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BERNARD CONSTRUCTION

Active
Public limited companyfounded 199729 yrs activeRue le Marais 14, 4530 Villers-le-Bouillet, BelgiumKBO/BCE: BE 0461.381.686
Summary

BERNARD CONSTRUCTION has been active since 1997 and the Belgian State Gazette contains no insolvency or warning signals. The 2025 annual accounts show equity of €1.0m and a net result of €497,989. Equity is growing by ~30.1% per year across the filed fiscal years. Its solvency ranks better than 12% of 851 sector peers (fiscal year 2025). The computed 12-month bankruptcy probability is 0.4% (very low).

Checked score

Score 2025
Axes · tick = 2024
Profitability37▲+37
Solvency29▲+29
Growth63▲+39
Track record100
Bankruptcy probability, 12 months
0.4% Very low
0%0.5%1.5%4%10%≥ 25%
Credit up to €45,000 at 30 days acceptable
Liquidity tight (current ratio 1.01 against 0.78 in 2024; short-term debt: 93.6% and cash: 5.7% of total assets), and 95.8% of the assets are financed with debt.
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Signals

Seven signals. The signal on the left, the evidence on the right.
−lowers risk+raises risk○neutral
raises risk · Higher-failure-rate sector
In this sector companies fail more often than the Belgian average.
Gazette · bankruptcies per sector, NACE 41
Relative position
BE, all sectors
reference
Construction of residential and non-residential buildings (NACE 41)
about 67% more bankruptcies
← fewer bankruptcies more bankruptcies →
lowers risk · Long track record
A company with a long track record statistically fails less often than a young one.
KBO · incorporation date
Age against the risk zone
highest failure risk from 2 to 8 years 29 years 0 30 y
lowers risk · Annual accounts: healthy financial profile
The latest annual accounts show a healthy profile in solvency, result and liquidity.
NBB · annual accounts 2025
Solvency, return and age of the figures
Solvency
4.2%
Return on assets
2%
Age of the figures
9 mo
lowers risk · Lower-risk legal form
Companies with this legal form statistically fail less often than a BV.
KBO · legal form
raises risk · Higher-failure-rate region
In this region companies fail more often than in the rest of the country.
KBO · registered office
raises risk · Weak solvency vs sector
Solvency (equity / total assets) is in the sector's weakest quartile: better than 12% of 851 sector peers (2025).
NBB · sector comparison
Position among 851 sector peers
Solvency
better than 12%
← weakest strongest →
neutral · Latest accounts filed on time
The financial year that closed on 31-12-2025 was due by 31-07-2026 and was filed on 16-07-2026, 15 days ahead of the deadline.
NBB · 10 filings
Deviation from the deadline
2025
15 d early
2024
135 d late
2023
92 d late
2022
4 d early
2021
29 d late
2020
16 d late
2019
91 d late
← before the deadline after the deadline →
tick = median of all Belgian filingsring = median in the sector

This company filed its last 7 accounts on average 49 days after the deadline; the sector median for financial year 2024 is on the deadline day, and 46% of the sector filed late.

Checked, nothing found (2)
neutral · The next deadline is still running
The next financial year closes on 31-12-2026 and is due by 31-07-2027. Nothing is late today. Usually files around 29 August (4 of the last 5 filed years within 64 days of that day).
Companies Code · seven months
Position in the running window
30-09-2026 today31-12-2026 close31-07-2027 deadline
neutral · No strike-offs in the KBO publications
We found no ex-officio strike-off or cessation. Our series starts in 2021 and has gaps, so this is not a confirmation that there is nothing.
KBO publications · our coverage

History

BERNARD CONSTRUCTION was incorporated on 11 September 1997.1 In 2026 the capital was increased by EUR 7 million to EUR 8.1 million.2 The board currently has 2 members; SOciété de GEStion et Construction has served longest, since 2025.2 Revenue went from EUR 30 million in 2018 to EUR 30 million in 2025 and headcount from 45 to 42.9 full-time equivalents.3

  1. 1Crossroads Bank for Enterprises
  2. 2Belgian State Gazette, 30-01-2026
  3. 3National Bank, annual accounts 2018 and 2025

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Financials · fiscal year 2025, full schema

Turnover
€30.3m▲ 70.5%
2024 · €17.8m
EBIT margin
3.5%▲ 37.8pp
2024 · -34.4%
Net result
€497,989
2024 · -€6.7m
Working capital
€121,404
2024 · -€3.2m
Trend over the years

Click a name to add, emphasise or remove a line.Band: the middle half (P25 to P75) of NACE 41, Construction of residential and non-residential buildings, each year against the same schema; no band under 30 filings. Dashed line: the median.

Every figure with its change against the fiscal year before
favourable unfavourable
Line20212022202320242025
Turnover€48.4m▲ 201%€32.2m▼ 33.5%€33.3m▲ 3.4%€17.8m▼ 46.6%€30.3m▲ 70.5%
Operating result€834,144€861,846▲ 3.3%€578,051▼ 32.9%-€6.1m€1.1m
Net result€800,086above the sector's middle half€728,548above the sector's middle half▼ 8.9%€300,378above the sector's middle half▼ 58.8%-€6.7mbelow the sector's middle half€497,989above the sector's middle half
EBIT margin1.7%▲ 6.5pp2.7%▲ 1.0pp1.7%▼ 0.9pp-34.4%▼ 36.1pp3.5%▲ 37.8pp
Equity-€800,344below the sector's middle half▲ 49.8%-€71,797below the sector's middle half▲ 91.0%€228,581within the sector's middle half-€6.5mbelow the sector's middle half€1.0mwithin the sector's middle half
Total assets€19.4mabove the sector's middle half▲ 17.3%€25.5mabove the sector's middle half▲ 31.0%€17.4mabove the sector's middle half▼ 31.5%€13.1mabove the sector's middle half▼ 24.8%€24.6mabove the sector's middle half▲ 87.8%
Debt€20.1m▲ 11.4%€25.4m▲ 26.6%€17.1m▼ 32.8%€19.1m▲ 12.1%€23.1m▲ 20.6%
Working capital€2.3mabove the sector's middle half▲ 33.5%€2.2mabove the sector's middle half▼ 7.3%€2.6mabove the sector's middle half▲ 21.9%-€3.2mbelow the sector's middle half€121,404within the sector's middle half
Solvency-4.1%below the sector's middle half▲ 5.5pp-0.3%below the sector's middle half▲ 3.8pp1.3%below the sector's middle half▲ 1.6pp-49.3%below the sector's middle half▼ 50.6pp4.2%below the sector's middle half▲ 53.5pp
Current ratio1.16within the sector's middle half▲ 0.021.10within the sector's middle half▼ 0.061.20within the sector's middle half▲ 0.100.78below the sector's middle half▼ 0.421.01below the sector's middle half▲ 0.22
Return on assets (ROA)4.1%within the sector's middle half▲ 8.8pp2.9%within the sector's middle half▼ 1.3pp1.7%within the sector's middle half▼ 1.1pp-51.1%below the sector's middle half▼ 52.8pp2.0%within the sector's middle half▲ 53.1pp
Staff (FTE)47above the sector's middle half▲ 17.5%52above the sector's middle half▲ 10.6%52above the sector's middle half=42above the sector's middle half▼ 19.2%42.9above the sector's middle half▲ 2.1%
above within below the middle half (P25 to P75) of NACE 41, Construction of residential and non-residential buildings, each year against the same schema; no band under 30 filings.
Result per fiscal year
Operating resultNet result
-€8.0m-€6.0m-€4.0m-€2.0m€0€2.0mOperating result 2021: €834,144€834,144Net result 2021: €800,086€800,086Operating result 2022: €861,846€861,846Net result 2022: €728,548€728,548Operating result 2023: €578,051€578,051Net result 2023: €300,378€300,378Operating result 2024: -€6.1m-€6.1mNet result 2024: -€6.7m-€6.7mOperating result 2025: €1.1m€1.1mNet result 2025: €497,989€497,98920212022202320242025-€8m-€6m-€4m-€2m€0€2mOperating result 2023: €578,051€578,000Net result 2023: €300,378€300,000Operating result 2024: -€6.1m-€6.1mNet result 2024: -€6.7m-€6.7mOperating result 2025: €1.1m€1.1mNet result 2025: €497,989€498,000202320242025
The operating result returns to profit in 2025: €1.1m after a loss of €6.1m in 2024, the highest result in the available series.
Balance-sheet composition
2025 in colour, 2024 as the grey bar beneath
Assets €24.6m
Fixed assets €1.5m ▼ 1.8%
Current assets €23.1m ▲ 99.3%
Equity and liabilities €24.6m
Equity €1.0m
Provisions €481,469
Debt €23.1m
Debt finances 93.8% of the balance-sheet total.
Key figures and ratios
2025 value · change against 2024
EBITDA
€1.2m▲
2024 · -€5.8m
Cash flow
€635,969▲
2024 · -€6.4m
Quick ratio
0.91▲
2024 · 0.72
Debt to equity
22.30▲
2024 · -2.96
ROE
48.1%
Interest coverage
1.96▲
2024 · -11.68
Debt ≤ 1 year
€23.0m▲
2024 · €14.8m
Debt > 1 year
€60,130▼
2024 · €4.3m
Income taxes
-€3,517▼
2024 · €159,043
Staff costs
€3.0m▲
2024 · €2.9m
Green means a favourable move, even when the figure itself falls: as with debt or debt to equity.

Peer companies

Historical observation

Of the 1,216 companies that looked in July 2024 the way this one looks now, 1.4% went bankrupt within 24 months and 96% are still going.

  • Small
  • 20 years or older
  • solvency under 10%
  • a profit under 5% of the balance sheet
1.4% went bankrupt
2.5% stopped otherwise
96% still going

For this company itself Checked computes a bankruptcy probability of 0.4% over twelve months; the group does not contradict it.

How reliable is this rule?

Tested on the year before, without using that year itself: the groups of July 2023 gave each of the 497,340 companies of July 2024 its group's bankruptcy share. Expected: 1.6%; actually bankrupt within 24 months: 1.7%.

The companies in ten equal groups, from lowest to highest expected share.
Group Expected Actual
1 0.2% 0.2%
2 0.3% 0.5%
3 0.5% 0.6%
4 0.7% 0.8%
5 0.9% 1.0%
6 1.3% 1.5%
7 1.6% 1.8%
8 1.8% 1.8%
9 3.0% 3.1%
10 5.6% 6.2%

The rule ranks well: a company that went bankrupt got a higher share than one that kept going in 74% of comparisons. The level follows the economy: in a year with more bankruptcies, the actual share is higher than the year before.

An observation about 1,216 comparable companies, not a prediction for this company. The sector does not count: the register keeps no sector for companies that stopped, so it would make the outcome look better than it was.

Annual accounts
Filed annual accounts As filed with the NBB · 2025 against 2024 · 88 lines
Balance sheet Code20242025
Assets
Total assets20/58€13.1m€24.6m▲
Fixed assets21/28€1.5m€1.5m▼
Tangible fixed assets22/27€827,115€743,108▼
Land and buildings22€610,519€597,200▼
Plant, machinery and equipment23€191,497€120,460▼
Furniture and vehicles24€11,028€25,448▲
Leasing and similar rights25€14,071€0▼
Assets under construction and advance payments27€0-
Financial fixed assets28€657,444€714,788▲
Companies linked by participating interests282/3€1,040€1,040=
Participating interests282€1,040€1,040=
Other financial fixed assets284/8€656,404€713,748▲
Amounts receivable and cash guarantees285/8€656,404€713,748▲
Current assets29/58€11.6m€23.1m▲
Stocks and contracts in progress3€961,097€2.1m▲
Stocks30/36€426,500€426,500=
Property held for sale35€426,500€426,500=
Contracts in progress37€534,597€1.7m▲
Amounts receivable within one year40/41€9.5m€19.5m▲
Trade receivables40€7.2m€11.4m▲
Other amounts receivable41€2.3m€8.1m▲
Cash at bank and in hand54/58€1.1m€1.4m▲
Deferred charges and accrued income490/1€30,152€174,113▲
Equity and liabilities
Total equity and liabilities10/49€13.1m€24.6m▲
Equity10/15-€6.5m€1.0m▲
Contributions10/11€1.1m€8.1m▲
Capital10€1.1m€8.1m▲
Issued capital100€1.1m€8.1m▲
Revaluation surpluses12€258,355€258,355=
Reserves13€10,750€10,750=
Non-distributable reserves130/1€10,750€10,750=
Legal reserve130€10,750€10,750=
Profit (loss) carried forward14-€7.8m-€7.3m▲
Provisions and deferred taxes16€421,570€481,469▲
Provisions for liabilities and charges160/5€421,570€481,469▲
Major repairs and maintenance162€130,101€0▼
Environmental obligations163€291,469-
Other liabilities and charges164/5-€481,469
Amounts payable17/49€19.1m€23.1m▲
Amounts payable after more than one year17€4.3m€60,130▼
Financial debts170/4€4.3m€60,130▼
Subordinated loans170€4.2m€0▼
Leasing and similar obligations172€119,472€60,130▼
Amounts payable within one year42/48€14.8m€23.0m▲
Current portion of amounts payable after more than one year42€114,496€57,229▼
Financial debts43€1.6m€1.6m▲
Credit institutions430/8€1.6m€1.6m▲
Trade debts44€5.8m€10.9m▲
Suppliers440/4€5.8m€10.9m▲
Advances received on contracts in progress46-€2.2m
Taxes, remuneration and social security45€313,931€330,088▲
Taxes450/3€64,429€89,483▲
Remuneration and social security454/9€249,502€240,605▼
Other amounts payable47/48€7.1m€8.0m▲
Accrued charges and deferred income492/3€9,254€2,124▼
Income statement Code20242025
Operating income70/76A€16.6m€29.7m▲
Turnover70€17.8m€30.3m▲
Change in stocks of work in progress, finished goods and contracts in progress71-€2.0m-€1.5m▲
Other operating income74€794,257€867,656▲
Operating charges60/66A€22.7m€28.7m▲
Goods for resale, raw materials and consumables60€15.6m€23.3m▲
Purchases600/8€15.3m€23.3m▲
Change in stocks: decrease (increase)609€271,589€0▼
Services and other goods61€2.3m€2.5m▲
Remuneration, social security and pensions62€2.9m€3.0m▲
Depreciation of and write-downs on formation expenses, intangible and tangible fixed assets630€268,096€137,980▼
Write-downs on stocks, contracts in progress and trade receivables: additions (reversals)631/4€829,235-€447,899▼
Provisions for liabilities and charges: additions (uses and reversals)635/8€306,156€59,899▼
Other operating charges640/8€466,972€134,476▼
Non-recurring operating charges66A€131,010€1,383▼
Operating profit (loss)9901-€6.1m€1.1m▲
Financial income75/76B€107,768€143,149▲
Recurring financial income75€107,768€143,149▲
Income from current assets751€107,768€131,319▲
Other financial income752/9-€11,831
Financial charges65/66B€529,214€698,974▲
Recurring financial charges65€529,214€698,974▲
Debt charges650€500,005€606,127▲
Other financial charges652/9€29,209€92,847▲
Profit (loss) for the period before taxes9903-€6.5m€494,472▲
Income taxes67/77€159,043-€3,517▼
Taxes670/3€159,043€4,376▼
Tax adjustments and reversals of tax provisions77-€7,893
Profit (loss) for the period9904-€6.7m€497,989▲
Profit (loss) for the period to be appropriated9905-€6.7m€497,989▲
Appropriation of the result
Profit (loss) to be appropriated9906-€7.8m-€7.3m▲
Profit (loss) brought forward from the previous period14P-€1.1m-€7.8m▼
Social balance
Average headcount (FTE)908742.042.9▲

The notes to these accounts (92 items: statements of assets and debts, cost breakdowns, rights and commitments) are not shown here.

Line20212022202320242025Change
Operating income70/76A€40.4m€39.1m€33.2m€16.6m€29.7m▲ 78.8%
Turnover70€48.4m€32.2m€33.3m€17.8m€30.3m▲ 70.5%
Change in stocks of work in progress, finished goods and contracts in progress71-€8.4m€6.4m-€499,314-€2.0m-€1.5m▲ 25.1%
Other operating income74€331,072€425,180€416,669€794,257€867,656▲ 9.2%
Non-recurring operating income76A-€26,544----
Operating charges60/66A€39.5m€38.2m€32.6m€22.7m€28.7m▲ 26.2%
Goods for resale, raw materials and consumables60€33.6m€32.5m€26.9m€15.6m€23.3m▲ 49.4%
Purchases600/8€33.6m€32.5m€26.9m€15.3m€23.3m▲ 52.0%
Change in stocks: decrease (increase)609---€271,589€0▼ 100%
Services and other goods61€1.6m€1.9m€2.1m€2.3m€2.5m▲ 9.0%
Remuneration, social security and pensions62€2.8m€3.3m€3.5m€2.9m€3.0m▲ 5.9%
Depreciation of and write-downs on formation expenses, intangible and tangible fixed assets630€391,136€396,417€322,445€268,096€137,980▼ 48.5%
Write-downs on stocks, contracts in progress and trade receivables: additions (reversals)631/4€990,011€100,000-€300,000€829,235-€447,899▼ 154%
Provisions for liabilities and charges: additions (uses and reversals)635/8€9,876-€30,082-€306,156€59,899▼ 80.4%
Other operating charges640/8€90,198€84,084€130,203€466,972€134,476▼ 71.2%
Non-recurring operating charges66A---€131,010€1,383▼ 98.9%
Operating profit (loss)9901€834,144€861,846€578,051-€6.1m€1.1m▲ 117%
Financial income75/76B€52,003€95,707€138,715€107,768€143,149▲ 32.8%
Recurring financial income75€52,003€95,707€138,715€107,768€143,149▲ 32.8%
Income from current assets751€46,822€95,707€138,715€107,768€131,319▲ 21.9%
Other financial income752/9€5,181---€11,831-
Financial charges65/66B€82,945€223,995€409,903€529,214€698,974▲ 32.1%
Recurring financial charges65€82,945€223,995€409,903€529,214€698,974▲ 32.1%
Debt charges650€64,859€178,011€391,500€500,005€606,127▲ 21.2%
Other financial charges652/9€18,086€45,985€18,403€29,209€92,847▲ 218%
Profit (loss) for the period before taxes9903€803,202€733,558€306,863-€6.5m€494,472▲ 108%
Income taxes67/77€3,116€5,010€6,485€159,043-€3,517▼ 102%
Taxes670/3€3,116€5,010€6,485€159,043€4,376▼ 97.2%
Tax adjustments and reversals of tax provisions77----€7,893-
Profit (loss) for the period9904€800,086€728,548€300,378-€6.7m€497,989▲ 107%
Profit (loss) for the period to be appropriated9905€800,086€728,548€300,378-€6.7m€497,989▲ 107%
Line20212022202320242025Change
Assets
Total assets20/58€19.4m€25.5m€17.4m€13.1m€24.6m▲ 87.8%
Fixed assets21/28€2.3m€2.0m€1.7m€1.5m€1.5m▼ 1.8%
Intangible fixed assets21€221,099€128,559€51,713---
Tangible fixed assets22/27€1.6m€1.3m€1.0m€827,115€743,108▼ 10.2%
Land and buildings22€714,787€678,421€643,721€610,519€597,200▼ 2.2%
Plant, machinery and equipment23€502,130€396,287€293,197€191,497€120,460▼ 37.1%
Furniture and vehicles24€47,617€30,847€21,796€11,028€25,448▲ 131%
Leasing and similar rights25€293,459€165,893€76,475€14,071€0▼ 100%
Assets under construction and advance payments27€9,506€9,506€9,506€0--
Financial fixed assets28€533,832€631,645€580,012€657,444€714,788▲ 8.7%
Companies linked by participating interests282/3€1,040€1,040€1,040€1,040€1,040=
Participating interests282€1,040€1,040€1,040€1,040€1,040=
Other financial fixed assets284/8€532,792€630,605€578,972€656,404€713,748▲ 8.7%
Amounts receivable and cash guarantees285/8€532,792€630,605€578,972€656,404€713,748▲ 8.7%
Current assets29/58€17.1m€23.4m€15.8m€11.6m€23.1m▲ 99.3%
Stocks and contracts in progress3€2.4m€8.7m€4.6m€961,097€2.1m▲ 121%
Stocks30/36€520,608€520,608€1.7m€426,500€426,500=
Raw materials and consumables30/31€10,983€10,983€199,447---
Work in progress32--€1.0m---
Property held for sale35€509,625€509,625€509,625€426,500€426,500=
Contracts in progress37€1.9m€8.1m€2.9m€534,597€1.7m▲ 218%
Amounts receivable within one year40/41€11.2m€13.0m€10.3m€9.5m€19.5m▲ 104%
Trade receivables40€7.1m€9.5m€6.9m€7.2m€11.4m▲ 58.3%
Other amounts receivable41€4.1m€3.5m€3.4m€2.3m€8.1m▲ 246%
Cash at bank and in hand54/58€3.4m€1.6m€266,971€1.1m€1.4m▲ 25.6%
Deferred charges and accrued income490/1€91,610€185,700€540,627€30,152€174,113▲ 477%
Equity and liabilities
Total equity and liabilities10/49€19.4m€25.5m€17.4m€13.1m€24.6m▲ 87.8%
Equity10/15-€800,344-€71,797€228,581-€6.5m€1.0m▲ 116%
Contributions10/11€1.1m€1.1m€1.1m€1.1m€8.1m▲ 653%
Capital10€1.1m€1.1m€1.1m€1.1m€8.1m▲ 653%
Issued capital100€1.1m€1.1m€1.1m€1.1m€8.1m▲ 653%
Revaluation surpluses12€258,355€258,355€258,355€258,355€258,355=
Reserves13€10,750€10,750€10,750€10,750€10,750=
Non-distributable reserves130/1€10,750€10,750€10,750€10,750€10,750=
Legal reserve130€10,750€10,750€10,750€10,750€10,750=
Profit (loss) carried forward14-€2.1m-€1.4m-€1.1m-€7.8m-€7.3m▲ 6.4%
Provisions and deferred taxes16€158,189€115,413€115,413€421,570€481,469▲ 14.2%
Provisions for liabilities and charges160/5€158,189€115,413€115,413€421,570€481,469▲ 14.2%
Major repairs and maintenance162---€130,101€0▼ 100%
Environmental obligations163---€291,469--
Other liabilities and charges164/5€158,189€115,413€115,413-€481,469-
Amounts payable17/49€20.1m€25.4m€17.1m€19.1m€23.1m▲ 20.6%
Amounts payable after more than one year17€5.3m€4.2m€4.0m€4.3m€60,130▼ 98.6%
Financial debts170/4€5.3m€4.2m€4.0m€4.3m€60,130▼ 98.6%
Subordinated loans170€4.6m€3.7m€3.7m€4.2m€0▼ 100%
Leasing and similar obligations172€655,714€421,661€228,392€119,472€60,130▼ 49.7%
Amounts payable within one year42/48€14.8m€21.2m€13.1m€14.8m€23.0m▲ 55.4%
Current portion of amounts payable after more than one year42€281,680€672,498€637,112€114,496€57,229▼ 50.0%
Financial debts43€419,802€1.0m€1.4m€1.6m€1.6m▲ 2.3%
Credit institutions430/8€419,802€1.0m€1.4m€1.6m€1.6m▲ 2.3%
Trade debts44€7.1m€12.6m€7.8m€5.8m€10.9m▲ 89.1%
Suppliers440/4€7.1m€12.6m€7.8m€5.8m€10.9m▲ 89.1%
Advances received on contracts in progress46€5.1m€4.9m€977,532-€2.2m-
Taxes, remuneration and social security45€416,180€630,520€333,627€313,931€330,088▲ 5.1%
Taxes450/3€97,467€350,963€43,787€64,429€89,483▲ 38.9%
Remuneration and social security454/9€318,713€279,557€289,840€249,502€240,605▼ 3.6%
Other amounts payable47/48€1.5m€1.4m€2.0m€7.1m€8.0m▲ 12.9%
Accrued charges and deferred income492/3€25€1,430€5,453€9,254€2,124▼ 77.0%
Line20212022202320242025Change
Profit (loss) for the period9904€800,086€728,548€300,378-€6.7m€497,989▲ 107%
+ Depreciation and write-downs630€391,136€396,417€322,445€268,096€137,980▼ 48.5%
Operating cash flow (approximation)€1.2m€1.1m€622,823-€6.4m€635,969▲ 110%
Investment in fixed assets (approximation)--€115,145€42,294-€76,237-€111,318▼ 46.0%
Change in cash--€1.8m-€1.3m€844,027€284,885▼ 66.2%

Simplified and derived: a Belgian filing has no cash-flow statement, so these rows come from the income statement and the balance-sheet moves.

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Timeline · acts, filings and financial milestones

Next filing, fiscal year 2026, expected by 31-07-2027
2026
16-07
NBB filing Annual accounts filed
fiscal year 2025 · full schema
06-07
State Gazette act Resignations & appointments
Power of attorney17 facts ▸
  • Board meeting, 04-06-2026
  • Power of attorney
  • Power of attorney, BERT WEEMAES
  • Power of attorney, SOciété de GEStion et Construction
  • Power of attorney, ETAP2
  • Power of attorney, Ernest Quentin Jean C
  • Power of attorney, Bunckens Eric
  • Power of attorney
  • Power of attorney, Arianne Vervliet
  • Power of attorney
  • Power of attorney
  • Power of attorney
  • +5 further facts in this act
11-03
State Gazette act Permanent representatives: WEEMAES Bert, BEAUJEAN Philippe and 2 others
Power of attorney · Revocation11 facts ▸
  • Board meeting, 02-02-2026
  • Power of attorney, BERT WEEMAES
  • Permanent representative, WEEMAES Bert
  • Power of attorney, SOGES Construct
  • Permanent representative, BEAUJEAN Philippe
  • Power of attorney, ETAP2
  • Permanent representative, Gillet Pierre
  • Power of attorney, EPHILYS
  • Permanent representative, Denée Jean-Philippe
  • Power of attorney, Bunckens Eric
  • Revocation, Toutes les procurations spéciales accordées précédemment sont annulées à la date d'entrée en vigueur du présent règlement de procuration pour tous les actes jur…
23-02
State Gazette act Appointment: SRL « BERT WEEMAES » (managing director)
Permanent representative: Bert WEEMAES · Mandate compensation4 facts ▸
  • Board meeting, 19-12-2025
  • Director appointment, SRL « BERT WEEMAES » (managing director)
  • Permanent representative, Bert WEEMAES
  • Mandate compensation, SRL « BERT WEEMAES »
30-01
State Gazette act Appointments: CORDEEL Filip, Société de Gestion et Construction and BERT WEEMAES
Permanent representatives: BEAUJEAN Philippe and WEEMAES Bert · Resignations: CORDEEL Filip, CORDEEL Dirk and S.N.G. SERVICES · Director discharge24 facts ▸
  • General meeting, 19-12-2025
  • Director discharge, CORDEEL Filip
  • Director appointment, CORDEEL Filip (director)
  • Director appointment, Société de Gestion et Construction (director)
  • Director appointment, CORDEEL Filip (managing director)
  • Board composition, CORDEEL Filip (managing director)
  • Board composition, Société de Gestion et Construction (director)
  • Permanent representative, BEAUJEAN Philippe
  • Statutes amendment
  • Capital increase, €7.000.000
  • Purpose change, Modification de l'article 3 des statuts pour supprimer la référence à l'ancien Code des sociétés
  • Capital, €8.072.000
  • +12 further facts in this act
2025
31-12
Financial Back to profitnet €497,989
Net result €497,989 after one loss-making year.
31-12
Financial Equity above €1mEq €1.0m
Equity rises from -€6.5m to €1.0m.
13-12
NBB filing Annual accounts filed
fiscal year 2024 · full schema · 135 days late
2024
31-12
Financial Weakest financial yearnet -€6.7m
Net result drops to -€6.7m, the lowest in the series; recovery starts the following year.
31-10
NBB filing Annual accounts filed
fiscal year 2023 · full schema · 92 days late
02-07
State Gazette act Reappointment: BDO (statutory auditor)
1 fact ▸
  • Auditor reappointment, BDO
2023
31-12
Financial Equity above €200,000Eq €228,581
3 profitable years in a row build equity to €228,581.
Show earlier events
27-07
NBB filing Annual accounts filed
fiscal year 2022 · full schema
2022
02-09
State Gazette act Resignation: Paul Ivens (director)
Director discharge3 facts ▸
  • General meeting, 07-06-2022
  • Director resignation, Paul Ivens (director)
  • Director discharge, Paul Ivens
29-08
NBB filing Annual accounts filed
fiscal year 2021 · full schema · 29 days late
2021
31-12
Financial Back to profitnet €800,086
Net result €800,086 after one loss-making year.
16-08
NBB filing Annual accounts filed
fiscal year 2020 · full schema · 16 days late
26-07
State Gazette act Reappointment: BDO (statutory auditor)
2 facts ▸
  • General meeting, 09-06-2020
  • Auditor reappointment, BDO
2020
30-10
NBB filing Annual accounts filed
fiscal year 2019 · full schema · 91 days late
2019
27-12
State Gazette act Reappointments: SNG Services, Dirk CORDEEL and 2 others
Permanent representative: Sébastien GRUTMAN6 facts ▸
  • General meeting, 28-06-2019
  • Director reappointment, SNG Services (managing director)
  • Permanent representative, Sébastien GRUTMAN
  • Director reappointment, Dirk CORDEEL (managing director)
  • Director reappointment, Filip CORDEEL (director)
  • Director reappointment, Paul IVENS (director)
28-08
NBB filing Annual accounts filed
fiscal year 2018 · full schema · 28 days late
2018
31-12
State Gazette act Appointment: BDO Réviseurs d'Entreprises Soc. Civ. SCRL (statutory auditor)
Permanent representatives: Cédric Antonelli and Catherine Grégoire4 facts ▸
  • General meeting, 30-06-2017
  • Auditor appointment, BDO Réviseurs d'Entreprises Soc. Civ. SCRL (statutory auditor)
  • Permanent representative, Cédric Antonelli
  • Permanent representative, Catherine Grégoire
28-08
NBB filing Annual accounts filed
fiscal year 2017 · full schema · 28 days late
17-08
State Gazette act Resignations: T.P. Holding S.A. (director) and Bernard GRUTMAN (managing director)
Director discharge · General meeting decision5 facts ▸
  • General meeting, 29-06-2018
  • Director resignation, T.P. Holding S.A. (director)
  • Director discharge, T.P. Holding S.A.
  • Director resignation, Bernard GRUTMAN (managing director)
  • General meeting decision, ne pas nommer un nouvel Administrateur-délégué
2017
04-09
State Gazette act Reappointment: BDO (statutory auditor)
2 facts ▸
  • General meeting, 30-06-2017
  • Auditor reappointment, BDO
03-07
NBB filing Annual accounts filed
fiscal year 2016 · full schema
2015
08-04
State Gazette act Reappointment: BDO (statutory auditor)
2 facts ▸
  • General meeting, 01-07-2014
  • Auditor reappointment, BDO
2013
11-09
State Gazette act Reappointments: BERNARD FINANCE, Dirk CORDEEL and 4 others
Resignation: GEFIM (director) · Appointments: SNG SERVICES, Bernard GRUTMAN and Dirk CORDEEL · Permanent representatives: Bernard GRUTMAN, Louis-Marie PIRON and Sébastien GRUTMAN30 facts ▸
  • General meeting, 28-06-2013
  • Director reappointment, BERNARD FINANCE (director)
  • Director reappointment, Dirk CORDEEL (director)
  • Director reappointment, Filip CORDEEL (director)
  • Director reappointment, Bernard GRUTMAN (director)
  • Director reappointment, Paul Ivens (director)
  • Mandate compensation, BERNARD FINANCE
  • Mandate compensation, Dirk CORDEEL
  • Mandate compensation, Filip CORDEEL
  • Mandate compensation, Bernard GRUTMAN
  • Mandate compensation, Paul Ivens
  • Director reappointment, TP Finance (director)
  • +18 further facts in this act
2012
13-02
State Gazette act Reappointment: BDO Reviseurs d'Entreprises Soc.Civ. SCRL (statutory auditor)
Permanent representative: André KILESSE3 facts ▸
  • General meeting, 26-07-2011
  • Auditor reappointment, BDO Reviseurs d'Entreprises Soc.Civ. SCRL
  • Permanent representative, André KILESSE
2010
05-02
State Gazette act Reappointment: TP Finance (director)
Appointment: GEFIM (director) · Permanent representative: Sébastien GRUTMAN · Ratification5 facts ▸
  • General meeting, 10-12-2009
  • Director reappointment, TP Finance (director)
  • Director appointment, GEFIM (director)
  • Permanent representative, Sébastien GRUTMAN
  • Ratification, 10-12-2009, 23-06-2009
29-01
State Gazette act Reappointment: BDO ATRIO REVISEURS D'ENTREPRISES SOC.CIV.SCRL (statutory auditor)
Permanent representative: André KILESSE3 facts ▸
  • General meeting, 22-05-2008
  • Auditor reappointment, BDO ATRIO REVISEURS D'ENTREPRISES SOC.CIV.SCRL (statutory auditor)
  • Permanent representative, André KILESSE
2007
03-07
State Gazette act Appointment: SA T P FINANCE (director)
Permanent representative: Louis-Marie PIRON3 facts ▸
  • General meeting, 20-01-2007
  • Director appointment, SA T P FINANCE (director)
  • Permanent representative, Louis-Marie PIRON
2005
04-10
State Gazette act Resignation: Alain JOIRKIN (director)
Appointment: Robert NONDONFAZ (director)3 facts ▸
  • General meeting, 09-09-2005
  • Director resignation, Alain JOIRKIN (director)
  • Director appointment, Robert NONDONFAZ (director)
2004
26-01
State Gazette act Reappointments: Bernard GRUTMAN, BERNARD FINANCE and 2 others
Appointment: T P FINANCES (chair of the board)6 facts ▸
  • General meeting, 03-06-2003
  • Director reappointment, Bernard GRUTMAN (managing director)
  • Director reappointment, BERNARD FINANCE (director)
  • Director reappointment, T P FINANCES (director)
  • Director reappointment, Alain JOIRKIN (director)
  • Director appointment, T P FINANCES (chair of the board)
Financial milestoneState Gazette actNBB filingFinancial milestones sit on the fiscal year-end date, not the filing date.
19 of 19 acts read

Directors · office · real estate

Directors
2 directors, 1 in day-to-day management, no change since 2026

Board 2

SOciété de GEStion et Construction
Director · since 17-07-2025 · Private limited company · perm. rep.: BEAUJEAN Philippe
Current
BERT WEEMAES
Director · since 19-12-2025 · Private limited company · perm. rep.: Bert WEEMAES
Current
6 not recently confirmed
Still in office according to the acts, but no act of the last six years confirms the mandate. It has often ended since, in an act we have not read.
T P FINANCES
Chair of the board · since 03-06-2003 · Director · Legal entity
Not recently confirmed
Robert NONDONFAZ
Director · since 12-09-2005
Not recently confirmed
SA T P FINANCE
Director · since 23-11-2006 · Legal entity · perm. rep.: Louis-Marie PIRON
Not recently confirmed
THOMAS & PIRON HOLDING
Director · since 10-12-2009 · Public limited company · perm. rep.: Louis-Marie PIRON
Not recently confirmed
BATIFEDER Groupe S.A.
Director · since 28-06-2013 · Legal entity · perm. rep.: Bernard GRUTMAN
Not recently confirmed
BERNARD FINANCE
Director · Legal entity
Not recently confirmed

Day-to-day management 1

BERT WEEMAES
Managing director · since 09-02-2026 · Private limited company · perm. rep.: Bert WEEMAES
Current
1 not recently confirmed
Still in office according to the acts, but no act of the last six years confirms the mandate. It has often ended since, in an act we have not read.
SNG Services
Managing director · since 28-06-2019 · Legal entity · perm. rep.: Sébastien GRUTMAN
Not recently confirmed

Permanent representatives 2

BEAUJEAN Philippe
Permanent representative · since 17-07-2025 · for SOciété de GEStion et Construction
Current
Bert WEEMAES
Permanent representative · since 19-12-2025 · for BERT WEEMAES
Current
3 not recently confirmed
Still in office according to the acts, but no act of the last six years confirms the mandate. It has often ended since, in an act we have not read.
Louis-Marie PIRON
Permanent representative · since 10-12-2009 · for THOMAS & PIRON HOLDING
Not recently confirmed
Bernard GRUTMAN
Permanent representative · since 28-06-2013 · for BATIFEDER Groupe S.A.
Not recently confirmed
Sébastien GRUTMAN
Permanent representative · since 28-06-2019 · for SNG Services
Not recently confirmed

Statutory auditor 1

BDO
Auditor · since 26-07-2011
Current
Derived from published Gazette acts. The CBE keeps the official list of function holders; we do not read it, so the two can differ. See the function holders in the CBE →
Location & real-estate footprint
Registered office, Villers-le-Bouillet · 1 establishment unit since 1997
seat establishment The establishment unit on the map
Ground area
1,833 m²
Building footprint
523 m²
Parcel 61068A0581/00Y000, Wallonia. Linked by address, not a title deed.
25 companies at this address See who is registered here
1 establishment unit
Rue le Marais 14, 4530 Villers-le-Bouillet
Raising of dairy cattle
since 19972.083.450.528
1 parcel
Wallonia 1 (100%)
Parcel (capakey) Region Area Buildings Height / fl.
61068A0581/00Y000 Wallonia 1,833 m² 1 · 523 m² -
Linked by address, not proof of ownership
Good to know
1 of 1 parcel with an exact address match; the rest are indicative.
Linked through address data, this is not proof of ownership.

Mandate history

19 people since 2003, 10 in office
Show
  • Board
  • Day-to-day management
  • Statutory auditor
  • not recently confirmed
  • began earlier
Mandates per person, with start and end dates
Name Functions and periods
SOciété de GEStion et Construction
  • Director, from 17-07-2025 to date
BERT WEEMAES
  • Director, from 19-12-2025 to date
  • Managing director, from 09-02-2026 to date
BDO
  • Auditor, from 26-07-2011 to date
T P FINANCES
  • Chair of the board, from 03-06-2003 not ended, last confirmed 26-01-2004
  • Director, already before 26-01-2004 not ended, last confirmed 26-01-2004
BERNARD FINANCE
  • Director, already before 26-01-2004 not ended, last confirmed 26-01-2004
Robert NONDONFAZ
  • Director, from 12-09-2005 not ended, last confirmed 04-10-2005
SA T P FINANCE
  • Director, from 23-11-2006 not ended, last confirmed 03-07-2007
THOMAS & PIRON HOLDING
  • Director, already before 10-12-2009 not ended, last confirmed 11-09-2013
BATIFEDER Groupe S.A.
  • Director, already before 28-06-2013 not ended, last confirmed 11-09-2013
SNG Services
  • Managing director, already before 28-06-2019 not ended, last confirmed 27-12-2019
Filip Cordeel
  • Director, already before 28-06-2013 to 19-12-2025
  • Managing director, from 17-07-2025 ended, last mentioned 30-01-2026
Dirk Cordeel
  • Director, already before 28-06-2013 to 17-07-2025
  • Managing director, from 28-06-2013 ended, last mentioned 27-12-2019
S.N.G. SERVICES
  • Managing director, from 28-06-2013 ended, last mentioned 11-09-2013
  • Director, from 30-06-2013 to 17-07-2025
IVENS Paul
  • Director, already before 28-06-2013 to 30-06-2022
Bernard GRUTMAN
  • Managing director, already before 26-01-2004 to 29-06-2018
  • Director, already before 28-06-2013 ended, last mentioned 11-09-2013
T.P. Holding S.A.
  • Director, until 30-06-2017
Gefim
  • Director, from 10-12-2009 to 11-06-2013
BDO Atrio Réviseurs d'Entreprises Soc. Civ. Scrl
  • Statutory auditor, from 22-05-2008 to 26-07-2011
Alain JOIRKIN
  • Director, already before 26-01-2004 to 29-08-2005
See the board, name and seat on a given date →

Articles of association

Who signs
“N° d'entreprise 0461 381 686 Nom (en entier): Bernard Construction (en abrégé): Forme légale: Société anonyme Adresse complète du siège: 4530 Villers-le-Bouillet Objet de l'acte : Réunion du conseil d'administration dd. 4.06.2026 - Procuration Spéciales Le conseil d'administration a pris les…”
Full text

N° d'entreprise 0461 381 686 Nom (en entier): Bernard Construction (en abrégé): Forme légale: Société anonyme Adresse complète du siège: 4530 Villers-le-Bouillet Objet de l'acte : Réunion du conseil d'administration dd. 4.06.2026 - Procuration Spéciales Le conseil d'administration a pris les décisions suivantes le 4.06.2026 1.NOUVELLES PROCURATIONS SPÉCIALES Conformément à l'article 20 des statuts coordonnés de la Société, la Société est légalement représentée, dans le cadre d'actes judiciaires et extrajudiciaires, par l'administrateur-délégué et pour les actes de dispositions en matière immobilière par 2 administrateurs ou d'un administrateur délégué. La Société peut aussi être valablement représentée par des mandataires spéciaux dans les limites de la procuration spéciale

Purpose
La société a pour objet, tant en Belgique qu'à l'étranger, toutes opérations généralement quelconques, commerciales ou civiles, industrielles, financières, mobilières ou…
Full purpose

La société a pour objet, tant en Belgique qu'à l'étranger, toutes opérations généralement quelconques, commerciales ou civiles, industrielles, financières, mobilières ou immobilières se rapportant directement ou indirectement au commerce, la fabrication, la location, l'achat, la vente en gros et en détail, l'installation, la pose, la représentation, la distribution, le service, le conditionnement, l'exploitation, le courtage, l'importation et l'exportation, la sous-traitance, soit pour son compte propre soit pour compte de tiers de tous les travaux d'entreprise générale de construction, l'entreprise de maçonnerie et béton, de construction de bâtiments traditionnels ou préfabriqués, de quelques types qu'ils soient, la construction, la réfection et l'entretien des routes, les travaux de terrassement, les travaux d'égout et de pose de canalisation diverses, de distribution d'eau et de gaz, les travaux de pose de câbles, les travaux de démolitions, les travaux de génie civil, le placement de clôtures et de palissades, les travaux de déneigement des routes; l'aménagement et l'entretien de parcs et jardins, de plaines de jeux et de sports, y compris les travaux de plantations; les travaux de drainage, de curage de cours d'eau, les travaux de constructions métalliques; les travaux de carrelage et mosaïque, les travaux de plafonnage, cimentage et rejointoyage et de tout autre enduit; les travaux de nettoyage et sablage des façades, l'entreprise de couverture métallique et non métallique de constructions, les travaux d'étanchéité, les travaux de zinguerie et de plomberie, d'asphaltage et bitumage, l'entreprise de menuiserie et charpenterie, le placement de ferronneries, de volets et de menuiserie métalliques; l'entreprise de travaux de peinture et de décoration, revêtements de murs et sols, l'isolation thermique et acoustique, le ramonage des cheminées, l'entreprise d'installation électrique, force motrice, téléphonie, système d'alarme, domotique, atelier de réparation de matériel électrique de plus et de moins de deux KW, électricité automobile, fabrication et garnissage de meubles non métalliques, travaux agricoles et horticoles divers, forge de maréchal-ferrant et forgeron, déménagement, placement de plaques préfabriqués, travaux d'installation de chauffage central et chauffage au gaz par appareils individuels, sanitaire, ventilation, détection incendie, conditionnement d'air, installation frigorifique, cuisine équipées, taille de pierre, façonnage, polissage et pose de marbrerie de bâtiment, cheminées ornementales, parquets et tout autre revêtement en bois des murs et sols, travaux de vitrerie, de pose de glaces, miroiterie, vitraux et mise en œuvre de tous les matériaux translucides et transparents, assèchement de constructions autres que bitume et asphaltage, dépannage à domicile d'appareil et machine, réparation de carrosserie, réparation station-services, réparation de cycles, de cyclomoteurs et motocyclettes, garagiste réparateur, négoce en véhicules neufs et d'occasion, le commerce en gros et en détail de matériaux, les activités relatives à l'exécution totale ou partielle de travaux de parachèvement ou de coordination de ceux-ci lors de leur exécution par des sous-traitants; l'étude technique et la conception de bâtiments ou d'ouvrages d'art, l'étude, l'organisation et le conseil en matière financière et immobilière, toutes affaires immobilières. Elle pourra réaliser toutes opérations industrielles, commerciales, financières ou civiles ayant un rapport direct ou indirect avec son objet ou pouvant en faciliter la réalisation et notamment, sans que la désignation qui va suivre soit limitative, acquérir, aliéner, prendre ou donner en location tous immeubles ou fonds de commerces, acquérir, créer, concéder ou céder toutes marques de fabrique et de commerce, brevets, dessins et modèles industriels, s'intéresser par voie d'apport, de cession, de fusion, de souscription, de participation, d'intervention financière, de toutes manières et en tous lieux, dans toutes sociétés, entreprises ou opérations dont l'objet serait analogue ou connexe au sien ou serait susceptible de constituer pour elle un débouché ou de favoriser son objet.

Structure & network

Part of the group C2F1 46 companies Group, risk and exposure

Owners and holdings

1 owner · 1 holding

Chain of control

  1. C2F1 100%
  2. CORDEEL GROUP 100%
  3. BERNARD CONSTRUCTION

Highest known parent: C2F1. The sources do not say who stands above it.

Owners 1

Holdings 1

According to the 2025 annual accounts of BERNARD CONSTRUCTION and those of the other companies, the acts in the Belgian Gazette and the LEI register. The register of ultimate beneficial owners (UBO) is not public: who ultimately stands behind a natural person or a foreign parent is not stated here. A company that does not fill in these statements, or need not, is missing.

Connections & network

18 connected companies
Linked via shared directors
AEDIFICAS
Shared director
→
C-CONCRETE
Shared director
→
C-Energy
Shared director
→
CORDEEL BELGIUM
Shared director
→
Show 14 more companies with a shared director

Capital and shareholders

Capital over the years
  1. 30-01-2026 Capital increase of 7,000,000 EUR · to 8,072,000 EUR · 97,948 new shares · in kind

Recognitions · licences · registrations

Recognised contractor

4 categories
BERNARD CONSTRUCTION SA27706
category D, class 5 · category D1, class 5 · category E, class 2 · category G, class 2
decision 16-03-2026

Similar companies · same sector, comparable size

Of 29,786 companies in sector 41001 we hold annual accounts for 16,061. 6,308 are within a factor 10 of this equity. The 5 above are the closest to it. See the whole sector

Identification & contact

Identification
Legal formPublic limited company
Founded11-09-1997
Fiscal year end31-12
Activities, NACEBEL 2025
41001General construction of residential buildings
41003General construction of other non-residential buildings
E-invoicing
Reachable via Peppol
Peppol ID 0208:0461381686
Also 9925:BE0461381686

If you follow this company, Checked tells you the day it leaves the Peppol register.

Register as of 30 September 2026 · Peppol Directory

Scores and ratios are computed by Checked and are not a credit decision.