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E HOME > CORPORATES > EDMP-CENTRE > BALANCE SHEET ( 2022-11-03)

THE LIST OF BALANCE SHEET : EDMP-CENTRE

CORPORATEBOBACCESTABLISHMENTSMANAGERSFINANCE
Deposit Confidentiality closing date document
2022-11-03 Public 2021-12-31 Complete
2021-07-16 Public 2020-12-31 Complete
2020-09-18 Public 2019-12-31 Complete
NameEDMP-CENTRE
Siren879769131
Closing2021-12-31
Registry code 8002
Registration number B2022/008248
Management number2019B01045
Activity code 4110D
Closing date n-12020-12-31
Duration Fiscal year 12
Duration Fiscal year n-112
Filing date2022-11-03
Modification00 Annual accounts entered without anomaly
Balance sheet typeC : Complete
Currency codeEUR
ConfidentialityPublic
Address80100 ABBEVILLE
1 - Assets (balance sheet)Gross amount year NAmortization year NNet year NNet year N-1
BR Intermediate and finished products 23 543 390.00 23 543 390.00 23 543 390.00
BX Customers and related accounts 23 451 463.00 23 451 463.00 23 451 463.00
BZ Other receivables 991 955.00 991 955.00 991 955.00
CF Cash and cash equivalents 282 029.00 282 029.00 282 029.00
CJ TOTAL (II) 48 268 839.00 48 268 839.00 48 268 839.00
CO Grand total (0 to V) 48 268 839.00 48 268 839.00 48 268 839.00
2 - Liabilities (balance sheet)Amount year NAmount year N-1
DA Share or individual capital 100 000.00 100 000.00 100 000.00
DC Revaluation differences 8.00
DH Retained earnings -450 758.00 -450 758.00
DI RESULTS FOR THE YEAR (Profit or Loss) -540 043.00 -450 758.00 -540 043.00
DL TOTAL (I) -890 801.00 -350 758.00 -890 801.00
DV Miscellaneous Loans and Financial Debts (4) 8 088 931.00 6 083 115.00 8 088 931.00
DX Trade payables and related accounts 5 450 664.00 4 409 438.00 5 450 664.00
DY Tax and social security liabilities 3 517 787.00 1 814 460.00 3 517 787.00
EB Prepaid income (2) 32 102 258.00 9 072 303.00 32 102 258.00
EC TOTAL (IV) 49 159 640.00 21 379 318.00 49 159 640.00
EE Grand total (I to V) 48 268 839.00 21 028 560.00 48 268 839.00
3 - Income statementAmount France year NAmount Export year NTotal year NTotal year N-1
FM Inventory production 14 379 813.00
FQ Other income 1.00
FR Total operating income (I) 14 379 814.00
FW Other purchases and external expenses 14 842 868.00
GE Other Expenses 2 000.00
GF Total Operating Expenses (II) 14 844 868.00
GG - OPERATING RESULT (I - II) -465 053.00
GL Other interest and similar income 1.00
GP Total financial income (V) 1.00
GR Interest and similar expenses 74 991.00
GU Total financial expenses (VI) 74 991.00
GV - FINANCIAL INCOME (V - VI) -74 989.00
GW - CURRENT INCOME BEFORE TAX (I - II + III - IV + V - VI) -540 043.00
4 - Income statement (continued)Amount year NAmount year N-1
HL TOTAL REVENUE (I + III + V + VII) 14 379 816.00 9 163 577.00 14 379 816.00
HM TOTAL EXPENSES (II + IV + VI + VIII + IX + X) 14 919 859.00 9 614 335.00 14 919 859.00
HN PROFIT OR LOSS (Total revenue - Total expenses) -540 043.00 -450 758.00 -540 043.00
8 - Receivables and payablesGross amountAmount within 1 yearAmount 1 to 5 yearsAmount more than 5 years
8A Miscellaneous Loans and Financial Debts 64.00 64.00 64.00
8B Suppliers and Related Accounts 5 450 664.00 5 450 664.00 5 450 664.00
8L Deferred income 32 102 258.00 32 102 258.00 32 102 258.00
UX Other trade receivables 23 451 463.00 23 451 463.00 23 451 463.00
VB VAT 950 121.00 950 121.00 950 121.00
VC Group and associates 41 834.00 41 834.00 41 834.00
VJ Loans taken out during the year 22 123.00 22 123.00
VK Loans repaid during the year 96 108.00 96 108.00
VT TOTAL – STATEMENT OF RECEIVABLES 24 443 419.00 24 443 419.00 24 443 419.00
VW VAT 3 517 787.00 3 517 787.00 3 517 787.00
VY TOTAL – STATEMENT OF LIABILITIES 41 070 774.00 41 070 774.00 41 070 774.00

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