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THE LIST OF BALANCE SHEET : SNC SAINT MARCEL 26

CORPORATEBOBACCESTABLISHMENTSMANAGERSFINANCE
Deposit Confidentiality closing date document
2022-10-28 Public 2021-12-31 Complete
2022-09-12 Public 2020-12-31 Complete
NameSNC SAINT MARCEL 26
Siren513071019
Closing2021-12-31
Registry code 5752
Registration number 3066
Management number2012B00480
Activity code 6820B
Closing date n-12020-12-31
Duration Fiscal year 12
Duration Fiscal year n-112
Filing date2022-10-28
Modification00 Annual accounts entered without anomaly
Balance sheet typeC : Complete
Currency codeEUR
ConfidentialityPublic
Address57200 Sarreguemines
1 - Assets (balance sheet)Gross amount year NAmortization year NNet year NNet year N-1
AN Land 61 870.00 12 940.00 48 930.00 61 870.00
BJ TOTAL (I) 61 870.00 12 940.00 48 930.00 61 870.00
BX Customers and related accounts 5 934.00 5 934.00 5 934.00
BZ Other receivables 42 170.00 42 170.00 42 170.00
CF Cash and cash equivalents 19 976.00 19 976.00 19 976.00
CH Prepaid expenses 1 291.00 1 291.00 1 291.00
CJ TOTAL (II) 69 371.00 69 371.00 69 371.00
CO Grand total (0 to V) 131 241.00 12 940.00 118 301.00 131 241.00
2 - Liabilities (balance sheet)Amount year NAmount year N-1
DA Share or individual capital 5 000.00 5 000.00
DH Retained earnings -21 792.00 -21 792.00
DI RESULTS FOR THE YEAR (Profit or Loss) 21 792.00 21 792.00
DL TOTAL (I) 5 000.00 5 000.00
DU Loans and Debts from Credit Institutions (3) 40.00 40.00
DV Miscellaneous Loans and Financial Debts (4) 103 190.00 103 190.00
DW Advances and down payments received on current orders 489.00 489.00
DX Trade payables and related accounts 1 876.00 1 876.00
DY Tax and social security liabilities 2 968.00 2 968.00
EB Prepaid income (2) 4 739.00 4 739.00
EC TOTAL (IV) 113 301.00 113 301.00
EE Grand total (I to V) 118 301.00 118 301.00
EG Accrued income and payables due within one year 113 301.00 113 301.00
EH Including current bank overdrafts and credit balances from banks and postal accounts 40.00 40.00
3 - Income statementAmount France year NAmount Export year NTotal year NTotal year N-1
FG Production sold - services 16 340.00 16 340.00 16 340.00
FJ Net sales 16 340.00 16 340.00 16 340.00
FP Reversals of depreciation and provisions, transfer of expenses 864 000.00
FQ Other income 1.00
FR Total operating income (I) 880 341.00
FW Other purchases and external expenses 2 832.00
FX Taxes, duties, and similar payments 253.00
GA Operating Expenses - Depreciation and Amortization 1 438.00
GE Other Expenses 853 944.00
GF Total Operating Expenses (II) 858 467.00
GG - OPERATING RESULT (I - II) 21 873.00
GR Interest and similar expenses 82.00
GU Total financial expenses (VI) 82.00
GV - FINANCIAL INCOME (V - VI) -82.00
GW - CURRENT INCOME BEFORE TAX (I - II + III - IV + V - VI) 21 792.00
4 - Income statement (continued)Amount year NAmount year N-1
HL TOTAL REVENUE (I + III + V + VII) 880 341.00 880 341.00
HM TOTAL EXPENSES (II + IV + VI + VIII + IX + X) 858 549.00 858 549.00
HN PROFIT OR LOSS (Total revenue - Total expenses) 21 792.00 21 792.00
5 - Fixed assets increase - decreaseGross value at beginning of year - Item by itemRevaluation - DisposalsAcquisition - Gross value at year-end
0G ACQUISITIONS Total General Total 61 870.00 61 870.00
I4 DECREASES Grand Total 61 870.00
IY DECREASES Total Tangible Fixed Assets 61 870.00
LN ACQUISITIONS Total Tangible Fixed Assets 61 870.00 61 870.00
6 - Depreciation Amount at beginning of yearIncrease: allocation for the yearDiminution repriseYear-end amount
0N DEPRECIATION Grand Total 11 503.00 1 438.00 11 503.00
QU DEPRECIATION Total Tangible Fixed Assets 11 503.00 1 438.00 11 503.00
7 - Provisions Amount at beginning of yearIncrease: allocation for the yearDiminution repriseYear-end amount
6T Receivables 864 000.00 864 000.00 864 000.00
7B Total provisions for depreciation 864 000.00 864 000.00 864 000.00
7C Grand total 864 000.00 864 000.00 864 000.00
UE of which provisions and reversals: - Operating 864 000.00
8 - Receivables and payablesGross amountAmount within 1 yearAmount 1 to 5 yearsAmount more than 5 years
8A Miscellaneous Loans and Financial Debts 5 077.00 5 077.00 5 077.00
8B Suppliers and Related Accounts 1 876.00 1 876.00 1 876.00
8L Deferred income 4 739.00 4 739.00 4 739.00
UX Other trade receivables 5 934.00 5 934.00 5 934.00
VB VAT 2 578.00 2 578.00 2 578.00
VC Group and associates 39 592.00 39 592.00 39 592.00
VG Loans with a maturity of up to one year at origin 40.00 40.00 40.00
VI Group and Associates 98 113.00 98 113.00 98 113.00
VS Prepaid expenses 1 291.00 1 291.00 1 291.00
VT TOTAL – STATEMENT OF RECEIVABLES 49 394.00 49 394.00 49 394.00
VW VAT 2 968.00 2 968.00 2 968.00
VY TOTAL – STATEMENT OF LIABILITIES 112 812.00 112 812.00 112 812.00
11 - Earnings appropriation & miscellaneous informationAmount for year NAmount for year N-1Amount 1 to 5 yearsAmount more than 5 years
9Z Other taxes, duties, and similar payments 253.00 253.00
SS Intermediary remuneration and fees (excluding retrocessions) 2 422.00 2 422.00
ST Other accounts 410.00 410.00
YX Total of the account corresponding to line FX of table no. 2052 253.00 253.00
YY Amount of VAT collected 3 401.00 3 401.00
YZ Total deductible VAT on goods and services 738.00 738.00
ZJ Total of the item corresponding to line FW of table no. 2052 2 832.00 2 832.00

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