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VANNEROM

Active
Private limited companyfounded 201511 yrs activeRue Coquereaumont(MO) 12, 7911 Frasnes-lez-Anvaing, BelgiumKBO/BCE: BE 0635.609.821
Summary

VANNEROM has been active since 2015 and the Belgian State Gazette contains no insolvency or warning signals. The 2024 annual accounts show equity of €236,968 and a net result of -€27,069. Equity is growing by ~11.9% per year across the filed fiscal years. Its solvency ranks better than 74% of 15874 sector peers (fiscal year 2024). The computed 12-month bankruptcy probability is 1.1% (low).

Financials · fiscal year 2024, micro schema

Equity
€236,968▼ 10.3%
2023 · €264,037
Total assets
€337,946▼ 11.1%
2023 · €380,124
Net result
-€27,069▲ 30.7%
2023 · -€39,057
Working capital
€238,227▼ 11.0%
2023 · €267,796
Trend over the years

2020 to 2024, 5 fiscal years 2018 to 2024, 7 fiscal years

The operating result stays negative: a loss of €25,956 in 2024 against €32,563 in 2023; the loss shrinks.

What the company sold each fiscal year and what was left of it. A loss stands below the zero line.

Operating result-€25,956 2024 Net result-€27,069 2024

Point at or tap 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 46, Wholesale trade, 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).

Every figure with its change against the fiscal year before
favourable unfavourable
Line2018201920202021202220232024
Operating result€40,386-€58,676▲ 45.3%€68,041▲ 16.0%€103,233▲ 51.7%€34,276▼ 66.8%-€32,563-€25,956▲ 20.3%
Net result€30,216-€45,480▲ 50.5%€53,062above the sector's middle half▲ 16.7%€75,244above the sector's middle half▲ 41.8%€23,320within the sector's middle half▼ 69.0%-€39,057below the sector's middle half-€27,069below the sector's middle half▲ 30.7%
Equity€105,987-€151,468▲ 42.9%€204,530above the sector's middle half▲ 35.0%€279,774above the sector's middle half▲ 36.8%€303,093above the sector's middle half▲ 8.3%€264,037above the sector's middle half▼ 12.9%€236,968above the sector's middle half▼ 10.3%
Total assets€334,908-€357,018▲ 6.6%€420,577above the sector's middle half▲ 17.8%€461,932above the sector's middle half▲ 9.8%€463,849above the sector's middle half▲ 0.4%€380,124within the sector's middle half▼ 18.1%€337,946within the sector's middle half▼ 11.1%
Debt€228,921-€205,551▼ 10.2%€216,047▲ 5.1%€182,158▼ 15.7%€160,756▼ 11.7%€116,087▼ 27.8%€100,978▼ 13.0%
Working capital€158,916-€209,976▲ 32.1%€287,160above the sector's middle half▲ 36.8%€357,841above the sector's middle half▲ 24.6%€377,329above the sector's middle half▲ 5.4%€267,796above the sector's middle half▼ 29.0%€238,227above the sector's middle half▼ 11.0%
Solvency31.6%-42.4%▲ 10.8pp48.6%within the sector's middle half▲ 6.2pp60.6%within the sector's middle half▲ 11.9pp65.3%within the sector's middle half▲ 4.8pp69.5%above the sector's middle half▲ 4.1pp70.1%within the sector's middle half▲ 0.7pp
Current ratio5.74-8.06▲ 2.3313.95above the sector's middle half▲ 5.8912.40above the sector's middle half▼ 1.5611.45above the sector's middle half▼ 0.9516.60above the sector's middle half▲ 5.1527.60above the sector's middle half▲ 11.00
Return on assets (ROA)9.0%-12.7%▲ 3.7pp12.6%within the sector's middle half▼ 0.1pp16.3%above the sector's middle half▲ 3.7pp5.0%within the sector's middle half▼ 11.3pp-10.3%below the sector's middle half▼ 15.3pp-8.0%below the sector's middle half▲ 2.3pp
above within below the middle half (P25 to P75) of NACE 46, Wholesale trade, each year against the same schema; no band under 30 filings.
Turnover and EBIT margin not published: the micro schema does not require them.
Balance-sheet composition
2024 in colour, 2023 as the grey bar beneath
Assets €337,946
Fixed assets €90,764 ▼ 4.6%
Current assets €247,181 ▼ 13.3%
Equity and liabilities €337,946
Equity €236,968 ▼ 10.3%
Debt €100,978 ▼ 13.0%
Debt's share of the balance-sheet total falls from 30.5% to 29.9%. Equity and debt are lower.
Key figures and ratios
2024 value · change against 2023
EBITDA
-€4,843▲
2023 · -€16,770
Cash flow
-€5,955▲
2023 · -€23,263
Quick ratio
24.61▲
2023 · 15.72
Debt to equity
0.43▼
2023 · 0.44
ROE
-11.4%▲
2023 · -14.8%
Interest coverage
-11.28▼
2023 · -2.71
Debt ≤ 1 year
€8,955▼
2023 · €17,163
Debt > 1 year
€92,023▼
2023 · €98,924
Income taxes
€690▼
2023 · €694
Staff costs
€8,479▼
2023 · €8,816
Green means a favourable move, even when the figure itself falls: as with debt or debt to equity.

Peer companies

Historical observation

Of the 6,910 companies that looked in July 2024 the way this one looks now, 1.1% went bankrupt within 24 months and 91% are still going.

  • Micro
  • 10 to 20 years old
  • solvency 30% or more
  • a small loss
1.1% went bankrupt
7.9% stopped otherwise
91% still going

A further 0.2% stopped, but we cannot tell whether within those 24 months.

For this company itself Checked computes a bankruptcy probability of 1.1% over twelve months; the group does not contradict it.

How reliable is this rule?

Tested on the year before, without using that year itself: the groups of July 2023 gave each of the 497,472 companies of July 2024 its group's bankruptcy share. Expected: 1.6%; actually bankrupt within 24 months: 1.7%.

The companies in ten equal groups, from lowest to highest expected share.
Group Expected Actual
1 0.2% 0.2%
2 0.3% 0.5%
3 0.5% 0.6%
4 0.7% 0.8%
5 0.9% 1.0%
6 1.3% 1.5%
7 1.6% 1.8%
8 1.8% 1.8%
9 3.0% 3.1%
10 5.6% 6.2%

The rule ranks well: a company that went bankrupt got a higher share than one that kept going in 74% of comparisons. The level follows the economy: in a year with more bankruptcies, the actual share is higher than the year before.

An observation about 6,910 comparable companies, not a prediction for this company. The sector does not count: the register keeps no sector for companies that stopped, so it would make the outcome look better than it was.

Annual accounts
Filed annual accounts As filed with the NBB · 2024 against 2023 · 48 lines
Balance sheet Code20232024
Assets
Total assets20/58€380,124€337,946▼
Fixed assets21/28€95,165€90,764▼
Tangible fixed assets22/27€95,165€90,764▼
Land and buildings22€34,234€37,029▲
Plant, machinery and equipment23€9,923€10,701▲
Furniture and vehicles24€16,376€10,457▼
Other tangible fixed assets26€34,632€32,577▼
Current assets29/58€284,959€247,181▼
Stocks and contracts in progress3€15,075€26,840▲
Stocks30/36€15,075€26,840▲
Amounts receivable within one year40/41€12,415€9,597▼
Trade receivables40€11,907€7,798▼
Other amounts receivable41€508€1,798▲
Cash at bank and in hand54/58€252,944€204,890▼
Deferred charges and accrued income490/1€4,524€5,854▲
Equity and liabilities
Total equity and liabilities10/49€380,124€337,946▼
Equity10/15€264,037€236,968▼
Contributions10/11€18,600€18,600=
Reserves13€245,437€218,368▼
Non-distributable reserves130/1€1,860€1,860=
Reserves not available under the articles1311€1,860€1,860=
Distributable reserves133€243,577€216,508▼
Amounts payable17/49€116,087€100,978▼
Amounts payable after more than one year17€98,924€92,023▼
Other amounts payable178/9€98,924€92,023▼
Amounts payable within one year42/48€17,163€8,955▼
Current portion of amounts payable after more than one year42€7,093-
Trade debts44€4,871€2,696▼
Suppliers440/4€4,871€2,696▼
Taxes, remuneration and social security45€4,403€4,699▲
Taxes450/3€2,435€2,451▲
Remuneration and social security454/9€1,968€2,248▲
Other amounts payable47/48€796€1,559▲
Income statement Code20232024
Remuneration, social security and pensions62€8,816€8,479▼
Depreciation of and write-downs on formation expenses, intangible and tangible fixed assets630€15,793€21,113▲
Other operating charges640/8€1,251€1,520▲
Gross operating margin9900-€6,703€5,156▲
Operating profit (loss)9901-€32,563-€25,956▲
Financial income75/76B€397€7▼
Recurring financial income75€397€7▼
Financial charges65/66B€6,196€429▼
Recurring financial charges65€6,196€429▼
Profit (loss) for the period before taxes9903-€38,363-€26,379▲
Income taxes67/77€694€690▼
Profit (loss) for the period9904-€39,057-€27,069▲
Profit (loss) for the period to be appropriated9905-€39,057-€27,069▲
Appropriation of the result
Profit (loss) to be appropriated9906-€39,057-€27,069▲
Transfer from equity791/2€39,057€27,069▼

The notes to these accounts (7 items: statements of assets and debts, cost breakdowns, rights and commitments) are not shown here.

Line2018201920202021202220232024Change
Remuneration, social security and pensions62---€10,040€14,087€8,816€8,479▼ 3.8%
Depreciation of and write-downs on formation expenses, intangible and tangible fixed assets630€41,440€43,253€39,555€45,612€29,824€15,793€21,113▲ 33.7%
Other operating charges640/8---€1,122€1,059€1,251€1,520▲ 21.5%
Gross operating margin9900€128,645€140,910€126,262€160,008€79,247-€6,703€5,156▲ 177%
Operating profit (loss)9901€40,386€58,676€68,041€103,233€34,276-€32,563-€25,956▲ 20.3%
Financial income75/76B---€1€22€397€7▼ 98.3%
Recurring financial income75€63€86-€1€22€397€7▼ 98.3%
Financial charges65/66B---€1,402€5,523€6,196€429▼ 93.1%
Recurring financial charges65€275€120€101€1,402€5,523€6,196€429▼ 93.1%
Profit (loss) for the period before taxes9903€40,174€58,643€67,940€101,832€28,775-€38,363-€26,379▲ 31.2%
Income taxes67/77€9,957€13,162€14,878€26,588€5,456€694€690▼ 0.6%
Profit (loss) for the period9904€30,216€45,480€53,062€75,244€23,320-€39,057-€27,069▲ 30.7%
Profit (loss) for the period to be appropriated9905€30,216€45,480€53,062€75,244€23,320-€39,057-€27,069▲ 30.7%
Line2018201920202021202220232024Change
Assets
Total assets20/58€334,908€357,018€420,577€461,932€463,849€380,124€337,946▼ 11.1%
Fixed assets21/28€142,437€117,316€111,250€72,698€50,420€95,165€90,764▼ 4.6%
Intangible fixed assets21€102,381€73,810€45,238€16,667----
Tangible fixed assets22/27€40,056€43,507€66,012€56,031€50,420€95,165€90,764▼ 4.6%
Land and buildings22-----€34,234€37,029▲ 8.2%
Plant, machinery and equipment23---€4,353€11,138€9,923€10,701▲ 7.8%
Furniture and vehicles24---€32,189€23,503€16,376€10,457▼ 36.1%
Other tangible fixed assets26---€19,489€15,779€34,632€32,577▼ 5.9%
Current assets29/58€192,471€239,702€309,327€389,234€413,429€284,959€247,181▼ 13.3%
Stocks and contracts in progress3----€6,426€15,075€26,840▲ 78.0%
Stocks30/36----€6,426€15,075€26,840▲ 78.0%
Amounts receivable within one year40/41€83,523€77,760€25,763€36,835€16,536€12,415€9,597▼ 22.7%
Trade receivables40---€21,485€9,992€11,907€7,798▼ 34.5%
Other amounts receivable41---€15,351€6,544€508€1,798▲ 254%
Cash at bank and in hand54/58€108,309€160,798€282,618€257,087€387,143€252,944€204,890▼ 19.0%
Deferred charges and accrued income490/1---€95,311€3,324€4,524€5,854▲ 29.4%
Equity and liabilities
Total equity and liabilities10/49€334,908€357,018€420,577€461,932€463,849€380,124€337,946▼ 11.1%
Equity10/15€105,987€151,468€204,530€279,774€303,093€264,037€236,968▼ 10.3%
Contributions10/11€18,600€18,600€18,600€18,600€18,600€18,600€18,600=
Reserves13€87,387€132,868€185,930€261,174€284,493€245,437€218,368▼ 11.0%
Non-distributable reserves130/1---€1,860€1,860€1,860€1,860=
Reserves not available under the articles1311---€1,860€1,860€1,860€1,860=
Distributable reserves133---€259,314€282,633€243,577€216,508▼ 11.1%
Amounts payable17/49€228,921€205,551€216,047€182,158€160,756€116,087€100,978▼ 13.0%
Amounts payable after more than one year17€195,365€175,824€193,880€150,765€124,656€98,924€92,023▼ 7.0%
Financial debts170/4---€16,449€7,093---
Other amounts payable178/9---€134,316€117,562€98,924€92,023▼ 7.0%
Amounts payable within one year42/48€33,555€29,726€22,167€31,393€36,100€17,163€8,955▼ 47.8%
Current portion of amounts payable after more than one year42---€9,240€9,356€7,093--
Trade debts44€10,592€1,127€914€19,309€7,593€4,871€2,696▼ 44.6%
Suppliers440/4---€19,309€7,593€4,871€2,696▼ 44.6%
Taxes, remuneration and social security45---€2,844€18,983€4,403€4,699▲ 6.7%
Taxes450/3---€1,607€17,617€2,435€2,451▲ 0.6%
Remuneration and social security454/9---€1,238€1,366€1,968€2,248▲ 14.3%
Other amounts payable47/48----€169€796€1,559▲ 95.9%
Line2018201920202021202220232024Change
Profit (loss) for the period9904€30,216€45,480€53,062€75,244€23,320-€39,057-€27,069▲ 30.7%
+ Depreciation and write-downs630€41,440€43,253€39,555€45,612€29,824€15,793€21,113▲ 33.7%
Operating cash flow (approximation)€71,656€88,733€92,618€120,855€53,144-€23,263-€5,955▲ 74.4%
Investment in fixed assets (approximation)--€18,133-€33,489-€7,060-€7,546-€60,538-€16,713▲ 72.4%
Change in cash-€52,489€121,821-€25,531€130,056-€134,199-€48,054▲ 64.2%

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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