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THE LIST OF BALANCE SHEET : CONFORAMA DEVELOPPEMENT 12

CORPORATEBOBACCESTABLISHMENTSMANAGERSFINANCE
Deposit Confidentiality closing date document
2023-05-04 Public 2022-09-30 Complete
2022-05-23 Public 2021-09-30 Complete
2021-03-31 Public 2020-09-30 Complete
2020-04-15 Public 2019-09-30 Complete
2019-12-20 Public 2018-09-30 Complete
2019-08-05 Public 2017-09-30 Complete
NameCONFORAMA DEVELOPPEMENT 12
Siren830008397
Closing2022-09-30
Registry code 7701
Registration number 2934
Management number2017B01283
Activity code 4759A
Closing date n-12021-09-30
Duration Fiscal year 12
Duration Fiscal year n-112
Filing date2023-05-04
Modification00 Annual accounts entered without anomaly
Balance sheet typeC : Complete
Currency codeEUR
ConfidentialityPublic
Address77432 MARNE LA VALLEE
1 - Assets (balance sheet)Gross amount year NAmortization year NNet year NNet year N-1
AN Land 17 118 672.00 1 723 832.00 15 394 840.00 17 118 672.00
AP Buildings 54 317 972.00 12 780 011.00 41 537 961.00 54 317 972.00
AV Fixed assets in progress 539 154.00 539 154.00 539 154.00
BF Loans 2.00 1.00 2.00
BJ TOTAL (I) 71 975 798.00 14 503 844.00 57 471 955.00 71 975 798.00
BX Customers and related accounts 2 469 013.00 2 469 013.00 2 469 013.00
BZ Other receivables 1 226 570.00 1 226 570.00 1 226 570.00
CF Cash and cash equivalents 42 800 717.00 42 800 717.00 42 800 717.00
CH Prepaid expenses 480 474.00 2.00 480 474.00 480 474.00
CJ TOTAL (II) 46 976 774.00 46 976 774.00 46 976 774.00
CN Currency translation adjustments (V) 6.00 6.00
CO Grand total (0 to V) 118 952 572.00 14 503 844.00 104 448 729.00 118 952 572.00
2 - Liabilities (balance sheet)Amount year NAmount year N-1
DA Share or individual capital 91 091 000.00 91 091 000.00 91 091 000.00
DC Revaluation differences 8.00
DD Legal reserve (1) 298 957.00 58 293.00 298 957.00
DH Retained earnings 5 675 856.00 1 103 248.00 5 675 856.00
DI RESULTS FOR THE YEAR (Profit or Loss) 2 073 574.00 4 813 271.00 2 073 574.00
DL TOTAL (I) 99 139 386.00 97 065 812.00 99 139 386.00
DV Miscellaneous Loans and Financial Debts (4) 2 086 030.00 3 962 811.00 2 086 030.00
DW Advances and down payments received on current orders 149 338.00 212 132.00 149 338.00
DX Trade payables and related accounts 375 661.00 1 163 849.00 375 661.00
DY Tax and social security liabilities 2 685 152.00 2 649 130.00 2 685 152.00
EA Other liabilities 45.00 4 950.00 45.00
EB Prepaid income (2) 13 117.00 16 387.00 13 117.00
EC TOTAL (IV) 5 309 342.00 8 009 258.00 5 309 342.00
EE Grand total (I to V) 104 448 729.00 105 075 071.00 104 448 729.00
3 - Income statementAmount France year NAmount Export year NTotal year NTotal year N-1
FG Production sold - services 10 310 198.00 10 310 198.00 10 310 198.00
FJ Net sales 10 310 198.00 10 310 198.00 10 310 198.00
FQ Other income 2.00
FR Total operating income (I) 10 310 200.00
FW Other purchases and external expenses 801 720.00
FX Taxes, duties, and similar payments 1 697 578.00
GA Operating Expenses - Depreciation and Amortization 4 869 294.00
GE Other Expenses 77 885.00
GF Total Operating Expenses (II) 7 446 477.00
GG - OPERATING RESULT (I - II) 2 863 723.00
GR Interest and similar expenses 29 840.00
GU Total financial expenses (VI) 29 840.00
GV - FINANCIAL INCOME (V - VI) -29 840.00
GW - CURRENT INCOME BEFORE TAX (I - II + III - IV + V - VI) 2 833 883.00
4 - Income statement (continued)Amount year NAmount year N-1
HA Exceptional income from management transactions 1 782.00 1 782.00
HB Exceptional income from capital transactions 13 222 000.00
HC Reversals of provisions and transfers of expenses 25 980.00
HD Total exceptional income (VII) 1 782.00 13 247 980.00 1 782.00
HF Exceptional expenses on capital transactions 9 290 511.00
HH Total exceptional expenses (VIII) 9 290 511.00
HI - EXCEPTIONAL RESULT (VII - VIII) 1 782.00 3 957 469.00 1 782.00
HK Income tax 762 091.00 1 935 240.00 762 091.00
HL TOTAL REVENUE (I + III + V + VII) 10 311 982.00 24 836 533.00 10 311 982.00
HM TOTAL EXPENSES (II + IV + VI + VIII + IX + X) 8 238 408.00 20 023 262.00 8 238 408.00
HN PROFIT OR LOSS (Total revenue - Total expenses) 2 073 574.00 4 813 271.00 2 073 574.00
5 - Fixed assets increase - decreaseGross value at beginning of year - Item by itemRevaluation - DisposalsAcquisition - Gross value at year-end
0G ACQUISITIONS Total General Total 71 748 492.00 227 307.00 71 748 492.00
I4 DECREASES Grand Total 71 975 798.00
IY DECREASES Total Tangible Fixed Assets 71 975 798.00
LN ACQUISITIONS Total Tangible Fixed Assets 71 748 492.00 227 307.00 71 748 492.00
6 - Depreciation Amount at beginning of yearIncrease: allocation for the yearDiminution repriseYear-end amount
0N DEPRECIATION Grand Total 9 634 550.00 4 869 294.00 9 634 550.00
QU DEPRECIATION Total Tangible Fixed Assets 9 634 550.00 4 869 294.00 9 634 550.00
7 - Provisions Amount at beginning of yearIncrease: allocation for the yearDiminution repriseYear-end amount
EO Provisions for major maintenance and major overhauls or major repairs
8 - Receivables and payablesGross amountAmount within 1 yearAmount 1 to 5 yearsAmount more than 5 years
8A Miscellaneous Loans and Financial Debts 2 086 030.00 2 086 030.00
8B Suppliers and Related Accounts 375 661.00 375 661.00 375 661.00
8K Other liabilities (including liabilities related to repo transactions) 45.00 45.00 45.00
8L Deferred income 13 117.00 13 117.00 13 117.00
UX Other trade receivables 2 469 013.00 2 469 013.00 2 469 013.00
VB VAT 94 745.00 94 745.00 94 745.00
VC Group and associates 1 068 126.00 1 068 126.00 1 068 126.00
VN Other taxes, similar payments 2 853.00 2 853.00 2 853.00
VQ Other Taxes, Duties, and Similar Debts 2 298 540.00 2 298 540.00 2 298 540.00
VR Miscellaneous debtors (including receivables related to repo transactions) 60 845.00 60 845.00 60 845.00
VS Prepaid expenses 480 474.00 480 474.00 480 474.00
VT TOTAL – STATEMENT OF RECEIVABLES 4 176 057.00 4 176 057.00 4 176 057.00
VW VAT 386 612.00 386 612.00 386 612.00
VY TOTAL – STATEMENT OF LIABILITIES 5 160 004.00 3 073 974.00 5 160 004.00

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