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C HOME > CORPORATES > CHL CONSEIL > BALANCE SHEET ( 2022-06-17)

THE LIST OF BALANCE SHEET : CHL CONSEIL

CORPORATEBOBACCESTABLISHMENTSMANAGERSFINANCE
Deposit Confidentiality closing date document
2022-06-17 Public 2021-12-31 Simplified
2021-06-25 Public 2020-12-31 Simplified
2020-05-28 Public 2019-12-31 Simplified
2019-05-23 Public 2018-12-31 Simplified
2018-06-07 Public 2017-12-31 Simplified
2017-05-17 Public 2016-12-31 Simplified
NameCHL CONSEIL
Siren793087362
Closing2021-12-31
Registry code 7702
Registration number 6911
Management number2013B00847
Activity code 6202A
Closing date n-12020-12-31
Duration Fiscal year 12
Duration Fiscal year n-112
Filing date2022-06-17
Modification00 Annual accounts entered without anomaly
Balance sheet typeS : Simplified
Currency codeEUR
ConfidentialityPublic
Address77176 Savigny-le-Temple
1 - Assets and liabilities (balance sheet) Gross amount NAmortization year NNet year NNet year N-1
060 Merchandise inventory 1 147.00 1 147.00 1 147.00
068 Receivables – Trade and related accounts 9 119.00 9 119.00 9 119.00
072 Receivables – Other 359.00 359.00 359.00
084 Cash 9 511.00 9 511.00 9 511.00
092 Prepaid expenses 389.00 389.00 389.00
096 Total Current Assets + Prepaid Expenses 20 525.00 20 525.00 20 525.00
110 Total Assets 20 525.00 20 525.00 20 525.00
120 Share or Individual Capital 8 000.00
126 Legal Reserve 800.00
134 Retained Earnings 5 560.00
136 Profit for the Year -2 559.00
142 Total Equity - Total I 11 801.00
166 Suppliers and related accounts 242.00
169 Other debts including current accounts of partners for fiscal year N 3 238.00
172 Other debts 6 623.00
174 Prepaid income 1 859.00
176 Total debts 8 724.00
180 Liabilities Total 20 525.00
2 - Income statementAmount year NAmount year N-1
210 Sales of goods - France 22 435.00 7 600.00 22 435.00
218 Production of services sold - France 27 684.00 32 450.00 27 684.00
226 Operating subsidies received 4 500.00
230 Other income 1 634.00 445.00 1 634.00
232 Total operating income excluding VAT 51 752.00 44 995.00 51 752.00
234 Purchases of goods (including customs duties) 20 577.00 4 875.00 20 577.00
236 Inventory change (goods) -1 147.00 2 404.00 -1 147.00
242 Other external expenses 7 371.00 6 991.00 7 371.00
243 (including business tax) 596.00 596.00
244 Taxes, duties and similar payments 832.00 848.00 832.00
250 Staff compensation 18 795.00 18 480.00 18 795.00
252 Social security contributions 7 057.00 6 920.00 7 057.00
262 Other expenses 580.00 4.00 580.00
264 Total operating expenses 54 064.00 40 522.00 54 064.00
270 Operating profit -2 312.00 4 473.00 -2 312.00
300 Exceptional expenses 247.00 247.00
310 Profit or loss -2 559.00 4 473.00 -2 559.00
4 - Relevé des Provisions - Amortissements dérogatoires - Déficits reportablesAmount for year N
374 Amount of VAT collected 10 024.00 10 024.00
378 Amount of deductible VAT on goods and services 9 183.00 9 183.00
654 DECREASES in Impairment Provisions – On Trade Receivables and Related Accounts 1 564.00 1 564.00
684 DECREASES in Total Provisions Statement 1 564.00 1 564.00

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