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PHOENIX BAT

Open bankruptcy
Private limited company (pre-2019)founded 2000Frans van Kalkenlaan 9/8, 1070 Anderlecht, BelgiumKBO/BCE: BE 0467.231.479

A bankruptcy procedure is open for PHOENIX BAT according to publications in the Belgian State Gazette; curator: Lise HEILPORN.

Summary

The 2022 annual accounts show equity of €11,750 and a net result of €13,959.

Are you a creditor?

Open bankruptcy Source: Belgian Official Gazette

If this company owes you money, you are not paid automatically: you file your claim yourself, within the deadline the judgment sets.

The procedure

Court
French-language Enterprise Court of Brussels
Declared bankrupt
25 February 2025
Supervising judge
Michele Vrebos
Official Gazette
04-03-2025 (pdf) ↗search the document for 2025/109130

Deadlines

Appeal or third-party opposition until
passed on 19 March 2025Fifteen days after the publication in the Official Gazette.art. XX.108 CEL
File the claim in RegSol until
passed on 27 March 2025art. XX.104 and XX.155 CEL
First verification report
passed on 2 April 2025Goods that belong to you, such as those delivered under retention of title, are reclaimed before this day.art. XX.104 and XX.194 CEL
Late claim until
passed on 25 February 2026Late, you share only in what has not been paid out yet, and the costs are yours.art. XX.165 CEL

Curator

  • Lise HeilpornChaussee De La Hulpe 150, 1170 Watermael-Boitsfortl.heilporn@bdcg.be

What to do now

  1. Do not deliver on credit any more without an agreement with the curator.
  2. Gather your documents: invoices, purchase orders, contract, delivery notes and reminders.
  3. File your proof of claim in RegSol (regsol.be), yourself with eID or itsme, or through your lawyer. State principal, interest and costs separately, and any preferential right you hold.
  4. Delivered under retention of title? Reclaim your goods before the first report on the verification of claims.
  5. Ask your accountant about the VAT on the unpaid invoices: in a bankruptcy it can be recovered under conditions.
  6. Follow the file in RegSol: the verification report (admitted or disputed) and the curator's reports appear there.

The deadlines above come from the publication of the judgment. Check them in RegSol before you file anything; a passed deadline no longer applies.

File a claim in RegSol ↗ Watch Follow this bankruptcy: you are alerted when it is closed or reversed.

General information, not legal advice. If in doubt, the curator, your lawyer or your accountant can help.Creditor guide for this company

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Signals

Two signals.
+raises risk
raises risk · Register: open bankruptcy
The KBO register records the legal situation: open bankruptcy. This is today's state according to the register itself; the register carries no start date.
KBO · legal situation
raises risk · Open bankruptcy
Active bankruptcy procedure in the Belgisch Staatsblad. Claims are handled by the appointed curator.
Belgian State Gazette
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

PHOENIX BAT was incorporated on 29 March 2000.1 Total assets rose from EUR 103,842 in 2018 to EUR 162,504 in 2022 and headcount from 4 to 3 full-time equivalents.2 On 25 February 2025 the company was declared bankrupt.3

  1. 1Crossroads Bank for Enterprises
  2. 2National Bank, annual accounts 2018 and 2022
  3. 3Belgian State Gazette, 04-03-2025

Go further with this company

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

Financials · fiscal year 2022, full schema

Turnover
€355,073
EBIT margin
4.0%
Net result
€13,959▲ 12.1%
2021 · €12,450
Working capital
€11,750
2021 · -€2,210
Trend over the years

Click a name to add, emphasise or remove a line.Band: the middle half (P25 to P75) of NACE 43, Specialised construction activities, 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
Line2018201920212022
Turnover€355,073
Operating result€32,385-€10,252▼ 68.3%€17,935-€14,063▼ 21.6%
Net result€27,142--€295€12,450within the sector's middle half-€13,959within the sector's middle half▲ 12.1%
EBIT margin4.0%
Equity€8,455-€8,160▼ 3.5%-€2,210below the sector's middle half-€11,750below the sector's middle half
Total assets€103,842-€146,363▲ 40.9%€164,538below the sector's middle half-€162,504below the sector's middle half▼ 1.2%
Debt€95,387-€138,203▲ 44.9%€166,748-€150,754▼ 9.6%
Working capital€8,746-€8,160▼ 6.7%-€2,210below the sector's middle half-€11,750below the sector's middle half
Solvency8.1%-5.6%▼ 2.6pp-1.3%below the sector's middle half-7.2%below the sector's middle half▲ 8.6pp
Current ratio1.09-1.06▼ 0.030.99below the sector's middle half-1.08below the sector's middle half▲ 0.09
Return on assets (ROA)26.1%--0.2%▼ 26.3pp7.6%within the sector's middle half-8.6%within the sector's middle half▲ 1.0pp
Staff (FTE)4-4=4within the sector's middle half-3below the sector's middle half▼ 25.0%
above within below the middle half (P25 to P75) of NACE 43, Specialised construction activities, each year against the same schema; no band under 30 filings.
Result per fiscal year
Operating resultNet result
-€10,000€0€10,000€20,000€30,000Operating result 2018: €32,385€32,385Net result 2018: €27,142€27,142Operating result 2019: €10,252€10,252Net result 2019: -€295-€295Operating result 2021: €17,935€17,935Net result 2021: €12,450€12,450Operating result 2022: €14,063€14,063Net result 2022: €13,959€13,9592018201920212022-€5,000€0€5,000€10,000€15,000€20,000Operating result 2019: €10,252€10,300Net result 2019: -€295-€295Operating result 2021: €17,935€17,900Net result 2021: €12,450€12,500Operating result 2022: €14,063€14,100Net result 2022: €13,959€14,000201920212022
The operating result falls in 2022; 2022 is 22% below 2021.
Balance-sheet composition
Equity and liabilities €162,504
Equity €11,750
Debt €150,754
Debt finances 92.8% of the balance-sheet total.
Key figures and ratios
2022 value · change against 2021
Debt to equity
12.83▲
2021 · -75.45
ROE
118.8%
Debt ≤ 1 year
€150,754▼
2021 · €166,748
Staff costs
€147,032▲
2021 · €120,905
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 · 2022 against 2021 · 37 lines
Balance sheet Code20212022
Assets
Total assets20/58€164,538€162,504▼
Current assets29/58€164,538€162,504▼
Amounts receivable within one year40/41€162,585€159,575▼
Trade receivables40€149,289€140,736▼
Other amounts receivable41€13,296€18,839▲
Cash at bank and in hand54/58€1,953€2,929▲
Equity and liabilities
Total equity and liabilities10/49€164,538€162,504▼
Equity10/15-€2,210€11,750▲
Contributions10/11€18,592€18,592=
Capital10€18,592€18,592=
Issued capital100€18,592€18,592=
Profit (loss) carried forward14-€20,802-€6,842▲
Amounts payable17/49€166,748€150,754▼
Amounts payable within one year42/48€166,748€150,754▼
Trade debts44€75,938€57,717▼
Suppliers440/4€75,938€57,717▼
Taxes, remuneration and social security45€24,299€28,819▲
Taxes450/3€3,824€4,320▲
Remuneration and social security454/9€20,475€24,499▲
Other amounts payable47/48€66,511€64,218▼
Income statement Code20212022
Turnover70-€355,073
Goods, raw materials, services and sundry goods60/61-€193,978
Remuneration, social security and pensions62€120,905€147,032▲
Other operating charges640/8€379-
Gross operating margin9900€139,219€161,095▲
Operating profit (loss)9901€17,935€14,063▼
Financial income75/76B-€0
Recurring financial income75-€0
Financial charges65/66B€649€104▼
Recurring financial charges65€649€104▼
Profit (loss) for the period before taxes9903€17,286€13,959▼
Income taxes67/77€4,836-
Profit (loss) for the period9904€12,450€13,959▲
Profit (loss) for the period to be appropriated9905€12,450€13,959▲
Appropriation of the result
Profit (loss) to be appropriated9906-€20,802-€6,842▲
Profit (loss) brought forward from the previous period14P-€33,252-€20,802▲
Social balance
Average headcount (FTE)90874.03.0▼

The notes to these accounts (2 items: statements of assets and debts, cost breakdowns, rights and commitments) are not shown here.

Line2018201920212022Change
Turnover70---€355,073-
Goods, raw materials, services and sundry goods60/61---€193,978-
Remuneration, social security and pensions62--€120,905€147,032▲ 21.6%
Other operating charges640/8--€379--
Gross operating margin9900€113,397€98,119€139,219€161,095▲ 15.7%
Operating profit (loss)9901€32,385€10,252€17,935€14,063▼ 21.6%
Financial income75/76B---€0-
Recurring financial income75€1--€0-
Financial charges65/66B--€649€104▼ 84.0%
Recurring financial charges65€4,564€4,488€649€104▼ 84.0%
Profit (loss) for the period before taxes9903€27,822€5,764€17,286€13,959▼ 19.2%
Income taxes67/77€680€6,059€4,836--
Profit (loss) for the period9904€27,142-€295€12,450€13,959▲ 12.1%
Profit (loss) for the period to be appropriated9905€27,142-€295€12,450€13,959▲ 12.1%
Line2018201920212022Change
Assets
Total assets20/58€103,842€146,363€164,538€162,504▼ 1.2%
Current assets29/58€103,842€146,363€164,538€162,504▼ 1.2%
Amounts receivable within one year40/41€95,887€137,858€162,585€159,575▼ 1.9%
Trade receivables40--€149,289€140,736▼ 5.7%
Other amounts receivable41--€13,296€18,839▲ 41.7%
Cash at bank and in hand54/58€7,955€7,435€1,953€2,929▲ 50.0%
Equity and liabilities
Total equity and liabilities10/49€103,842€146,363€164,538€162,504▼ 1.2%
Equity10/15€8,455€8,160-€2,210€11,750▲ 632%
Contributions10/11€18,592€18,592€18,592€18,592=
Capital10--€18,592€18,592=
Issued capital100--€18,592€18,592=
Profit (loss) carried forward14-€10,137-€10,432-€20,802-€6,842▲ 67.1%
Amounts payable17/49€95,387€138,203€166,748€150,754▼ 9.6%
Amounts payable within one year42/48€95,096€138,203€166,748€150,754▼ 9.6%
Trade debts44€9,497€80,784€75,938€57,717▼ 24.0%
Suppliers440/4--€75,938€57,717▼ 24.0%
Taxes, remuneration and social security45--€24,299€28,819▲ 18.6%
Taxes450/3--€3,824€4,320▲ 13.0%
Remuneration and social security454/9--€20,475€24,499▲ 19.7%
Other amounts payable47/48--€66,511€64,218▼ 3.4%
Line2018201920212022Change
Profit (loss) for the period9904€27,142-€295€12,450€13,959▲ 12.1%
Operating cash flow (approximation)€27,142-€295€12,450€13,959▲ 12.1%
Change in cash--€520-€976-

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

Download as CSV

Timeline · acts, filings and financial milestones

2025
04-03
Bankruptcy Opening
Tribunal de l’entreprise francophone de Bruxelles · event 25-02-2025
2023
14-11
NBB filing Annual accounts filed
fiscal year 2022 · full schema · 106 days late
2022
04-11
NBB filing Annual accounts filed
fiscal year 2021 · full schema · 96 days late
2021
31-12
Financial Back to profitnet €12,450
Net result €12,450 after one loss-making year.
07-03
NBB filing Annual accounts filed
fiscal year 2019 · full schema · 219 days late
2019
31-12
Financial Weakest financial yearnet -€295
Net result drops to -€295, the lowest in the series.
10-10
NBB filing Annual accounts filed
fiscal year 2018 · full schema · 71 days late
2018
27-08
NBB filing Annual accounts filed
fiscal year 2017 · full schema · 27 days late
2017
30-06
NBB filing Annual accounts filed
fiscal year 2016 · micro schema
2016
29-08
NBB filing Annual accounts filed
fiscal year 2015 · full schema · 29 days late
2015
21-08
NBB filing Annual accounts filed
fiscal year 2014 · full schema · 21 days late
2014
30-09
NBB filing Annual accounts filed
fiscal year 2013 · full schema · 61 days late
2013
30-08
NBB filing Annual accounts filed
fiscal year 2012 · full schema · 30 days late
SignalFinancial milestoneNBB filingFinancial milestones sit on the fiscal year-end date, not the filing date.
0 of 2 acts read
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.

Have them read with priority Sign in to place this company at the front of the reading queue.

Directors · office · real estate

Directors
2 acts for this company are in the Belgian State Gazette, of which we have read 0. We have therefore not extracted its directors from those acts yet.
Location & real-estate footprint
Registered office, Anderlecht · 1 establishment unit since 2000
seat establishment The establishment unit on the map
Ground area
2,312 m²
Building footprint
1,725 m²
Volume, LiDAR
15,759 m³
Parcel 21306D0325/00F000, Brussels · tallest building 40.0 m, ±1 floor. Linked by address, not a title deed.
1 establishment unit
PHOENIX BAT
Frans van Kalkenlaan 9/8, 1070 AnderlechtConstruction of residential and non-residential buildings
since 20002.095.051.629
1 parcel
Brussels 1 (100%)
Parcel (capakey) Region Area Buildings Height / fl.
21306D0325/00F000 Brussels 2,312 m² 1 · 1,725 m² 40.0 m · 1 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.

Insolvency mandates

1 mandate
Role Name Tenure
Curator Lise HEILPORN
CHAUSSEE DE LA HULPE 150, 1170 WATERMAEL-BOITSFORT
25-02-2025 → present

Similar companies · same sector, comparable size

Of 4,269 companies in sector 43230 we hold annual accounts for 1,241. 747 are within a factor 10 of this equity. The 5 above are the closest to it. See the whole sector

Identification & contact

Identification
Legal formPrivate limited company (pre-2019)
Founded29-03-2000
Fiscal year end31-12
Activities, NACEBEL 2025
43230Insulation installation
41002Construction of residential and non-residential buildings
41003General construction of other non-residential buildings
43110Demolition
43120Site preparation
43130Specialised construction activities
43211General electrical installation work
43212Electrical installation work in industrial facilities
43221Plumbing work
43222Installation of electric heating, air conditioning, cooling and ventilation
43240Other construction installation
43310Plastering work
43320Joinery installation
43331Floor and wall tiling
43332Laying of wooden floor and wall coverings
43333Wallpapering and laying of floor and wall coverings in other materials
43341Painting of buildings
43342Specialised construction activities
43343Specialised construction activities
43350Other building finishing work
43410Roofing work
43421Specialised construction activities
43422Screed work
43990Other specialised construction activities
47521Retail sale of hardware, building materials, paint and glass (general range)
77221Rental and leasing activities
77320Rental and leasing activities
81100Combined facilities support activities
81220Other building cleaning and industrial cleaning
E-invoicing
Not found in the Peppol register

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.