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Idefix

Inactive
Non-profit associationfounded 1994Budastraat(Kor) 30, 8500 Kortrijk, BelgiumKBO/BCE: BE 0453.819.349

Inactive since 30-04-2026; last annual accounts for fiscal year 2025.

IdefixInactive

Signals

Two signals. The signal on the left, the evidence on the right.
+raises risk○neutral
raises risk · Weak solvency vs sector
Solvency (equity / total assets) is in the sector's weakest quartile: better than 10% of 469 sector peers (2025).
NBB · sector comparison
Position among 469 sector peers
Solvency
better than 10%
← 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 07-07-2026, 24 days ahead of the deadline.
NBB · 7 filings
Deviation from the deadline
2025
24 d early
2024
36 d early
2023
26 d early
2022
13 d early
2021
2 d early
2020
2 d early
2019
8 d early
← 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 16 days before the deadline; the sector median for financial year 2024 is 24 days before the deadline, and 25% of the sector filed late.

Checked, nothing found (1)
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

On 16 August 1994, Idefix was incorporated.1 The company has filed 7 sets of annual accounts, the latest for fiscal year 2025.2 In 2026 the company was absorbed by merger into Soetkin.3

  1. 1Crossroads Bank for Enterprises
  2. 2National Bank, annual accounts 2025
  3. 3Belgian State Gazette, 11-05-2026

Go further with this company

Investigating this company? Keep it with today's facts in a case file.

Financials · fiscal year 2025, full schema

Turnover
Not included in this filing
EBIT margin
Not included in this filing
Net result
-€56,697
2024 · €18,153
Working capital
-€38,355
2024 · €28,998
Trend over the years
In euros
In per cent
Ratio
In full-time equivalents (FTE)
In euros
No line ticked in this group.
In per cent
No line ticked in this group.
Ratio
No line ticked in this group.
In full-time equivalents (FTE)
No line ticked in this group.

Untick a line to hide it. Point at a year (or use the arrow keys on the chart) for the exact figures; the table below gives them all.Sector: the middle half (P25 to P75) of NACE 88, Social work activities without accommodation, each year against the same schema; no band under 30 filings. Dashed line: the median. Available for Net result, Equity, Total assets, Working capital, Solvency, Current ratio, Return on assets (ROA), Staff (FTE).

Every figure with its change against the fiscal year before
favourable unfavourable
Line20212022202320242025
Operating result-€6,502€3,416-€24,442€18,382-€56,378
Net result-€6,531below the sector's middle half€3,239within the sector's middle half-€24,652below the sector's middle half€18,153within the sector's middle half-€56,697below the sector's middle half
Equity€71,140below the sector's middle half▼ 8.4%€74,379below the sector's middle half▲ 4.6%€49,728below the sector's middle half▼ 33.1%€67,881below the sector's middle half▲ 36.5%€11,184below the sector's middle half▼ 83.5%
Total assets€141,761below the sector's middle half▲ 8.0%€160,603below the sector's middle half▲ 13.3%€128,749below the sector's middle half▼ 19.8%€165,853below the sector's middle half▲ 28.8%€127,381below the sector's middle half▼ 23.2%
Debt€70,621▲ 31.8%€86,223▲ 22.1%€79,022▼ 8.4%€97,972▲ 24.0%€116,197▲ 18.6%
Working capital€66,650below the sector's middle half▼ 6.8%€69,495below the sector's middle half▲ 4.3%€42,349below the sector's middle half▼ 39.1%€28,998below the sector's middle half▼ 31.5%-€38,355below the sector's middle half
Solvency50.2%within the sector's middle half▼ 9.0pp46.3%within the sector's middle half▼ 3.9pp38.6%within the sector's middle half▼ 7.7pp40.9%within the sector's middle half▲ 2.3pp8.8%below the sector's middle half▼ 32.1pp
Current ratio1.94within the sector's middle half▼ 0.391.81within the sector's middle half▼ 0.141.54within the sector's middle half▼ 0.271.30below the sector's middle half▼ 0.240.67below the sector's middle half▼ 0.63
Return on assets (ROA)-4.6%below the sector's middle half▼ 5.1pp2.0%within the sector's middle half▲ 6.6pp-19.1%below the sector's middle half▼ 21.2pp10.9%above the sector's middle half▲ 30.1pp-44.5%below the sector's middle half▼ 55.5pp
Staff (FTE)6.4below the sector's middle half7.2below the sector's middle half▲ 12.5%7below the sector's middle half▼ 2.8%6.6below the sector's middle half
above within below the middle half (P25 to P75) of NACE 88, Social work activities without accommodation, each year against the same schema; no band under 30 filings.
Result per fiscal year
Operating resultNet result
-€60,000-€40,000-€20,000€0€20,000Operating result 2021: -€6,502-€6,502Net result 2021: -€6,531-€6,531Operating result 2022: €3,416€3,416Net result 2022: €3,239€3,239Operating result 2023: -€24,442-€24,442Net result 2023: -€24,652-€24,652Operating result 2024: €18,382€18,382Net result 2024: €18,153€18,153Operating result 2025: -€56,378-€56,378Net result 2025: -€56,697-€56,69720212022202320242025-€60,000-€40,000-€20,000€0€20,000Operating result 2023: -€24,442-€24,400Net result 2023: -€24,652-€24,700Operating result 2024: €18,382€18,400Net result 2024: €18,153€18,200Operating result 2025: -€56,378-€56,400Net result 2025: -€56,697-€56,700202320242025
The operating result turns negative in 2025: a loss of €56,378 after €18,382 in 2024, the lowest result in the available series.
Balance-sheet composition
2025 in colour, 2024 as the grey bar beneath
Assets €127,381
Fixed assets €49,539 ▲ 27.4%
Current assets €77,842 ▼ 38.7%
Equity and liabilities €127,381
Equity €11,184 ▼ 83.5%
Debt €116,197 ▲ 18.6%
Debt's share of the balance-sheet total rises from 59.1% to 91.2%. Equity is lower and debt is higher.
Key figures and ratios
2025 value · change against 2024
EBITDA
-€52,783▼
2024 · €21,310
Cash flow
-€53,102▼
2024 · €21,081
Debt to equity
10.39▲
2024 · 1.44
ROE
-507.0%▼
2024 · 26.7%
Interest coverage
-165.44▼
2024 · 93.14
Debt ≤ 1 year
€116,197▲
2024 · €97,972
Staff costs
€455,939▲
2024 · €369,816
Green means a favourable move, even when the figure itself falls: as with debt or debt to equity.
Annual accounts
Filed annual accounts As filed with the NBB · 2025 against 2024 · 38 lines
Balance sheet Code20242025
Assets
Total assets20/58€165,853€127,381▼
Fixed assets21/28€38,883€49,539▲
Tangible fixed assets22/27€38,883€49,539▲
Land and buildings22€35,022€33,334▼
Plant, machinery and equipment23€3,861€16,204▲
Current assets29/58€126,970€77,842▼
Amounts receivable within one year40/41€50,193€28,675▼
Trade receivables40€10,539€13,158▲
Other amounts receivable41€39,654€15,517▼
Current investments50/53€76,777€49,167▼
Equity and liabilities
Total equity and liabilities10/49€165,853€127,381▼
Equity10/15€67,881€11,184▼
Contributions10/11€65,832€65,832=
Capital10€65,832€65,832=
Profit (loss) carried forward14€2,049-€54,648▼
Amounts payable17/49€97,972€116,197▲
Amounts payable within one year42/48€97,972€116,197▲
Trade debts44€52,208€36,145▼
Suppliers440/4€52,208€36,145▼
Taxes, remuneration and social security45€37,262€71,191▲
Taxes450/3-€12,613
Remuneration and social security454/9€37,262€58,579▲
Income statement Code20242025
Non-recurring operating income76A-€2,372
Remuneration, social security and pensions62€369,816€455,939▲
Depreciation of and write-downs on formation expenses, intangible and tangible fixed assets630€2,928€3,595▲
Write-downs on stocks, contracts in progress and trade receivables: additions (reversals)631/4-€82€257▲
Other operating charges640/8€519-
Gross operating margin9900€391,564€403,413▲
Operating profit (loss)9901€18,382-€56,378▼
Financial charges65/66B€229€319▲
Recurring financial charges65€229€319▲
Profit (loss) for the period before taxes9903€18,153-€56,697▼
Profit (loss) for the period9904€18,153-€56,697▼
Profit (loss) for the period to be appropriated9905€18,153-€56,697▼
Appropriation of the result
Profit (loss) to be appropriated9906€2,049-€56,697▼
Profit (loss) brought forward from the previous period14P-€16,104-
From contributions791-€2,049
Social balance
Average headcount (FTE)9087-6.6

The notes to these accounts (9 items: statements of assets and debts, cost breakdowns, rights and commitments) are not shown here.

Line20212022202320242025Change
Non-recurring operating income76A----€2,372-
Remuneration, social security and pensions62€340,349€336,551€369,812€369,816€455,939▲ 23.3%
Depreciation of and write-downs on formation expenses, intangible and tangible fixed assets630€1,654€1,290€1,070€2,928€3,595▲ 22.8%
Write-downs on stocks, contracts in progress and trade receivables: additions (reversals)631/4€691--€415-€82€257▲ 413%
Other operating charges640/8€312€157-€519--
Gross operating margin9900€336,505€341,414€346,024€391,564€403,413▲ 3.0%
Operating profit (loss)9901-€6,502€3,416-€24,442€18,382-€56,378▼ 407%
Financial income75/76B-€0€0---
Recurring financial income75-€0€0---
Financial charges65/66B€29€177€210€229€319▲ 39.4%
Recurring financial charges65€29€177€210€229€319▲ 39.4%
Profit (loss) for the period before taxes9903-€6,531€3,239-€24,652€18,153-€56,697▼ 412%
Profit (loss) for the period9904-€6,531€3,239-€24,652€18,153-€56,697▼ 412%
Profit (loss) for the period to be appropriated9905-€6,531€3,239-€24,652€18,153-€56,697▼ 412%
Line20212022202320242025Change
Assets
Total assets20/58€141,761€160,603€128,749€165,853€127,381▼ 23.2%
Fixed assets21/28€4,491€4,884€7,378€38,883€49,539▲ 27.4%
Tangible fixed assets22/27€4,491€4,884€7,378€38,883€49,539▲ 27.4%
Land and buildings22€2,462€1,691€958€35,022€33,334▼ 4.8%
Plant, machinery and equipment23€1,298€2,620€5,847€3,861€16,204▲ 320%
Furniture and vehicles24€731€573€573---
Current assets29/58€137,270€155,719€121,371€126,970€77,842▼ 38.7%
Amounts receivable within one year40/41€124,107€19,204€26,020€50,193€28,675▼ 42.9%
Trade receivables40€108,893€9,006€11,878€10,539€13,158▲ 24.9%
Other amounts receivable41€15,214€10,199€14,142€39,654€15,517▼ 60.9%
Current investments50/53---€76,777€49,167▼ 36.0%
Cash at bank and in hand54/58€13,163€136,515€95,351---
Equity and liabilities
Total equity and liabilities10/49€141,761€160,603€128,749€165,853€127,381▼ 23.2%
Equity10/15€71,140€74,379€49,728€67,881€11,184▼ 83.5%
Contributions10/11-€65,832€65,832€65,832€65,832=
Capital10-€65,832€65,832€65,832€65,832=
Profit (loss) carried forward14€5,308€8,548-€16,104€2,049-€54,648▼ 2,767%
Amounts payable17/49€70,621€86,223€79,022€97,972€116,197▲ 18.6%
Amounts payable within one year42/48€70,621€86,223€79,022€97,972€116,197▲ 18.6%
Trade debts44€30,990€41,095€36,581€52,208€36,145▼ 30.8%
Suppliers440/4€30,990€41,095€36,581€52,208€36,145▼ 30.8%
Taxes, remuneration and social security45€31,286€35,709€33,080€37,262€71,191▲ 91.1%
Taxes450/3----€12,613-
Remuneration and social security454/9€31,286€35,709€33,080€37,262€58,579▲ 57.2%
Line20212022202320242025Change
Profit (loss) for the period9904-€6,531€3,239-€24,652€18,153-€56,697▼ 412%
+ Depreciation and write-downs630€1,654€1,290€1,070€2,928€3,595▲ 22.8%
Operating cash flow (approximation)-€4,877€4,529-€23,582€21,081-€53,102▼ 352%
Investment in fixed assets (approximation)--€1,683-€3,564-€34,433-€14,251▲ 58.6%
Change in cash-€123,352-€41,164---

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
07-07
NBB filing Annual accounts filed
fiscal year 2025 · full schema
11-05
State Gazette act Restructuring
Resignations: ALLAERT Jan, BAECKELANDT Wino and 6 others · Merger · Accounting effect11 facts ▸
  • Merger, 31-03-2026
  • Accounting effect, 01-01-2026
  • Director resignation, ALLAERT Jan (director)
  • Director resignation, BAECKELANDT Wino (director)
  • Director resignation, GEMMEL Paul (director)
  • Director resignation, GOETINCK Rik (director)
  • Director resignation, ROETS Achiel (director)
  • Director resignation, VANDENBERGHE Lieven (director)
  • Director resignation, VERCRUYSSE Geert (director)
  • Director resignation, VOS Annemie (director)
  • Power of attorney
2025
31-12
Financial Weakest financial yearnet -€56,697
Net result drops to -€56,697, the lowest in the series.
25-06
NBB filing Annual accounts filed
fiscal year 2024 · abbreviated schema
2024
31-12
Financial Back to profitnet €18,153
Net result €18,153 after one loss-making year.
05-07
NBB filing Annual accounts filed
fiscal year 2023 · abbreviated schema
2023
18-07
NBB filing Annual accounts filed
fiscal year 2022 · abbreviated schema
2022
31-12
Financial Back to profitnet €3,239
Net result €3,239 after one loss-making year.
29-07
NBB filing Annual accounts filed
fiscal year 2021 · abbreviated schema
2021
29-07
NBB filing Annual accounts filed
fiscal year 2020 · abbreviated schema
2020
23-07
NBB filing Annual accounts filed
fiscal year 2019 · abbreviated schema
Financial milestoneState Gazette actNBB filingFinancial milestones sit on the fiscal year-end date, not the filing date.
1 of 6 acts read
About the unread acts

Of the 6 Belgian State Gazette acts we know for this company, 1 has been read. The other 5 have not been read yet: what they contain is neither established nor disproved here.

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Directors · office · real estate

Directors
no sitting director, last change in 2026
We have established no sitting directors for this company in the Gazette acts read. See the function holders in the CBE →
Location & real-estate footprint
Registered office, Kortrijk
exact location from the address register On OpenStreetMap
Ground area
5,522 m²
Building footprint
3,018 m²
Volume, LiDAR
36,017 m³
Parcel 34352F0752/00N000, Flanders · tallest building 20.1 m, ±4 floors. Linked by address, not a title deed.
1 parcel
Flanders 1 (100%)
Parcel (capakey) Region Area Buildings Height / fl.
34352F0752/00N000 Flanders 5,522 m² 1 · 3,018 m² 20.1 m · 4 fl.
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

8 people since 2026, 0 in office
Show
  • Board
  • began earlier
Mandates per person, with start and end dates
Name Functions and periods
BAECKELANDT Wino
  • Director, until 31-03-2026
GEMMEL Paul
  • Director, until 31-03-2026
GOETINCK Rik
  • Director, until 31-03-2026
Jan Allaert
  • Director, until 31-03-2026
ROETS Achiel
  • Director, until 31-03-2026
Vandenberghe Lieven
  • Director, until 31-03-2026
VERCRUYSSE Geert
  • Director, until 31-03-2026
VOS Annemie
  • Director, until 31-03-2026
See the board, name and seat on a given date →

Structure & network

Connections & network

No current directors or connected companies found in the register.

Acquisitions and mergers

1 transaction
Taken over by:Soetkin
BE 0443.641.970State Gazette act of 11-05-2026 (2 acts) · effective 31-03-2026

Subsidies and aid

Flemish government

2022 to 2025 · 9 entries · 1,347,069 EUR awarded · 1,347,069 EUR paid
Year Entries awardedpaid
2025 2 380,013 EUR380,013 EUR
2024 2 343,077 EUR343,077 EUR
2023 3 316,556 EUR316,556 EUR
2022 2 307,423 EUR307,423 EUR
Schemes
4 entries · 1,657,290 EUR · 1,657,290 EUR paid · Opgroeien regie
1 entry · 3,000 EUR · 3,000 EUR paid · Vlaams Infrastructuurfonds voor Persoonsgebonden Aangelegenheden
4 entries · -313,221 EUR · -313,221 EUR paid · Opgroeien regie

Recognitions · licences · registrations

Care and welfare

3 services · 0 live
De Vlinder
Opgroeien (child and family agency) · ended
Buitenschoolse Opvang · Crèche · Voorschoolse Opvang
De Vlinder
Opgroeien (child and family agency) · ended
Buitenschoolse Opvang · Groepsopvang · Voorschoolse Opvang
Lokaal Loket Kinderopvang Spiere-Helkijn
Opgroeien (child and family agency) · ended

Similar companies · same sector, comparable size

Of 1,586 companies in this sector we hold annual accounts for 709. 304 are within a factor 10 of this equity. The 5 above are the closest to it. See the whole sector

Company details

Identification
Legal formNon-profit association
Founded16-08-1994
Fiscal year end31-12
Activities, NACEBEL 2025
88911Day nurseries and crèches
E-invoicing
Reachable via Peppol
Peppol ID 0208:0453819349
Also 9925:BE0453819349

The company is no longer active; its Peppol card can remain until its access point withdraws it.

Register as of 30 September 2026 · Peppol Directory

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