CERITER
La probabilité de faillite calculée de CERITER sur 12 mois est de 0,6% (faible). Les comptes annuels de 2024 montrent des capitaux propres de €428k et un résultat net de €-280k. Les chiffres fluctuent trop fortement d'une année à l'autre pour une projection de tendance fiable. La solvabilité se classe au-dessus de 61 % des 556 entreprises du même secteur (exercice 2024). L'entreprise est active depuis 2020 et le Moniteur belge ne contient aucun signal d'insolvabilité ou d'avertissement.
| Capitaux propres | €428k |
| Résultat net | €-280k |
| Mieux que le secteur | 61% |
| Active | 5 ans |
Profil mitigé : fort en solvabilité, plus faible en rentabilité.
Estimation statistique fondée sur des sources publiques, pas un conseil de crédit ni une constatation. Comment calculons-nous cela ?
Le détail complet du score, son historique par exercice et la limite de crédit indicative se débloquent avec Plus.
Voir les plans →| Indicateur | Cette entreprise | Médiane du secteur | Position dans le secteur |
|---|---|---|---|
| Solvabilité | 48,5% | 34,7% | |
| Résultat net | €-280k | €15k | |
| Capitaux propres | €428k | €74k | |
| Marge brute d'exploitation | €-152k | €81k | |
| Total actif | €881k | €312k |
| Exercice | 2024 |
|---|---|
| Chiffre d'affaires | - |
| EBITDA | €-157k |
| Résultat net | €-280k |
| Cash-flow | €-201k |
| Frais de personnel | - |
| Impôts sur le résultat | - |
| Dividendes | - |
| Total actif | €881k |
| Capitaux propres | €428k |
| Dettes | €453k |
| dont ≤ 1 an | €70k |
| dont > 1 an | €384k |
| Fonds de roulement | €470k |
| Employés (ETP) | - |
| 2024 | |
|---|---|
| Current ratio | 7,74 |
| Quick ratio | 7,59 |
| Ratio fonds de roulement | 53,3% |
| Solvabilité | 48,5% |
| Debt / equity | 1,06 |
| Endettement à long terme | 0,90 |
| Interest coverage | -3,49 |
| Rentabilité brute | - |
| Rentabilité nette | - |
| ROA | -31,8% |
| ROE | -65,4% |
| Marge EBITDA | - |
| Crédit clients (DSO) | - |
| Crédit fournisseurs (DPO) | - |
| Rotation des stocks | - |
| Jours de stock (DSI) | - |
| Poste | Code | 2024 |
|---|---|---|
| Bilan, Actif | ||
| TOTAL DE L'ACTIF | 20/58 | €881k |
| Actifs immobilisés | 21/28 | €342k |
| Immobilisations incorporelles | 21 | €340k |
| Immobilisations financières | 28 | €2k |
| Actifs circulants | 29/58 | €539k |
| Stocks et commandes en cours | 3 | €11k |
| Créances à un an au plus | 40/41 | €288k |
| Valeurs disponibles | 54/58 | €241k |
| Bilan, Passif | ||
| TOTAL DU PASSIF | 10/49 | €881k |
| Capitaux propres | 10/15 | €428k |
| Apport / capital | 10/11 | €738k |
| Bénéfice (perte) reporté(e) | 14 | €-310k |
| Dettes | 17/49 | €453k |
| Dettes à plus d'un an | 17 | €384k |
| Dettes à un an au plus | 42/48 | €70k |
| Dettes commerciales à un an au plus | 44 | €67k |
| Compte de résultats | ||
| Marge brute d'exploitation | 9900 | €-152k |
| Résultat d'exploitation | 9901 | €-235k |
| Produits financiers | 75 | €280 |
| Charges financières | 65 | €45k |
| Résultat avant impôts | 9903 | €-280k |
| Résultat de l'exercice | 9904 | €-280k |
| Résultat à affecter | 9905 | €-280k |
| NACE primaire | Programmation, conseil informatique(62200) |
| Forme juridique | SRL(610) |
| Date de constitution | 25-11-2020 |
| Status | Actif |
| Code postal | 3620 |
Parcelles liées à cette entreprise via ses adresses BCE (siège, unités d'établissement, succursales), croisées avec le plan parcellaire cadastral. Ceci montre où l'entreprise est active, pas un registre de propriété.
| Parcelle (capakey) | Région | Superficie | Bâtiments | Hauteur / ét. |
|---|---|---|---|---|
| 73322A0257/00L000 | Flandre | 4 762 m² | 1 · 649 m² | 23,5 m · 2 ét. |
Une seule chronologie de tout ce qui est arrivé à cette entreprise, publications, événements d'insolvabilité et de cycle de vie, changements administratifs et comptes annuels déposés.
27-01-2025 5 administrateurs nommés
- Limet Caymax CommV, Commissaris
- Jan Limet, Gedelegeerd bestuurder
- Olivier Van Raemdonck, Vaste vertegenwoordiger
- Dominik Verbist, Vaste vertegenwoordiger
- Bas Stobbelaar, Vaste vertegenwoordiger
Détails techniques
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}19-12-2024 Augmentation de capital de 420.528,24 €
- Inbreng in geld · Apport en numéraire
- 4 kapitaalbewegingen in deze akte
Détails techniques
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}Générez une note structurée et factuelle à partir de tous les signaux de ce dossier : risque, santé financière, structure de propriété, mandats et comparaison sectorielle.
| Dénomination légaleNL | CERITER |