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VIMAGINE

Active
Private limited company·Productie van bioscoopfilms· 5 yrs active
Rue de Cognelée, Warisoulx 22 ·5080 La Bruyère, Belgium
KBO/BCE: BE 0764.683.662
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Age5 yrs

Summary

Conclusion

the dossier summarised in one paragraph

The computed 12-month bankruptcy probability of VIMAGINE is 1.2% (low). The 2024 annual accounts show equity of €42k and a net result of €-46k. Equity is shrinking by ~3.9% per year across the filed fiscal years. Its solvency ranks better than 33% of 508 sector peers (fiscal year 2024). The company has been active since 2021 and the Belgian State Gazette contains no insolvency or warning signals.

Based on the State Gazette, CBE and 4 annual accounts.

Bankruptcy probability (12 mo)

Checked model v1 · free for everyone
1.2% Low
0%0,5%1,5%4%10%≥25%
Young company +Lower-failure-rate sector Annual accounts: weaker financial profile +

Statistical estimate based on public sources, not credit advice nor a finding of fact. How do we compute this?

Signals

1 signal · with evidence
Persistent losses
Two consecutive loss-making years (2023 and 2024); equity fell accordingly. May indicate structural pressure on profitability.
View the result trend

Signals are derived from the filed annual accounts and the sector comparison. No composite score: each signal is separately verifiable at the source.

Trust signals

3 signals
More than 3 years active
Founded in 2021, past the statistically most fragile first 3 years.
No legal incidents
No bankruptcy, reorganisation or interim measure in the Belgisch Staatsblad.
Administratively compliant
No FOD Economie strikeouts (UBO, accounts, address, activity).

Administrative Flags

0 events
No administrative flags

Financials

TurnoverNot published (abbreviated filing)
EBIT marginNot published (abbreviated filing)
Net result€-46k-2419.1%
Working capital€-53k-978.6%

Annual accounts & ratios

Source: NBB · 2024
Annual accounts filed on 28-08-2025 with the NBB · fiscal year 2024 · micro
€-50k€0€50kOperating result 2021: €67k€67kNet result 2021: €49k€49kOperating result 2022: €49k€49kNet result 2022: €37k€37kOperating result 2023: €910€910Net result 2023: €-2k€-2kOperating result 2024: €-40k€-40kNet result 2024: €-46k€-46k2021202220232024
Operating resultNet result
Trajectory (indicative)
Projection over 3 fiscal years from the filed annual accounts, not a forecast, the extended trend.
declining Net result: declining trend of ~85.1%/year over 4 fiscal years, indicative, assuming unchanged policy.
€-200k€-100k€02025: €-77k (€-88k - €-65k)2026: €-112k (€-129k - €-94k)2027: €-147k (€-171k - €-122k)2021: €49k2022: €37k2023: €-2k2024: €-46k2021202220232024202520262027
Solid line = filed figures · dashed = extended trend · area = indicative range.
How do we compute this?

The trend is a robust median of all pairwise slopes between fiscal years (Theil-Sen), so a single odd year cannot hijack the line. For strictly positive series we also fit a log variant (compound annual growth) and keep whichever describes the figures best.

The area around the projection is 1.8 × the median absolute deviation from the trend, widening each year ahead (×1 / ×1.6 / ×2.2), with a minimum of 8% of the last value. It is an indicative range, not a statistical confidence interval.

A series whose deviations exceed 35% of its level is too volatile: we then deliberately show no projection. Every projection assumes unchanged policy and is blind to non-public information (order book, contracts, funding rounds).

Sector comparison
Fiscal year 2024 · NACE 59 · compared within the same schema type (micro schema)
Metric This company Sector median Position in the sector
Solvency 28.1% 47.2%
better than 33% of 508 sector peers
Net result €-46k €9k
better than 5% of 511 sector peers
Equity €42k €27k
better than 64% of 510 sector peers
Gross operating margin €-13k €24k
better than 5% of 509 sector peers
Total assets €150k €65k
better than 80% of 510 sector peers
Median and position computed from NBB annual accounts filed by sector peers; own figures from the latest filed accounts.
Sector position over time
Percentile per fiscal year versus peers that filed figures, computed year by year (a year without enough peers is absent).
Solvency P33
2021: P39 · n=1312022: P47 · n=2692023: P48 · n=3952024: P33 · n=5082021 2024
Stable position over 2021-2024 · n=131-508
Net result P5
2021: P88 · n=1322022: P81 · n=2702023: P25 · n=3942024: P5 · n=5112021 2024
Weakening position over 2021-2024 · n=132-511
Equity P64
2021: P72 · n=1322022: P87 · n=2702023: P86 · n=3952024: P64 · n=5102021 2024
Stable position over 2021-2024 · n=132-510
Gross operating margin P5
2021: P85 · n=1322022: P81 · n=2702023: P57 · n=3942024: P5 · n=5092021 2024
Weakening position over 2021-2024 · n=132-509
Describes the position versus peers, not a forecast.
EBITDA
€-21k
- 21-24
Net profit
€-46k
-2419.1% 21-24
Cash flow
€-26k
- 21-24
Total assets
€150k
-32.3% 21-24
Equity
€42k
-52.1% 21-24
Working capital
€-53k
-978.6% 21-24
Income taxes
€326
- 21-24
Debt
€108k
-19.4% 21-24
Debt ≤ 1y
€83k
-9.1% 21-24
Debt > 1y
€25k
-41.5% 21-24
Current ratio
0.36
-61.6% 21-24
Quick ratio
0.36
-61.6% 21-24
Solvency
28.1%
-29.2% 21-24
Debt / equity
2.56
+68.2% 21-24
ROE
-108.6%
-5154.6% 21-24
ROA
-30.5%
-3622.5% 21-24
Interest coverage
-3.83
- 21-24
Figures by fiscal year
Fiscal year2024
Revenue-
EBITDA€-21k
Net profit€-46k
Cash flow€-26k
Staff costs-
Income taxes€326
Dividends-
Total assets€150k
Equity€42k
Debt€108k
of which ≤ 1y€83k
of which > 1y€25k
Working capital€-53k
Employees (FTE)-
Ratios (computed)
2024
Current ratio0.36
Quick ratio0.36
Working capital ratio-35.3%
Solvency28.1%
Debt / equity2.56
Long-term debt ratio0.59
Interest coverage-3.83
Gross margin-
Net margin-
ROA-30.5%
ROE-108.6%
EBITDA margin-
Days sales outstanding-
Days payable outstanding-
Inventory turnover-
Days inventory (DSI)-
Balance-sheet composition 2024
Full annual accounts
Filed balance sheet and income statement, exactly as deposited with the NBB.
Line item Code2024
Balance sheet, Assets
TOTAL ASSETS 20/58€150k
Fixed assets 21/28€120k
Intangible fixed assets 21€85k
Tangible fixed assets 22/27€35k
Current assets 29/58€30k
Amounts receivable within one year 40/41€12k
Cash & bank 54/58€19k
Balance sheet, Equity & liabilities
TOTAL EQUITY & LIABILITIES 10/49€150k
Equity 10/15€42k
Contributions / capital 10/11€4k
Accumulated profits (losses) 14€38k
Amounts payable 17/49€108k
Amounts payable after one year 17€25k
Amounts payable within one year 42/48€83k
Trade debts payable within one year 44€7k
Income statement
Gross operating margin 9900€-13k
Operating result 9901€-40k
Financial charges 65€5k
Result before taxes 9903€-46k
Income taxes 67/77€326
Net result for the period 9904€-46k
Result to be appropriated 9905€-46k
You're seeing the latest fiscal year only. Unlock 3 prior years (figures + ratios) with a paid plan. See plans →
Ratios computed by Checked.

Health barometer

FY 2024 · computed
12 / 100 Critical
050100

Unlock the full score breakdown, per-year score history and the indicative credit limit with Plus.

See plans →
Computed by Checked from NBB filings and Belgian State Gazette signals. Indicative, not credit advice.

Structure & network

Locations & real estate

Establishment units

1 location
VIMAGINE
Rue de Cognelée, Warisoulx 22, 5080 La BruyèreHandelsbemiddeling in de groothandel in voedings- en genotmiddelen
since 20212.315.271.917
Physical sites registered in the Crossroads Bank for Enterprises (CBE).
Parcels1
Ground area864 m²
Buildings1
Building footprint59 m²

Real-estate footprint

Source: CBE × cadastre · address linking

Parcels linked to this company through its CBE addresses (seat, establishment units, branches), cross-referenced with the cadastral parcel plan. This shows where the company operates, not a deeds register.

Wallonia 1 (100%)
Parcel (capakey) Region Area Buildings Height / fl.
92134B0337/00T000 Wallonia 864 m² 1 · 59 m² -
Methodology
via registered seat: 1
1 of 1 parcels with an exact address match; the rest are indicative.
Linked through address data, this is not proof of ownership.

Analysis

Snowflake analysis

financial profile on 5 axes
Health12Profitability0Solvency32Growth32Stability94
34 / 100

Fragile profile, watch profitability in particular.

Health 12
Profitability 0
Solvency 32
Growth 32
Stability 94

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Credit advice

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Based on official sources (NBB, CBE, State Gazette). Indicative, not credit advice.

Similar

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Company registry

Company registry (CBE)

Crossroads Bank
Activities
Productie van bioscoopfilms59111Productie van bioscoopfilms59111Productie van televisiefilms59112Productie van televisiefilms59112Productie van films, m.u.v. bioscoop- en televisiefilms59113Productie van video en film, muv bioscoop- en televisiefilms59113Productie van televisieprogramma's59114Productie van televisieprogramma's59114Activiteiten in verband met films en video- en televisieprogramma's na de productie59120Activiteiten in verband met films en video- en televisieprogramma’s na de productie59120Distributie van films en video- en televisieprogramma's59130Activiteiten op het gebied van de distributie van films en video’s59130
Primary activity highlighted.
Names & trade names
Legal nameFR VIMAGINE
Registered office
Rue de Cognelée, Warisoulx 22 bus A
5080 La Bruyère, Belgium
Official data from the Crossroads Bank for Enterprises (CBE). Available for every registered company.