Dynamic Vectors
InactiveInactive since 03-07-2026; last annual accounts for fiscal year 2024.
Signals
This company filed its last 6 accounts on average 11 days before the deadline; the sector median for financial year 2024 is 9 days before the deadline, and 33% of the sector filed late.
Checked, nothing found (1)
History
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Financials · fiscal year 2024, full schema
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- 2020 Net result +171%, Equity +100%, Total assets +79% on 2019. Cause not known from the registers.
| Line | 2020 | 2021 | 2022 | 2023 | 2024 | Change |
|---|---|---|---|---|---|---|
| Remuneration, social security and pensions62 | - | €311,087 | €314,740 | €353,845 | €333,569 | ▼ 5.7% |
| Depreciation of and write-downs on formation expenses, intangible and tangible fixed assets630 | €15,895 | €17,131 | €23,657 | €26,514 | €12,013 | ▼ 54.7% |
| Write-downs on stocks, contracts in progress and trade receivables: additions (reversals)631/4 | - | - | €97,000 | - | - | - |
| Other operating charges640/8 | - | €222,628 | €124,448 | €126,849 | €131,383 | ▲ 3.6% |
| Gross operating margin9900 | €742,349 | €905,701 | €875,806 | €834,024 | €755,464 | ▼ 9.4% |
| Operating profit (loss)9901 | €413,362 | €354,855 | €315,960 | €326,816 | €278,499 | ▼ 14.8% |
| Financial income75/76B | - | €24 | €0 | €2,068 | €6,017 | ▲ 191% |
| Recurring financial income75 | €47 | €24 | €0 | €2,068 | €6,017 | ▲ 191% |
| Financial charges65/66B | - | €842 | €10,219 | €2,279 | €1,514 | ▼ 33.6% |
| Recurring financial charges65 | €821 | €842 | €782 | €2,279 | €1,514 | ▼ 33.6% |
| Non-recurring financial charges66B | - | - | €9,437 | - | - | - |
| Profit (loss) for the period before taxes9903 | €412,589 | €354,037 | €305,741 | €326,605 | €283,001 | ▼ 13.4% |
| Income taxes67/77 | €110,096 | €92,215 | €81,225 | €95,140 | €77,374 | ▼ 18.7% |
| Profit (loss) for the period9904 | €302,493 | €261,822 | €224,516 | €231,466 | €205,628 | ▼ 11.2% |
| Profit (loss) for the period to be appropriated9905 | €302,493 | €261,822 | €224,516 | €231,466 | €205,628 | ▼ 11.2% |
| Line | 2020 | 2021 | 2022 | 2023 | 2024 | Change |
|---|---|---|---|---|---|---|
| Assets | ||||||
| Total assets20/58 | €852,038 | €1.2m | €1.4m | €1.7m | €1.8m | ▲ 6.3% |
| Fixed assets21/28 | €58,537 | €42,968 | €62,479 | €38,774 | €24,614 | ▼ 36.5% |
| Intangible fixed assets21 | €17,926 | €11,951 | €5,975 | - | - | - |
| Tangible fixed assets22/27 | €40,611 | €31,017 | €56,504 | €38,774 | €24,614 | ▼ 36.5% |
| Furniture and vehicles24 | - | €29,861 | €55,637 | €38,196 | €24,325 | ▼ 36.3% |
| Other tangible fixed assets26 | - | €1,156 | €867 | €578 | €289 | ▼ 50.0% |
| Current assets29/58 | €793,501 | €1.1m | €1.3m | €1.6m | €1.7m | ▲ 7.3% |
| Amounts receivable within one year40/41 | €230,800 | €435,238 | €497,344 | €365,246 | €322,772 | ▼ 11.6% |
| Trade receivables40 | - | €331,863 | €373,431 | €236,894 | €159,294 | ▼ 32.8% |
| Other amounts receivable41 | - | €103,375 | €123,914 | €128,352 | €163,478 | ▲ 27.4% |
| Current investments50/53 | - | - | €340,563 | €350,000 | €350,000 | = |
| Cash at bank and in hand54/58 | €560,390 | €673,142 | €489,122 | €759,766 | €1.1m | ▲ 40.5% |
| Deferred charges and accrued income490/1 | - | €4,042 | €6,781 | €152,646 | €7,030 | ▼ 95.4% |
| Equity and liabilities | ||||||
| Total equity and liabilities10/49 | €852,038 | €1.2m | €1.4m | €1.7m | €1.8m | ▲ 6.3% |
| Equity10/15 | €605,178 | €867,000 | €1.1m | €1.3m | €1.5m | ▲ 15.5% |
| Contributions10/11 | €100,000 | €100,000 | €100,000 | €100,000 | €100,000 | = |
| Capital10 | - | €100,000 | €100,000 | €100,000 | €100,000 | = |
| Issued capital100 | - | €100,000 | €100,000 | €100,000 | €100,000 | = |
| Reserves13 | €16,469 | €16,469 | €16,469 | €16,469 | €16,469 | = |
| Non-distributable reserves130/1 | - | €10,000 | €10,000 | €10,000 | €10,000 | = |
| Legal reserve130 | - | €10,000 | €10,000 | €10,000 | €10,000 | = |
| Tax-exempt reserves132 | - | €6,469 | €6,469 | €6,469 | €6,469 | = |
| Profit (loss) carried forward14 | €488,709 | €750,531 | €975,047 | €1.2m | €1.4m | ▲ 17.0% |
| Amounts payable17/49 | €246,861 | €288,389 | €304,775 | €343,450 | €243,130 | ▼ 29.2% |
| Amounts payable after more than one year17 | €16,121 | €10,496 | €4,801 | - | - | - |
| Financial debts170/4 | - | €10,496 | €4,801 | - | - | - |
| Amounts payable within one year42/48 | €172,544 | €219,830 | €299,974 | €343,450 | €243,130 | ▼ 29.2% |
| Current portion of amounts payable after more than one year42 | - | €5,625 | €5,695 | €4,801 | - | - |
| Trade debts44 | €72,024 | €172,757 | €214,672 | €194,541 | €206,329 | ▲ 6.1% |
| Suppliers440/4 | - | €172,757 | €214,672 | €194,541 | €206,329 | ▲ 6.1% |
| Taxes, remuneration and social security45 | - | €41,448 | €79,607 | €144,109 | €36,801 | ▼ 74.5% |
| Taxes450/3 | - | - | - | €94,545 | - | - |
| Remuneration and social security454/9 | - | €41,448 | €79,607 | €49,564 | €36,801 | ▼ 25.8% |
| Accrued charges and deferred income492/3 | - | €58,063 | - | - | - | - |
| Line | 2020 | 2021 | 2022 | 2023 | 2024 | Change |
|---|---|---|---|---|---|---|
| Profit (loss) for the period9904 | €302,493 | €261,822 | €224,516 | €231,466 | €205,628 | ▼ 11.2% |
| + Depreciation and write-downs630 | €15,895 | €17,131 | €23,657 | €26,514 | €12,013 | ▼ 54.7% |
| Operating cash flow (approximation) | €318,388 | €278,953 | €248,173 | €257,980 | €217,640 | ▼ 15.6% |
| Investment in fixed assets (approximation) | - | -€1,562 | -€43,169 | -€2,809 | €2,148 | ▲ 176% |
| Change in cash | - | €112,752 | -€184,020 | €270,643 | €307,557 | ▲ 13.6% |
Simplified and derived: a Belgian filing has no cash-flow statement, so these rows come from the income statement and the balance-sheet moves.
Timeline · acts, filings and financial milestones
About the unread acts
We know of 11 Belgian State Gazette acts for this company. None of them has been read yet: what they contain is neither established nor disproved here.
Directors · office · real estate
1 parcel
| Parcel (capakey) | Region | Area | Buildings | Height / fl. |
|---|---|---|---|---|
| 25772G0141/00G002 | Wallonia | 1,926 m² | 1 · 413 m² | - |
Linked by address, not proof of ownership
Structure & network
Owners and holdings
2 ownersChain of control
- Capital at Work Foyer Group SALU
- Dynamic Vectors
Highest known parent: Capital at Work Foyer Group SA (Luxembourg). The sources do not say who stands above it.
Owners 2
- Capital at Work Foyer Group SALUparentSourceown accounts 2024100%
-
4.29%
Holdings 0
The accounts to 31-12-2024 list no holdings, and no other source names one.
According to the 2024 annual accounts of Dynamic Vectors 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
No current directors or connected companies found in the register.
Similar companies · same sector, comparable size
Identification & contact
The company is no longer active; its Peppol card can remain until its access point withdraws it.
Register as of 27 September 2026 · Peppol Directory
Scores and ratios are computed by Checked and are not a credit decision.