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T HOME > CORPORATES > TAVERNE DE SAINT MALO > BALANCE SHEET ( 2021-09-22)

THE LIST OF BALANCE SHEET : TAVERNE DE SAINT MALO

CORPORATEBOBACCESTABLISHMENTSMANAGERSFINANCE
Deposit Confidentiality closing date document
2022-07-11 Public 2021-12-31 Simplified
2021-09-22 Public 2020-12-31 Simplified
NameTAVERNE DE SAINT MALO
Siren839793346
Closing2020-12-31
Registry code 6752
Registration number 13757
Management number2018B01751
Activity code 5610A
Closing date n-12019-12-31
Duration Fiscal year 12
Duration Fiscal year n-122
Filing date2021-09-22
Modification00 Annual accounts entered without anomaly
Balance sheet typeS : Simplified
Currency codeEUR
ConfidentialityPublic
Address67000 Strasbourg
1 - Assets and liabilities (balance sheet) Gross amount NAmortization year NNet year NNet year N-1
010 Intangible Assets - Goodwill 13 000.00 13 000.00 13 000.00
014 Intangible Assets - Other 152 000.00 1 664.00 150 336.00 152 000.00
028 Tangible Assets 70 404.00 27 796.00 42 608.00 70 404.00
044 Total Fixed Assets 235 404.00 29 459.00 205 944.00 235 404.00
050 Raw materials, supplies, in progress 3 329.00 3 329.00 3 329.00
068 Receivables – Trade and related accounts 225.00 225.00 225.00
072 Receivables – Other 73 434.00 73 434.00 73 434.00
084 Cash 22 797.00 22 797.00 22 797.00
092 Prepaid expenses
096 Total Current Assets + Prepaid Expenses 99 784.00 99 784.00 99 784.00
110 Total Assets 335 188.00 29 459.00 305 729.00 335 188.00
120 Share or Individual Capital 1 000.00
134 Retained Earnings -44 614.00
136 Profit for the Year -24 343.00
142 Total Equity - Total I -67 957.00
156 Loans and similar debts 135 628.00
166 Suppliers and related accounts 21 563.00
169 Other debts including current accounts of partners for fiscal year N 1 824.00
172 Other debts 216 495.00
176 Total debts 373 686.00
180 Liabilities Total 305 729.00
182 Cost of fixed assets acquired or created during the financial year 18 967.00
2 - Income statementAmount year NAmount year N-1
214 Production of goods sold - France 279 195.00 1 006 691.00 279 195.00
226 Operating subsidies received 12 928.00 12 928.00
230 Other income 19 559.00 181.00 19 559.00
232 Total operating income excluding VAT 311 681.00 1 006 873.00 311 681.00
238 Purchases of raw materials and other supplies (including royalties 113 139.00 424 850.00 113 139.00
240 Inventory changes (raw materials and supplies) -2 908.00 -421.00 -2 908.00
242 Other external expenses 127 195.00 239 225.00 127 195.00
243 (including business tax) 713.00 713.00
244 Taxes, duties and similar payments 1 818.00 12 246.00 1 818.00
250 Staff compensation 78 540.00 283 656.00 78 540.00
252 Social security contributions 2 134.00 72 930.00 2 134.00
254 Depreciation and amortization 13 960.00 15 499.00 13 960.00
262 Other expenses 265.00 160.00 265.00
264 Total operating expenses 334 143.00 1 048 146.00 334 143.00
270 Operating profit -22 462.00 -41 273.00 -22 462.00
280 Financial income 246.00 144.00 246.00
294 Financial expenses 2 127.00 3 484.00 2 127.00
310 Profit or loss -24 343.00 -44 614.00 -24 343.00

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