All the information you need about SOCIETE DE TERRASSEMENT ET DE GENIE CIVIL to develop and secure your business in France

| Deposit | Confidentiality | closing date | document |
|---|---|---|---|
| 2022-12-16 | Partially confidential | 2021-12-31 | Complete |
| 2022-07-05 | Partially confidential | 2020-12-31 | Complete |
| 2021-10-22 | Partially confidential | 2019-12-31 | Complete |
| 2020-01-13 | Partially confidential | 2018-12-31 | Complete |
| 2019-05-15 | Partially confidential | 2016-12-31 | Complete |
| Name | SOCIETE DE TERRASSEMENT ET DE GENIE CIVIL |
| Siren | 311585228 |
| Closing | 2020-12-31 |
| Registry code | 9712 |
| Registration number | B2022/002830 |
| Management number | 1977B00114 |
| Activity code | 4312A |
| Closing date n-1 | 1901-01-01 |
| Duration Fiscal year | 12 |
| Duration Fiscal year n-1 | 12 |
| Filing date | 2022-07-05 |
| Modification | 00 Annual accounts entered without anomaly |
| Balance sheet type | C : Complete |
| Currency code | EUR |
| Confidentiality | Partially confidential |
| Address | 97139 LES ABYMES |
| 1 - Assets (balance sheet) | Gross amount year N | Amortization year N | Net year N | Net year N-1 |
AN Land | 455 550.00 | 109 725.00 | 345 825.00 | 455 550.00 |
AP Buildings | 460 496.00 | 395 893.00 | 64 603.00 | 460 496.00 |
AR Technical installations, industrial equipment and tools | 1 184 282.00 | 1 142 659.00 | 41 623.00 | 1 184 282.00 |
AT Other tangible assets | 809 021.00 | 781 824.00 | 27 197.00 | 809 021.00 |
BD Other fixed assets | 420 858.00 | 101 658.00 | 319 200.00 | 420 858.00 |
BH Other financial assets | 557.00 | 557.00 | 557.00 | |
BJ TOTAL (I) | 3 330 763.00 | 2 531 759.00 | 799 004.00 | 3 330 763.00 |
BL Raw materials, supplies | 9 789.00 | 9 789.00 | 9 789.00 | |
BV Advances and down payments on orders | 26 907.00 | 26 907.00 | 26 907.00 | |
BX Customers and related accounts | 1 536 988.00 | 1 536 988.00 | 1 536 988.00 | |
BZ Other receivables | 443 784.00 | 443 784.00 | 443 784.00 | |
CD Marketable securities | 509 112.00 | 11 648.00 | 497 463.00 | 509 112.00 |
CF Cash and cash equivalents | 582 922.00 | 582 922.00 | 582 922.00 | |
CH Prepaid expenses | 45 642.00 | 45 642.00 | 45 642.00 | |
CJ TOTAL (II) | 3 155 143.00 | 11 648.00 | 3 143 495.00 | 3 155 143.00 |
CO Grand total (0 to V) | 6 485 906.00 | 2 543 407.00 | 3 942 499.00 | 6 485 906.00 |
| 2 - Liabilities (balance sheet) | Amount year N | Amount year N-1 | ||
DA Share or individual capital | 400 000.00 | 400 000.00 | ||
DD Legal reserve (1) | 40 000.00 | 40 000.00 | ||
DH Retained earnings | 3 583 992.00 | 3 583 992.00 | ||
DI RESULTS FOR THE YEAR (Profit or Loss) | -1 194 784.00 | -1 194 784.00 | ||
DL TOTAL (I) | 2 829 208.00 | 2 829 208.00 | ||
DQ Provisions for Expenses | 18 400.00 | 18 400.00 | ||
DR TOTAL (IV) | 18 400.00 | 18 400.00 | ||
DU Loans and Debts from Credit Institutions (3) | 4 153.00 | 4 153.00 | ||
DV Miscellaneous Loans and Financial Debts (4) | 101 750.00 | 101 750.00 | ||
DX Trade payables and related accounts | 500 749.00 | 500 749.00 | ||
DY Tax and social security liabilities | 340 782.00 | 340 782.00 | ||
EA Other liabilities | 147 456.00 | 147 456.00 | ||
EC TOTAL (IV) | 1 094 891.00 | 1 094 891.00 | ||
EE Grand total (I to V) | 3 942 499.00 | 3 942 499.00 | ||
EG Accrued income and payables due within one year | 1 094 891.00 | 1 094 891.00 | ||
EH Including current bank overdrafts and credit balances from banks and postal accounts | 4 153.00 | 4 153.00 | ||
