GARCIA SERVICES ENGINEERING
GARCIA SERVICES ENGINEERING is actief sinds 1993 en het Belgisch Staatsblad bevat geen insolventie- of waarschuwingssignalen. De jaarrekening over 2025 toont een eigen vermogen van €181k en een nettoresultaat van €24k. Het eigen vermogen groeit met ~28,6% per jaar over de neergelegde boekjaren. De solvabiliteit is beter dan 95% van 26784 sectorgenoten (boekjaar 2025). De berekende faillissementskans over 12 maanden is 0,6% (laag).
| Eigen vermogen | €181k |
| Netto resultaat | €24k |
| Beter dan sector | 95% |
| Actief | 33 jaar |
Uitzonderlijk profiel, sterk op vrijwel elke as.
Alle 5 assen zijn berekend uit gegevens die Checked heeft ingelezen.
Hoe berekenen we dit?
De trend is een robuuste mediaan van alle paarsgewijze hellingen tussen de boekjaren (Theil-Sen), zodat één afwijkend jaar de lijn niet kan kapen. Voor strikt positieve reeksen rekenen we ook een loggroei-variant (samengestelde jaargroei) en kiezen we de variant die de cijfers het best beschrijft.
De zone rond de projectie is 1,8 × de mediane absolute afwijking van de trend, en verbreedt per jaar vooruit (×1 / ×1,6 / ×2,2), met een minimum van 8% van de laatste waarde. Dit is een indicatieve marge, géén statistisch betrouwbaarheidsinterval.
Een reeks waarvan de afwijkingen meer dan 35% van het niveau bedragen, is te volatiel: dan tonen we bewust géén projectie. Elke projectie veronderstelt ongewijzigd beleid en kent geen niet-publieke informatie (orderboek, contracten, financieringsrondes).
| Kengetal | Dit bedrijf | Sectormediaan | Positie in de sector |
|---|---|---|---|
| Solvabiliteit | 93,3% | 47,4% | |
| Nettoresultaat | €24k | €10k | |
| Eigen vermogen | €181k | €60k | |
| Bruto bedrijfsmarge | €71k | €39k | |
| Totaal activa | €194k | €141k |
Cijfers per boekjaar en ratio's
| Boekjaar | 2025 | 2024 | 2023 | 2022 | 2021 |
|---|---|---|---|---|---|
| Neerlegging | microschema | microschema | microschema | microschema | microschema |
| Omzet | - | - | - | - | €749k |
| EBITDA | €68k | €15k | €146k | €34k | €82k |
| Nettoresultaat | €24k | €-13k | €95k | €-2k | €65k |
| Cashflow | €57k | €13k | €116k | €15k | €73k |
| Personeelskosten | - | - | - | - | - |
| Belastingen op het resultaat | €11k | €374 | €29k | €17k | €9k |
| Dividenden | - | - | - | - | - |
| Totaal activa | €194k | €256k | €265k | €193k | €186k |
| Eigen vermogen | €181k | €157k | €170k | €76k | €78k |
| Schulden | €13k | €98k | €95k | €117k | €108k |
| waarvan ≤ 1 jaar | €13k | €98k | €88k | €100k | €108k |
| waarvan > 1 jaar | - | - | €7k | €17k | - |
| Werkkapitaal | €130k | €74k | €97k | €26k | €5k |
| Werknemers (VTE) | - | - | - | - | - |
| 2025 | 2024 | 2023 | 2022 | 2021 | |
|---|---|---|---|---|---|
| Current ratio | 10,95 | 1,76 | 2,10 | 1,26 | 1,05 |
| Quick ratio | 10,95 | 1,76 | 2,10 | 1,26 | 1,05 |
| Werkkapitaalratio | 67,1% | 29,0% | 36,6% | 13,4% | 2,8% |
| Solvabiliteit | 93,3% | 61,5% | 64,3% | 39,2% | 41,9% |
| Debt / equity | 0,07 | 0,63 | 0,56 | 1,55 | 1,39 |
| Langetermijnschuldgraad | - | - | 0,04 | 0,22 | - |
| Interest coverage | 209,37 | 10,30 | 123,76 | 28,64 | 248,61 |
| Bruto rentabiliteit | - | - | - | - | 6,7% |
| Netto rentabiliteit | - | - | - | - | 8,7% |
| ROA | 12,3% | -5,0% | 35,7% | -1,2% | 34,9% |
| ROE | 13,2% | -8,2% | 55,6% | -3,0% | 83,5% |
| EBITDA-marge | - | - | - | - | 11,0% |
| Klantenkrediet (DSO) | - | - | - | - | 47d |
| Leverancierskrediet (DPO) | - | - | - | 121d | 11d |
| Voorraadrotatie | - | - | - | - | - |
| Voorraaddagen (DSI) | - | - | - | - | - |
Volledige jaarrekening (24 posten)
| Post | Code | 2025 | 2024 | 2023 | 2022 | 2021 |
|---|---|---|---|---|---|---|
| Balans, Activa | ||||||
| TOTAAL ACTIVA | 20/58 | €194k | €256k | €265k | €193k | €186k |
| Vaste activa | 21/28 | €51k | €83k | €80k | €67k | €73k |
| Materiële vaste activa | 22/27 | €51k | €83k | €80k | €67k | €73k |
| Vlottende activa | 29/58 | €143k | €173k | €185k | €126k | €113k |
| Vorderingen op ten hoogste één jaar | 40/41 | €117k | €122k | €162k | €112k | €96k |
| Liquide middelen | 54/58 | €26k | €50k | €23k | €14k | €17k |
| Balans, Passiva | ||||||
| TOTAAL PASSIVA | 10/49 | €194k | €256k | €265k | €193k | €186k |
| Eigen vermogen | 10/15 | €181k | €157k | €170k | €76k | €78k |
| Inbreng / kapitaal | 10/11 | €19k | €19k | €19k | €19k | €19k |
| Reserves | 13 | €2k | €2k | €2k | €2k | €2k |
| Overgedragen winst (verlies) | 14 | €161k | €137k | €150k | €55k | €57k |
| Schulden | 17/49 | €13k | €98k | €95k | €117k | €108k |
| Schulden op meer dan één jaar | 17 | - | - | €7k | €17k | - |
| Schulden op ten hoogste één jaar | 42/48 | €13k | €98k | €88k | €100k | €108k |
| Handelsschulden op ten hoogste één jaar | 44 | €1k | €37k | €32k | €27k | €21k |
| Resultatenrekening | ||||||
| Omzet | 70 | - | - | - | - | €749k |
| Bruto bedrijfsmarge | 9900 | €71k | €20k | €149k | €34k | €84k |
| Bedrijfsresultaat | 9901 | €35k | €-11k | €125k | €16k | €74k |
| Financiële opbrengsten | 75 | - | €18 | - | €19 | €1 |
| Financiële kosten | 65 | €326 | €1k | €1k | €1k | €331 |
| Resultaat vóór belasting | 9903 | €35k | €-12k | €124k | €15k | €74k |
| Belastingen op het resultaat | 67/77 | €11k | €374 | €29k | €17k | €9k |
| Resultaat van het boekjaar | 9904 | €24k | €-13k | €95k | €-2k | €65k |
| Te bestemmen resultaat | 9905 | €24k | €-13k | €95k | €-2k | €65k |
Voormalige bestuurders (1)
-
Voormalig- → 03-02-2016
| NACE primair | Sanitaire werkzaamheden(43221) |
| Rechtsvorm | BV(610) |
| Oprichtingsdatum | 12-05-1993 |
| Status | Actief |
| Postcode | 1480 |
| Perceel (capakey) | Regio | Oppervlakte | Gebouwen | Hoogte / verd. |
|---|---|---|---|---|
| 25097B0301/00H000 | Wallonië | 982 m² | 1 · 137 m² | 7,1 m · 2 verd. |
Wij kennen 15 Staatsblad-aktes van dit bedrijf. Daarvan is er nog geen enkele gelezen: wat erin staat, is hier niet vastgesteld en ook niet weerlegd.
30-04-2026 Statutenwijziging
Technische details
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}07-10-2024 Wijziging in het bestuur
Technische details
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}26-07-2023 Wijziging in het bestuur
Technische details
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}27-12-2022 Wijziging in het bestuur
Technische details
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}19-05-2022 Verrichting in kapitaal of aandelen
Technische details
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}19-07-2021 Verrichting in kapitaal of aandelen
Technische details
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}05-01-2021 Verrichting in kapitaal of aandelen
Technische details
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}22-06-2020 Statutenwijziging
Technische details
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}24-09-2019 Zetelverplaatsing van BRUXELLES naar Saintes (Tubize)
- RUE JEAN DE GREEF 28, 1083 BRUXELLES → Rue Quehain 67, 1480 Saintes (Tubize)
Technische details
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}26-01-2018 Kapitaalverhoging van €0,12
- 2 kapitaalbewegingen in deze akte
Technische details
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}27-07-2017 Verrichting in kapitaal of aandelen
Technische details
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}03-02-2016 Verrichting in kapitaal of aandelen
Technische details
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"evidence_quote": "Je d\u00E9clare que Monsieur VIEIRA DO NASCIMENTO Wenderson me remet les 5parts dont il \u00E9tait b\u00E9n\u00E9ficiaire et ne fait plus partie de la soci\u00E9t\u00E9 \u00E0 partir du 01/10/2015.",
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}16-07-2015 Wijziging in het bestuur
Technische details
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"extractor": "constrained-core-35b"
},
"subject_company": {
"kbo": "0450.120.778",
"name_full": "GARCIA SERVICES ENGINEERING",
"legal_form": "SPRL"
}
}| Officiële naamFR | GARCIA SERVICES ENGINEERING |