HEEMAN PROJECTS
Dissolution or liquidationSummary
The KBO register records for HEEMAN PROJECTS the legal situation: dissolution or liquidation; this is today's state according to the register itself, which carries no start date. The 2024 annual accounts show negative equity (-€13,335) and a net result of -€29,554.
Signals
This company filed its last 5 accounts on average 52 days after the deadline; the Belgian median for financial year 2024 is 4 days before the deadline, and 38% of all filings were late.
Checked, nothing found (1)
History
Financials · fiscal year 2024, micro schema
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| Line | 2020 | 2021 | 2022 | 2023 | 2024 | Change |
|---|---|---|---|---|---|---|
| Depreciation of and write-downs on formation expenses, intangible and tangible fixed assets630 | €2,172 | €525 | €487 | - | - | - |
| Other operating charges640/8 | - | €1,319 | €1,363 | €1,760 | €1,837 | ▲ 4.4% |
| Gross operating margin9900 | €5,769 | €51,700 | €50,660 | €6,895 | -€27,565 | ▼ 500% |
| Operating profit (loss)9901 | €2,233 | €49,857 | €48,809 | €5,135 | -€29,402 | ▼ 673% |
| Financial income75/76B | - | - | €108 | €1 | - | - |
| Recurring financial income75 | - | - | €108 | €1 | - | - |
| Financial charges65/66B | - | €15,540 | €28,649 | €41,723 | €152 | ▼ 99.6% |
| Recurring financial charges65 | €15,506 | €15,540 | €28,649 | €41,723 | €152 | ▼ 99.6% |
| Profit (loss) for the period before taxes9903 | -€13,274 | €34,318 | €20,269 | -€36,587 | -€29,554 | ▲ 19.2% |
| Income taxes67/77 | - | €5,400 | €5,219 | €386 | - | - |
| Profit (loss) for the period9904 | -€13,274 | €28,918 | €15,050 | -€36,974 | -€29,554 | ▲ 20.1% |
| Profit (loss) for the period to be appropriated9905 | -€13,274 | €28,918 | €15,050 | -€36,974 | -€29,554 | ▲ 20.1% |
| Line | 2020 | 2021 | 2022 | 2023 | 2024 | Change |
|---|---|---|---|---|---|---|
| Assets | ||||||
| Total assets20/58 | €408,985 | €844,370 | €991,837 | €53,751 | €481 | ▼ 99.1% |
| Fixed assets21/28 | €1,012 | €487 | - | - | - | - |
| Tangible fixed assets22/27 | €1,012 | €487 | - | - | - | - |
| Furniture and vehicles24 | - | €487 | - | - | - | - |
| Current assets29/58 | €407,973 | €843,882 | €991,837 | €53,751 | €481 | ▼ 99.1% |
| Stocks and contracts in progress3 | €382,156 | €819,502 | €965,562 | - | - | - |
| Stocks30/36 | - | €819,502 | €965,562 | - | - | - |
| Amounts receivable within one year40/41 | - | - | €23,265 | €26,865 | - | - |
| Other amounts receivable41 | - | - | €23,265 | €26,865 | - | - |
| Cash at bank and in hand54/58 | €25,817 | €23,124 | €785 | €5,142 | €481 | ▼ 90.6% |
| Deferred charges and accrued income490/1 | - | €1,256 | €2,225 | €21,744 | - | - |
| Equity and liabilities | ||||||
| Total equity and liabilities10/49 | €408,985 | €844,370 | €991,837 | €53,751 | €481 | ▼ 99.1% |
| Equity10/15 | €9,226 | €38,144 | €53,194 | €16,220 | -€13,335 | ▼ 182% |
| Contributions10/11 | - | €22,500 | €22,500 | €22,500 | €22,500 | = |
| Outside capital11 | - | €22,500 | - | - | - | - |
| Other1109/19 | - | €22,500 | - | - | - | - |
| Reserves13 | - | €15,644 | €30,694 | - | - | - |
| Distributable reserves133 | - | €15,644 | €30,694 | - | - | - |
| Profit (loss) carried forward14 | -€13,274 | - | - | -€6,280 | -€35,835 | ▼ 471% |
| Amounts payable17/49 | €399,759 | €806,226 | €938,644 | €37,531 | €13,816 | ▼ 63.2% |
| Amounts payable within one year42/48 | €399,759 | €806,226 | €938,644 | €37,531 | €13,816 | ▼ 63.2% |
| Current portion of amounts payable after more than one year42 | - | €722,199 | €770,682 | - | - | - |
| Financial debts43 | - | - | €1,092 | - | - | - |
| Credit institutions430/8 | - | - | €1,092 | - | - | - |
| Trade debts44 | €5,913 | €597 | €9,361 | €1,443 | - | - |
| Suppliers440/4 | - | €597 | €9,361 | €1,443 | - | - |
| Taxes, remuneration and social security45 | - | €5,400 | €10,619 | €5,558 | €171 | ▼ 96.9% |
| Taxes450/3 | - | €5,400 | €10,619 | €5,558 | €171 | ▼ 96.9% |
| Other amounts payable47/48 | - | €78,030 | €146,890 | €30,530 | €13,645 | ▼ 55.3% |
| Line | 2020 | 2021 | 2022 | 2023 | 2024 | Change |
|---|---|---|---|---|---|---|
| Profit (loss) for the period9904 | -€13,274 | €28,918 | €15,050 | -€36,974 | -€29,554 | ▲ 20.1% |
| + Depreciation and write-downs630 | €2,172 | €525 | €487 | - | - | - |
| Operating cash flow (approximation) | -€11,102 | €29,442 | €15,537 | -€36,974 | -€29,554 | ▲ 20.1% |
| Investment in fixed assets (approximation) | - | €0 | - | - | - | - |
| Change in cash | - | -€2,693 | -€22,339 | €4,357 | -€4,660 | ▼ 207% |
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 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. |
|---|---|---|---|---|
| 11007B0015/00X008 | Flanders | 912 m² | 1 · 203 m² | 7.2 m · 2 fl. |
Linked by address, not proof of ownership
Identification & contact
No Peppol card under this enterprise or VAT number. That proves nothing: publishing a card is voluntary.
Register as of 29 September 2026 · Peppol Directory
Scores and ratios are computed by Checked and are not a credit decision.