOTAL (II) 13 547 423.00 13 547 423.00 13 547 423.00
CO Grand total (0 to V) 142 332 858.00 40 344 411.00 101 988 447.00 142 332 858.00
CW Deferred expenses or loan issuance costs 3 885 435.00 3 885 435.00 3 885 435.00
2 - Liabilities (balance sheet)Amount year NAmount year N-1
DA Share or individual capital 72 500.00 72 500.00 72 500.00
DB Share, merger, contribution premiums, etc. 1 282 500.00 1 282 500.00 1 282 500.00
DH Retained earnings -32 030 724.00 -30 435 108.00 -32 030 724.00
DI RESULTS FOR THE YEAR (Profit or Loss) 463 702.00 -1 595 616.00 463 702.00
DK Regulated provisions 26 954 649.00 25 898 121.00 26 954 649.00
DL TOTAL (I) -3 257 373.00 -4 777 603.00 -3 257 373.00
DU Loans and Debts from Credit Institutions (3) 85 530 725.00 90 941 012.00 85 530 725.00
DV Miscellaneous Loans and Financial Debts (4) 19 569 252.00 20 610 230.00 19 569 252.00
DX Trade payables and related accounts 116 448.00 158 476.00 116 448.00
DY Tax and social security liabilities 29 395.00 27 084.00 29 395.00
EC TOTAL (IV) 105 245 820.00 111 736 802.00 105 245 820.00
EE Grand total (I to V) 101 988 447.00 106 959 200.00 101 988 447.00
EG Accrued income and payables due within one year 7 232 910.00 7 263 794.00 7 232 910.00
3 - Income statementAmount France year NAmount Export year NTotal year NTotal year N-1
FD Production sold - goods 15 269 849.00 15 269 849.00 15 269 849.00
FG Production sold - services 74 932.00 74 932.00 74 932.00
FJ Net sales 15 344 782.00 15 344 782.00 15 344 782.00
FQ Other income 2.00
FR Total operating income (I) 15 344 783.00
FW Other purchases and external expenses 1 535 081.00
FX Taxes, duties, and similar payments 578 339.00
GA Operating Expenses - Depreciation and Amortization 6 543 001.00
GE Other Expenses 1.00
GF Total Operating Expenses (II) 8 656 422.00
GG - OPERATING RESULT (I - II) 6 688 361.00
GR Interest and similar expenses 5 168 131.00
GU Total financial expenses (VI) 5 168 131.00
GV - FINANCIAL INCOME (V - VI) -5 168 131.00
GW - CURRENT INCOME BEFORE TAX (I - II + III - IV + V - VI) 1 520 230.00
4 - Income statement (continued)Amount year NAmount year N-1
HG Exceptional depreciation and provisions 1 056 528.00 1 982 073.00 1 056 528.00
HH Total exceptional expenses (VIII) 1 056 528.00 1 982 073.00 1 056 528.00
HI - EXCEPTIONAL RESULT (VII - VIII) -1 056 528.00 -1 982 073.00 -1 056 528.00
HL TOTAL REVENUE (I + III + V + VII) 15 344 783.00 14 403 623.00 15 344 783.00
HM TOTAL EXPENSES (II + IV + VI + VIII + IX + X) 14 881 081.00 15 999 239.00 14 881 081.00
HN PROFIT OR LOSS (Total revenue - Total expenses) 463 702.00 -1 595 616.00 463 702.00
5 - Fixed assets increase - decreaseGross value at beginning of year - Item by itemRevaluation - DisposalsAcquisition - Gross value at year-end
0G ACQUISITIONS Total General Total 124 900 000.00 124 900 000.00
I4 DECREASES Grand Total 124 900 000.00
IY DECREASES Total Tangible Fixed Assets 124 900 000.00
LN ACQUISITIONS Total Tangible Fixed Assets 124 900 000.00 124 900 000.00
6 - Depreciation Amount at beginning of yearIncrease: allocation for the yearDiminution repriseYear-end amount
0N DEPRECIATION Grand Total 34 099 411.00 6 245 000.00 34 099 411.00
QU DEPRECIATION Total Tangible Fixed Assets 34 099 411.00 6 245 000.00 34 099 411.00
7 - Provisions Amount at beginning of yearIncrease: allocation for the yearDiminution repriseYear-end amount
3X Extraordinary depreciation
3Z Total regulated provisions 25 898 121.00 1 056 528.00 25 898 121.00
7C Grand total 25 898 121.00 1 056 528.00 25 898 121.00
UJ - Exceptional 1 056 528.00
8 - Receivables and payablesGross amountAmount within 1 yearAmount 1 to 5 yearsAmount more than 5 years
8B Suppliers and Related Accounts 116 448.00 116 448.00 116 448.00
UX Other trade receivables 782 949.00 782 949.00 782 949.00
VB VAT 56 440.00 56 440.00 56 440.00
VG Loans with a maturity of up to one year at origin 85 530 725.00 7 087 067.00 34 861 728.00 85 530 725.00
VI Group and Associates 19 569 252.00 19 569 252.00
VK Loans repaid during the year 5 314 171.00 5 314 171.00
VQ Other Taxes, Duties, and Similar Debts 13 042.00 13 042.00 13 042.00
VR Miscellaneous debtors (including receivables related to repo transactions) 15 976.00 15 976.00 15 976.00
VS Prepaid expenses 194 227.00 194 227.00 194 227.00
VT TOTAL – STATEMENT OF RECEIVABLES 1 049 592.00 1 049 592.00 1 049 592.00
VW VAT 16 353.00 16 353.00 16 353.00
VY TOTAL – STATEMENT OF LIABILITIES 105 245 820.00 7 232 910.00 34 861 728.00 105 245 820.00

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