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B HOME > CORPORATES > BETON CHANTIERS MARTIGUES > BALANCE SHEET ( 2022-06-01)

THE LIST OF BALANCE SHEET : BETON CHANTIERS MARTIGUES

CORPORATEBOBACCESTABLISHMENTSMANAGERSFINANCE
Deposit Confidentiality closing date document
2022-06-01 Public 2021-12-31 Complete
2019-06-28 Public 2018-12-31 Complete
2018-08-21 Public 2017-12-31 Complete
2017-08-31 Public 2016-12-31 Complete
NameBETON CHANTIERS MARTIGUES
Siren651621286
Closing2021-12-31
Registry code 1301
Registration number 3648
Management number1965B00128
Activity code 2363Z
Closing date n-11901-01-01
Duration Fiscal year 12
Duration Fiscal year n-100
Filing date2022-06-01
Modification00 Annual accounts entered without anomaly
Balance sheet typeC : Complete
Currency codeEUR
ConfidentialityPublic
Address13220 Châteauneuf-les-Martigues
1 - Assets (balance sheet)Gross amount year NAmortization year NNet year NNet year N-1
AN Land 171 799.00 171 799.00 171 799.00
AP Buildings 800 747.00 446 836.00 353 911.00 800 747.00
AR Technical installations, industrial equipment and tools 1 152 941.00 648 079.00 504 862.00 1 152 941.00
AT Other tangible assets 6 539.00 6 539.00 6 539.00
AV Fixed assets in progress 16 450.00 16 450.00 16 450.00
BJ TOTAL (I) 2 148 476.00 1 273 252.00 875 223.00 2 148 476.00
BL Raw materials, supplies 34 983.00 34 983.00 34 983.00
BT Goods
BX Customers and related accounts 231 660.00 231 660.00 231 660.00
BZ Other receivables 118 925.00 118 925.00 118 925.00
CF Cash and cash equivalents
CJ TOTAL (II) 385 568.00 385 568.00 385 568.00
CO Grand total (0 to V) 2 534 044.00 1 273 252.00 1 260 791.00 2 534 044.00
2 - Liabilities (balance sheet)Amount year NAmount year N-1
DA Share or individual capital 98 800.00 98 800.00 98 800.00
DD Legal reserve (1) 9 909.00 9 909.00 9 909.00
DF Regulated reserves (1) 292.00 291.00 292.00
DH Retained earnings -1 303 115.00 -1 341 846.00 -1 303 115.00
DI RESULTS FOR THE YEAR (Profit or Loss) 79 253.00 38 731.00 79 253.00
DK Regulated provisions 506 018.00 563 632.00 506 018.00
DL TOTAL (I) -608 843.00 -630 483.00 -608 843.00
DU Loans and Debts from Credit Institutions (3) 687.00 1 123.00 687.00
DX Trade payables and related accounts 369 582.00 668 805.00 369 582.00
DY Tax and social security liabilities 275.00 17 600.00 275.00
DZ Fixed asset liabilities and related accounts 19 740.00 19 740.00
EA Other liabilities 1 479 351.00 2 000 111.00 1 479 351.00
EC TOTAL (IV) 1 869 634.00 2 687 639.00 1 869 634.00
EE Grand total (I to V) 1 260 791.00 2 057 156.00 1 260 791.00
3 - Income statementAmount France year NAmount Export year NTotal year NTotal year N-1
FD Production sold - goods 1 662 546.00 1 662 546.00 1 662 546.00
FG Production sold - services 3 672.00 3 672.00 3 672.00
FJ Net sales 1 666 218.00 1 666 218.00 1 666 218.00
FQ Other income 5.00
FR Total operating income (I) 1 666 223.00
FS Purchases of goods (including customs duties)
FT Inventory change (goods)
FU Purchases of raw materials and other supplies 1 025 030.00
FV Inventory change (raw materials and supplies) 6 349.00
FW Other purchases and external expenses 502 482.00
FX Taxes, duties, and similar payments 11 448.00
GA Operating Expenses - Depreciation and Amortization 97 652.00
GE Other Expenses 4.00
GF Total Operating Expenses (II) 1 642 966.00
GG - OPERATING RESULT (I - II) 23 257.00
GW - CURRENT INCOME BEFORE TAX (I - II + III - IV + V - VI) 23 257.00
4 - Income statement (continued)Amount year NAmount year N-1
HC Reversals of provisions and transfers of expenses 57 615.00 68 368.00 57 615.00
HD Total exceptional income (VII) 57 615.00 68 368.00 57 615.00
HE Exceptional expenses on management operations 1 619.00 1 619.00
HG Exceptional depreciation and provisions 11 910.00
HH Total exceptional expenses (VIII) 1 619.00 11 910.00 1 619.00
HI - EXCEPTIONAL RESULT (VII - VIII) 55 996.00 56 458.00 55 996.00
HL TOTAL REVENUE (I + III + V + VII) 1 723 838.00 2 247 606.00 1 723 838.00
HM TOTAL EXPENSES (II + IV + VI + VIII + IX + X) 1 644 585.00 2 208 874.00 1 644 585.00
HN PROFIT OR LOSS (Total revenue - Total expenses) 79 253.00 38 731.00 79 253.00
5 - Fixed assets increase - decreaseGross value at beginning of year - Item by itemRevaluation - DisposalsAcquisition - Gross value at year-end
0G ACQUISITIONS Total General Total 2 132 022.00 16 454.00 2 132 022.00
I4 DECREASES Grand Total 2 148 476.00
IY DECREASES Total Tangible Fixed Assets 2 148 476.00
LN ACQUISITIONS Total Tangible Fixed Assets 2 132 022.00 16 454.00 2 132 022.00
6 - Depreciation Amount at beginning of yearIncrease: allocation for the yearDiminution repriseYear-end amount
0N DEPRECIATION Grand Total 1 175 597.00 97 655.00 1 175 597.00
QU DEPRECIATION Total Tangible Fixed Assets 1 175 597.00 97 655.00 1 175 597.00
7 - Provisions Amount at beginning of yearIncrease: allocation for the yearDiminution repriseYear-end amount
3X Extraordinary depreciation
3Z Total regulated provisions 563 633.00 57 615.00 563 633.00
7C Grand total 563 633.00 57 615.00 563 633.00
8 - Receivables and payablesGross amountAmount within 1 yearAmount 1 to 5 yearsAmount more than 5 years
8B Suppliers and Related Accounts 369 582.00 369 582.00 369 582.00
8J Fixed Asset Liabilities and Related Accounts 19 740.00 19 740.00 19 740.00
UL Receivables related to investments 6.00 6.00 6.00
UX Other trade receivables 231 660.00 231 660.00 231 660.00
VB VAT 99 329.00 99 329.00 99 329.00
VG Loans with a maturity of up to one year at origin 687.00 687.00 687.00
VI Group and Associates 1 479 351.00 1 479 351.00 1 479 351.00
VP Miscellaneous 6 742.00 6 742.00 6 742.00
VR Miscellaneous debtors (including receivables related to repo transactions) 12 854.00 12 854.00 12 854.00
VT TOTAL – STATEMENT OF RECEIVABLES 350 585.00 350 585.00 350 585.00
VW VAT 275.00 275.00 275.00
VY TOTAL – STATEMENT OF LIABILITIES 1 869 634.00 1 869 634.00 1 869 634.00

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