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Finance in Control: sector benchmark

Where does a company stand against its sector? Every ratio over five fiscal years, with its place among its peers and what that means, ready to print for your client.

Sector benchmark

Finance in Control

BE 0834.026.982
NACE 70.200, Business and other management consultancy
NACE division 70, Activities of head offices; management consultancy activities all sizesfiscal years 2021 to 202538,950 to 43,123 sector peers per ratio

Summary

fiscal year 2025

Finance in Control does better than half of its sector on 6 of the 7 ratios compared.

most favourable quarter above the median below the median least favourable quarter
Strongest points
  • Working-capital ratiobetter than 95%
  • Current ratiobetter than 93%
  • Debt to equitybetter than 82%
Points to watch
  • Interest coveragebetter than 37%

Solvency and debt

How soundly the company is financed.
Solvency
67.6%▲2025

Solvency is above 62% of 43,025 sector peers: more favourable than the median.

Position against the sector improving since 2021.

20212022202320242025
Debt to equity
0.09▼2025

Debt to equity is below 82% of 42,431 sector peers: in the most favourable quarter.

Position against the sector improving since 2021.

20212022202320242025
Interest coverage
9.64▲2023

Interest coverage is below 63% of 39,329 sector peers: less favourable than the median.

Position against the sector stable since 2021.

20212022202320242025

Liquidity

Whether it can pay its short-term bills.
Current ratio
15.74▲2025

The current ratio is above 93% of 42,397 sector peers: in the most favourable quarter.

Position against the sector improving since 2021.

20212022202320242025
Working-capital ratio
93.6%▲2025

The working-capital ratio is above 95% of 42,964 sector peers: in the most favourable quarter.

Position against the sector stable since 2021.

20212022202320242025

Profitability

What the company earns on its assets and its sales.
Return on equity
28.1%▲2025

Return on equity is above 58% of 38,950 sector peers: more favourable than the median.

Position against the sector stable since 2021.

20212022202320242025
Return on assets
19.0%▲2025

Return on assets is above 65% of 43,123 sector peers: more favourable than the median.

Position against the sector stable since 2021.

20212022202320242025

Not computable

Long-term debt ratio, Net margin, EBITDA margin, Gross margin, Days sales outstanding, Days payable outstanding, Days inventory. This company files the abbreviated or micro schema, in which turnover and purchases are optional; margins and credit terms therefore cannot be taken from its figures.

Source: filed annual accounts (NBB) and main activity (CBE register). Compared per fiscal year with each peer's latest statutory accounts; at least 30 peers per ratio. Prepared on 28 September 2026 via checked.be.