Company data from Slovak public registers

Active

inframe pictures s. r. o.

Company financial profileCompany ID 53750977Malé Zalužice 155, 072 34 ZalužiceFounded 2021

Turnover 2024

2,784

+106 %
Company ID
53750977
Tax ID
2121484750
VAT ID
SK2121484750, under §4, registered since Sunday, September 1, 2024
Registered office
inframe pictures s. r. o.Malé Zalužice 155 072 34 Zalužice
Established
Saturday, May 1, 2021
Legal form
Spoločnosť s ručením obmedzeným
Registered in
Obchodný registerMestský súd Košice, Sro/51418/V

Profit 2024

1,639 €

+54,533 %

Assets

40 K €

+863 %

Equity

1,694 €

+2,980 %

Debt ratio

95.8 %

−2.9 pp

Gross margin

Not published
Coming soon

Andromia score

Profit

+54,533 %
0 €−4,950 €3 €1,639 €2021202220232024

Revenue

−100 %
0 €0 €1,354 €0 €2021202220232024

Financial indicators

Calculated from accounting statements using standard financial formulas.

Net margin

58.9 %

+59 pp

Profit / revenue

ROA

4.1 %

+4.0 pp

Return on assets

ROE

96.8 %

+91 pp

Return on equity

Current ratio

0.15

−28 %

Current assets / current liabilities

Earnings before tax

1,979 €

+65,867 %

Profit + income tax

Effective tax

17.2 %

+17 pp

Income tax / earnings before tax

Net working capital

−33 K €

−907 %

Current assets − current liabilities

Interest-bearing debt

0 €

Long-term bank loans + short-term bank loans + short-term financial assistance

Total revenue

Sales + other operating + financial income

0 €20210 €20221,354 €20232,784 €2024

Income statement

Item2021202220232024
Sales of products, services and goods0 €0 €1,354 €0 €
Value added0 €−4,894 €224 €1,960 €
Operating revenue0 €0 €1,354 €2,784 €
Profit after tax0 €−4,950 €3 €1,639 €
Income tax0 €0 €0 €340 €

Assets

  • Non-current assets34 K €
  • Current assets5,920 €

Liabilities and equity

  • Equity1,694 €
  • Liabilities38 K €

Balance sheet

Assets

Item2021202220232024
Total assets5,000 €3,897 €4,173 €40 K €
Non-current assets3,288 €3,288 €3,288 €34 K €
Property, plant and equipment0 €0 €0 €0 €
Non-current intangible assets3,288 €3,288 €3,288 €34 K €
Non-current financial assets0 €0 €0 €0 €
Current assets1,712 €609 €885 €5,920 €
Inventory0 €0 €0 €0 €
Non-current receivables0 €0 €0 €0 €
Current receivables0 €300 €300 €3,082 €
Financial accounts1,712 €309 €585 €2,838 €

Liabilities and equity

Item2021202220232024
Total equity and liabilities5,000 €3,897 €4,173 €40 K €
Equity5,000 €50 €55 €1,694 €
Share capital5,000 €5,000 €5,000 €5,000 €
Profit/loss of previous years0 €0 €−4,948 €−4,946 €
Profit/loss for the accounting period after tax0 €−4,950 €3 €1,639 €
Liabilities0 €3,847 €4,118 €38 K €
Non-current liabilities0 €0 €0 €0 €
Current liabilities0 €3,829 €4,118 €38 K €
Long-term bank loans0 €0 €0 €0 €
Short-term bank loans0 €18 €0 €0 €
Provisions0 €0 €0 €0 €

Income tax

Tax liability trend

0 €0 €0 €340 €2021202220232024
Total taxCurrent tax

Company reliability

  • The entity is listed as an unreliable VAT payerNo
  • Former unreliable VAT payerNo
  • Excess VAT deductionLatest taxable period0226Excess deduction for the period51.92 €Tax liability for the period0 €Yes
  • Tax reliability indexHighly reliable
  • Tax debtNo
  • Debt with VšZPNo
  • Debt with UnionNo
  • Debt with Social Insurance AgencyNo

Business activities

15 registered activities

  • Činnosť podnikateľských, organizačných a ekonomických poradcovValid from Saturday, May 1, 2021
  • Fotografické službyValid from Saturday, May 1, 2021
  • Kúpa tovaru na účely jeho predaja konečnému spotrebiteľovi ( maloobchod ) alebo iným prevádzkovateľom živnosti ( veľkoobchod )Valid from Saturday, May 1, 2021
  • Organizovanie športových, kultúrnych a iných spoločenských podujatíValid from Saturday, May 1, 2021
  • Počítačové služby a služby súvisiace s počítačovým spracovaním údajovValid from Saturday, May 1, 2021
  • Prenájom hnuteľných vecíValid from Saturday, May 1, 2021
  • Prenájom nehnuteľností spojený s poskytovaním iných než základných služieb spojených s prenájmomValid from Saturday, May 1, 2021
  • Prevádzkovanie kultúrnych, spoločenských a zábavných zariadeníValid from Saturday, May 1, 2021
  • Reklamné a marketingové služby, prieskum trhu a verejnej mienkyValid from Saturday, May 1, 2021
  • Služby požičovníValid from Saturday, May 1, 2021

Statutory bodies and related persons

Statutory body

2 active of 2
  • Konateľfrom Saturday, May 1, 2021

    Address Malé Zalužice 155, 07234 Zalužice, Slovenská republika

  • Konateľfrom Saturday, May 1, 2021

    Address J. G. Tajovského 3542/3, 07101 Michalovce, Slovenská republika

Related persons

2 active of 2
  • Spoločník v.o.s. / s.r.o.from Saturday, May 1, 2021

    Address Malé Zalužice 155, 07234 Zalužice, Slovenská republika

    Share50 %Contribution2,500 EUR
  • Spoločník v.o.s. / s.r.o.from Saturday, May 1, 2021

    Address J. G. Tajovského 3542/3, 07101 Michalovce, Slovenská republika

    Share50 %Contribution2,500 EUR

Registration

Registered in Business Register

Register
Obchodný register
Registration court
Mestský súd Košice
Registration number
Sro/51418/V
Main activity
Ostatné vydavateľské činnosti okrem vydávania softvéru
Sector (ESA 2010)
Národné súkromné nefinančné korporácie
Tax registration
Active
VAT registration
Active
inframe pictures s. r. o.

Registered office

inframe pictures s. r. o.

Malé Zalužice 155, 072 34 Zalužice

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