Company data from Slovak public registers

Active

CADART s.r.o.

Company financial profileCompany ID 53074581Budatínska 5, 92101 PiešťanyFounded 2020

Turnover 2025

13 K €

+244 %
Company ID
53074581
Tax ID
2121254399
VAT ID
SK2121254399, under §4, registered since Wednesday, July 1, 2020
Registered office
CADART s.r.o.Budatínska 5 92101 Piešťany
Established
Tuesday, May 26, 2020
Legal form
Spoločnosť s ručením obmedzeným
Registered in
Obchodný registerOkresný súd Trnava, Sro/46771/T

Profit 2025

2,436 €

+173 %

Assets

34 K €

+6.6 %

Equity

2,562 €

+1,950 %

Debt ratio

92.4 %

−7.2 pp

Gross margin

81.0 %

+31 pp
Coming soon

Andromia score

Profit

+173 %
−544 €−966 €746 €−790 €−3,322 €2,436 €202020212022202320242025

Revenue

+244 %
4,670 €3,000 €3,303 €1,280 €3,780 €13 K €202020212022202320242025

Financial indicators

Calculated from accounting statements using standard financial formulas.

Net margin

18.7 %

+107 pp

Profit / revenue

ROA

7.2 %

+18 pp

Return on assets

ROE

95.1 %

+2,753 pp

Return on equity

Current ratio

0.60

+83 %

Current assets / current liabilities

Earnings before tax

2,776 €

+193 %

Profit + income tax

Effective tax

12.2 %

+24 pp

Income tax / earnings before tax

Net working capital

−13 K €

+41 %

Current assets − current liabilities

Revenue CAGR

22.8 %

Average annual revenue growth

Total revenue

Sales + other operating + financial income

4,670 €20204,872 €20213,303 €20221,295 €20233,780 €202413 K €2025

Income statement

Item2022202320242025
Sales of products, services and goods3,303 €1,280 €3,780 €13 K €
Value added1,255 €−275 €1,906 €11 K €
Operating revenue3,303 €1,295 €3,780 €13 K €
Profit after tax746 €−790 €−3,322 €2,436 €
Income tax0 €0 €340 €340 €

Assets

  • Non-current assets15 K €
  • Current assets19 K €

Liabilities and equity

  • Equity2,562 €
  • Liabilities31 K €

Balance sheet

Assets

Item2022202320242025
Total assets5,646 €4,573 €32 K €34 K €
Non-current assets0 €0 €21 K €15 K €
Property, plant and equipment0 €0 €21 K €15 K €
Non-current intangible assets0 €0 €0 €0 €
Non-current financial assets0 €0 €0 €0 €
Current assets5,646 €4,573 €10 K €19 K €
Inventory0 €0 €0 €0 €
Non-current receivables0 €0 €0 €0 €
Current receivables31 €0 €1,560 €492 €
Financial accounts5,615 €4,573 €8,724 €18 K €

Liabilities and equity

Item2022202320242025
Total equity and liabilities5,646 €4,573 €32 K €34 K €
Equity4,236 €3,446 €125 €2,562 €
Share capital5,000 €5,000 €5,000 €5,000 €
Profit/loss of previous years−1,510 €−764 €−1,553 €−4,874 €
Profit/loss for the accounting period after tax746 €−790 €−3,322 €2,436 €
Liabilities1,410 €1,127 €32 K €31 K €
Non-current liabilities0 €0 €0 €0 €
Current liabilities1,410 €1,127 €32 K €31 K €
Long-term bank loans0 €0 €0 €0 €
Short-term bank loans0 €0 €0 €0 €
Provisions0 €0 €0 €0 €

Income tax

Tax liability trend

0 €0 €0 €0 €340 €340 €202020212022202320242025
Total taxCurrent tax

Company reliability

  • The entity is listed as an unreliable VAT payerNo
  • Former unreliable VAT payerNo
  • Excess VAT deductionLatest taxable periodQ425Excess deduction for the period0 €Tax liability for the period2,738.37 €No
  • Tax reliability indexHighly reliable
  • Tax debtNo
  • Debt with VšZPNo
  • Debt with UnionNo
  • Debt with Social Insurance AgencyNo

Business activities

15 registered activities

  • Dokončovacie stavebné práce pri realizácii exteriérov a interiérovValid from Tuesday, May 26, 2020
  • Energetická certifikácia budov pre miesto spotreby energie: tepelná ochrana stavebných konštrukcií a budovValid from Tuesday, May 26, 2020
  • Inžinierska činnosťValid from Tuesday, May 26, 2020
  • Konzultačná a poradenská činnosť v stavebníctveValid from Tuesday, May 26, 2020
  • Kopírovacie a rozmnožovacie službyValid from Tuesday, May 26, 2020
  • Kúpa tovaru za účelom jeho predaja konečnému spotrebiteľovi (maloobchod) alebo iným prevádzkovateľom živnosti (veľkoobchod)Valid from Tuesday, May 26, 2020
  • Počítačové služby a služby súvisiace s počítačovým spracovaním údajovValid from Tuesday, May 26, 2020
  • Príprava a vypracovanie technických návrhov, grafické a kresličské práceValid from Tuesday, May 26, 2020
  • Prípravné práce k realizácii stavbyValid from Tuesday, May 26, 2020
  • Reklamné a marketingové službyValid from Tuesday, May 26, 2020

Statutory bodies and related persons

Statutory body

1 active of 1

Related persons

1 active of 1
  • Spoločník v.o.s. / s.r.o.from Tuesday, May 26, 2020

    Address Budatínska 6900/5, 92101 Piešťany, Slovenská republika

    Share100 %Contribution5,000 EUR

Registration

Registered in Business Register

Register
Obchodný register
Registration court
Okresný súd Trnava
Registration number
Sro/46771/T
Main activity
Architektonické činnosti
Sector (ESA 2010)
Národné súkromné nefinančné korporácie
Tax registration
Active
VAT registration
Active
CADART s.r.o.

Registered office

CADART s.r.o.

Budatínska 5, 92101 Piešťany

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