FLEET MACH
Bankruptcy closedSummary
FLEET MACH was declared bankrupt on 16-03-2021 (Ondernemingsrechtbank Brussel); the bankruptcy was closed by liquidation by judgment of 13-11-2025, published in the Belgian State Gazette on 20-11-2025. The 2019 annual accounts show negative equity (-€140,149) and a net result of -€139,619.
Signals
This company filed its 2019 accounts on the deadline day; the sector median for financial year 2024 is 3 days before the deadline, and 39% of the sector filed late.
Checked, nothing found (1)
History
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Financials · fiscal year 2019, micro schema
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| Line | 2018 | 2019 | Change |
|---|---|---|---|
| Depreciation of and write-downs on formation expenses, intangible and tangible fixed assets630 | €40,903 | €38,735 | ▼ 5.3% |
| Gross operating margin9900 | €414,880 | €330,221 | ▼ 20.4% |
| Operating profit (loss)9901 | -€10,182 | €9,880 | ▲ 197% |
| Recurring financial income75 | €219 | €75 | ▼ 65.6% |
| Recurring financial charges65 | €70 | €872 | ▲ 1,143% |
| Profit (loss) for the period before taxes9903 | -€9,963 | -€139,619 | ▼ 1,301% |
| Profit (loss) for the period9904 | -€9,963 | -€139,619 | ▼ 1,301% |
| Profit (loss) for the period to be appropriated9905 | -€9,963 | -€139,619 | ▼ 1,301% |
| Line | 2018 | 2019 | Change |
|---|---|---|---|
| Assets | |||
| Total assets20/58 | €302,459 | €184,328 | ▼ 39.1% |
| Fixed assets21/28 | €57,483 | €84,395 | ▲ 46.8% |
| Tangible fixed assets22/27 | €57,233 | €84,145 | ▲ 47.0% |
| Financial fixed assets28 | €250 | €250 | = |
| Current assets29/58 | €244,976 | €99,933 | ▼ 59.2% |
| Amounts receivable within one year40/41 | €41,280 | €49,114 | ▲ 19.0% |
| Cash at bank and in hand54/58 | €194,792 | €39,562 | ▼ 79.7% |
| Equity and liabilities | |||
| Total equity and liabilities10/49 | €302,459 | €184,328 | ▼ 39.1% |
| Equity10/15 | -€529 | -€140,149 | ▼ 26,391% |
| Contributions10/11 | €62,000 | €62,000 | = |
| Reserves13 | €10,066 | €10,066 | = |
| Profit (loss) carried forward14 | -€72,595 | -€212,214 | ▼ 192% |
| Amounts payable17/49 | €302,988 | €324,477 | ▲ 7.1% |
| Amounts payable within one year42/48 | €302,988 | €324,477 | ▲ 7.1% |
| Trade debts44 | €16,384 | €24,368 | ▲ 48.7% |
| Line | 2018 | 2019 | Change |
|---|---|---|---|
| Profit (loss) for the period9904 | -€9,963 | -€139,619 | ▼ 1,301% |
| + Depreciation and write-downs630 | €40,903 | €38,735 | ▼ 5.3% |
| Operating cash flow (approximation) | €30,940 | -€100,884 | ▼ 426% |
| Investment in fixed assets (approximation) | - | -€65,648 | - |
| Change in cash | - | -€155,230 | - |
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
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About the unread acts
We know of 2 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 establishment unit
1 parcel
| Parcel (capakey) | Region | Area | Buildings | Height / fl. |
|---|---|---|---|---|
| 23094D0123/00N000 | Flanders | 3,952 m² | 1 · 1,256 m² | 7.8 m · 2 fl. |
Linked by address, not proof of ownership
Insolvency mandates
1 mandate| Role | Name | Tenure |
|---|---|---|
| Curator | STEFAAN AERTS KEIZER KARELLAAN 586 BUS 9,
1082 SINT-AGATHA-BERCHEM |
16-03-2021 → 13-11-2025 |
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Identification & contact
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