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Flexi Group Concept: what changed

Two fiscal years side by side, explained: what moved most in the balance sheet and the result, why the result rose or fell, and where the money went.

What changed

Flexi Group Concept

BE 0793.291.338
NACE 64.210, Activities of holding companies
fiscal year 2024 against 2025filed annual accounts (NBB)
Net result for the year
€40,655
2024 · €166,050-€125,395
Equity
€470,063
2024 · €429,409+€40,655
Cash
€169
2024 · €1,421-€1,253
Balance sheet total
€1.3m
2024 · €1.3m-€6,944

Largest movements

2024 to 2025
Assets

No asset line moved by more than 1% of the balance sheet total.

    Equity and liabilities
    • Debts after one year -€186,820

      down €186,820 (-31.7%), from €590,087 to €403,267

    • Other debts +€136,617

      up €136,617 (+137.0%), from €99,730 to €236,347

    • Profit (loss) carried forward +€40,655

      up €40,655 (+11.0%), from €369,409 to €410,063

    Income statement
    • Financial income -€122,746

      down €122,746 (-72.4%), from €169,437 to €46,691

    • Gross operating margin -€7,714

      down €7,714 (-26.9%), from €28,629 to €20,915

    • Financial charges -€4,630

      down €4,630 (-15.8%), from €29,339 to €24,708

    • Other operating charges -€435

      down €435 (-16.2%), from €2,678 to €2,243

    From the 2024 result to the 2025 result

    effect on the result

    Each bar is the change in one income-statement line, as its effect on the result: higher costs pull it down, higher income lifts it.

    Result 2024 €166,050
    Gross operating margin -€7,714
    Other operating charges +€435
    Financial income -€122,746
    Financial charges +€4,630
    Result 2025 €40,655

    Cash bridge derived

    cash 2024 to 2025

    Derived from the 2024 and 2025 balance sheets and the 2025 result: not a filed cash-flow statement. It shows where the money came from and went.

    From operations +€178,473
    Investment €0
    Financing -€179,726
    Cash 2024 €1,421
    Net result for the year +€40,655
    Receivables within one year +€5,608
    Smaller working-capital items +€383
    Trade debts +€2,711
    Advances received -€7,500
    Other debts +€136,617
    Debts after one year -€186,820
    Current portion of long-term debt +€7,094
    Cash 2025 €169
    Every line side by side 35 lines
    Line Code 2024 2025 Change %
    Total assets 20/58 €1,317,665 €1,310,721 -€6,944 -0.5%
    Fixed assets 21/28 €1,200,000 €1,200,000 = 0.0%
    Financial fixed assets 28 €1,200,000 €1,200,000 = 0.0%
    Current assets 29/58 €117,665 €110,721 -€6,944 -5.9%
    Amounts receivable within one year 40/41 €116,077 €110,469 -€5,608 -4.8%
    Trade receivables 40 €8,060 €43,017 +€34,957 +433.7%
    Other amounts receivable 41 €108,017 €67,452 -€40,565 -37.6%
    Cash at bank and in hand 54/58 €1,421 €169 -€1,253 -88.1%
    Deferred charges and accrued income 490/1 €167 €83 -€83 -50.0%
    Total equity and liabilities 10/49 €1,317,665 €1,310,721 -€6,944 -0.5%
    Equity 10/15 €429,409 €470,063 +€40,655 +9.5%
    Contributions 10/11 €60,000 €60,000 = 0.0%
    Profit (loss) carried forward 14 €369,409 €410,063 +€40,655 +11.0%
    Amounts payable 17/49 €888,257 €840,658 -€47,599 -5.4%
    Amounts payable after more than one year 17 €590,087 €403,267 -€186,820 -31.7%
    Financial debts 170/4 €590,087 €403,267 -€186,820 -31.7%
    Amounts payable within one year 42/48 €298,170 €437,391 +€139,221 +46.7%
    Current portion of amounts payable after more than one year 42 €179,726 €186,820 +€7,094 +3.9%
    Trade debts 44 €10,524 €13,235 +€2,711 +25.8%
    Suppliers 440/4 €10,524 €13,235 +€2,711 +25.8%
    Advances received on contracts in progress 46 €7,500 €0 -€7,500 -100.0%
    Taxes, remuneration and social security 45 €689 €989 +€299 +43.4%
    Taxes 450/3 €689 €989 +€299 +43.4%
    Other amounts payable 47/48 €99,730 €236,347 +€136,617 +137.0%
    Accrued charges and deferred income 492/3 €0 - =
    Other operating charges 640/8 €2,678 €2,243 -€435 -16.2%
    Gross operating margin 9900 €28,629 €20,915 -€7,714 -26.9%
    Operating profit (loss) 9901 €25,951 €18,672 -€7,279 -28.0%
    Financial income 75/76B €169,437 €46,691 -€122,746 -72.4%
    Recurring financial income 75 €169,437 €46,691 -€122,746 -72.4%
    Financial charges 65/66B €29,339 €24,708 -€4,630 -15.8%
    Recurring financial charges 65 €29,339 €24,708 -€4,630 -15.8%
    Profit (loss) for the period before taxes 9903 €166,050 €40,655 -€125,395 -75.5%
    Profit (loss) for the period 9904 €166,050 €40,655 -€125,395 -75.5%
    Profit (loss) for the period to be appropriated 9905 €166,050 €40,655 -€125,395 -75.5%

    Source: filed annual accounts (NBB), fiscal years ended 31 December 2024 and 31 December 2025. Colour: green is a favourable move for that line, red an unfavourable one. Prepared on 1 October 2026 via checked.be.