Company data from Slovak public registers

Active

Creative fairy, s.r.o.

Company financial profileCompany ID 54468515Tallerova 4, 81102 Bratislava - mestská časť Staré MestoFounded 2022

Turnover 2025

62 K €

+30 %
Company ID
54468515
Tax ID
2121685181
VAT ID
SK2121685181, under §4, registered since Saturday, April 15, 2023
Registered office
Creative fairy, s.r.o.Tallerova 4 81102 Bratislava - mestská časť Staré Mesto
Established
Monday, March 7, 2022
Legal form
Spoločnosť s ručením obmedzeným
Registered in
Obchodný registerMestský súd Bratislava III, Sro/159279/B

Profit 2025

12 K €

+818 %

Assets

67 K €

+15 %

Equity

20 K €

+136 %

Debt ratio

69.9 %

−15 pp

Gross margin

40.2 %

−34 pp
Coming soon

Andromia score

Profit

+818 %
2,236 €28 €1,260 €12 K €2022202320242025

Revenue

+29 %
55 K €46 K €48 K €61 K €2022202320242025

Financial indicators

Calculated from accounting statements using standard financial formulas.

Net margin

18.6 %

+16 pp

Profit / revenue

ROA

17.4 %

+15 pp

Return on assets

ROE

57.6 %

+43 pp

Return on equity

Current ratio

16.26

−46 %

Current assets / current liabilities

Earnings before tax

13 K €

+710 %

Profit + income tax

Effective tax

10.7 %

−11 pp

Income tax / earnings before tax

Net working capital

63 K €

+17 %

Current assets − current liabilities

Revenue CAGR

3.6 %

Average annual revenue growth

Total revenue

Sales + other operating + financial income

55 K €202246 K €202348 K €202462 K €2025

Income statement

Item2022202320242025
Sales of products, services and goods55 K €46 K €48 K €61 K €
Value added4,394 €21 K €35 K €25 K €
Operating revenue55 K €46 K €48 K €62 K €
Profit after tax2,236 €28 €1,260 €12 K €
Income tax595 €5 €340 €1,389 €

Assets

  • Non-current assets0 €
  • Current assets67 K €

Liabilities and equity

  • Equity20 K €
  • Liabilities47 K €

Balance sheet

Assets

Item2022202320242025
Total assets12 K €60 K €58 K €67 K €
Non-current assets0 €27 K €2,575 €0 €
Property, plant and equipment0 €27 K €2,575 €0 €
Non-current intangible assets0 €0 €0 €0 €
Non-current financial assets0 €0 €0 €0 €
Current assets12 K €34 K €55 K €67 K €
Inventory0 €0 €0 €0 €
Non-current receivables0 €0 €0 €0 €
Current receivables11 K €15 K €15 K €10 K €
Financial accounts928 €19 K €40 K €56 K €

Liabilities and equity

Item2022202320242025
Total equity and liabilities12 K €60 K €58 K €67 K €
Equity7,236 €7,264 €8,524 €20 K €
Share capital5,000 €5,000 €5,000 €5,000 €
Profit/loss of previous years0 €2,236 €2,264 €3,344 €
Profit/loss for the accounting period after tax2,236 €28 €1,260 €12 K €
Liabilities5,188 €53 K €50 K €47 K €
Non-current liabilities0 €0 €0 €0 €
Current liabilities5,188 €547 €1,853 €4,100 €
Long-term bank loans0 €0 €0 €0 €
Short-term bank loans0 €52 K €48 K €42 K €
Provisions0 €0 €0 €0 €

Income tax

Tax liability trend

595 €5 €340 €1,389 €2022202320242025
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 period0 €Tax liability for the period870.22 €No
  • Tax reliability indexReliable
  • Tax debtNo
  • Debt with VšZPNo
  • Debt with UnionNo
  • Debt with Social Insurance AgencyNo

Business activities

21 registered activities

  • Administratívne službyValid from Monday, March 7, 2022
  • Činnosť podnikateľských, organizačných a ekonomických poradcovValid from Monday, March 7, 2022
  • Dizajnérske činnostiValid from Monday, March 7, 2022
  • Fotografické službyValid from Monday, March 7, 2022
  • Informačná činnosťValid from Monday, March 7, 2022
  • Kúpa tovaru na účely jeho predaja konečnému spotrebiteľovi (maloobchod) alebo iným prevádzkovateľom živnosti (veľkoobchod)Valid from Monday, March 7, 2022
  • Organizovanie športových, kultúrnych a iných spoločenských podujatíValid from Monday, March 7, 2022
  • Poskytovanie obslužných služieb pri kultúrnych a iných spoločenských podujatiachValid from Monday, March 7, 2022
  • Poskytovanie rýchleho občerstvenia v spojení s predajom na priamu konzumáciuValid from Monday, March 7, 2022
  • Prenájom hnuteľností spojený s poskytovaním iných než základných služieb spojených s prenájmomValid from Monday, March 7, 2022

Statutory bodies and related persons

Statutory body

1 active of 2
  • Konateľfrom Monday, March 7, 2022

    Address Golfová 478/5, 90050 Hrubá Borša, Slovenská republika

  • KonateľMonday, March 7, 2022 – Friday, September 6, 2024

    Address Lichnerova 151/78, 90301 Senec, Slovenská republika

Related persons

1 active of 2
  • Spoločník v.o.s. / s.r.o.from Saturday, September 7, 2024

    Address Golfová 478/5 478/5, 90050 Hrubá Borša, Slovenská republika

    Share100 %Contribution5,000 EUR
  • Spoločník v.o.s. / s.r.o.Monday, March 7, 2022 – Friday, September 6, 2024

    Address Lichnerova 151/78, 90301 Senec, Slovenská republika

    Share100 %Contribution5,000 EUR

Registration

Registered in Business Register

Register
Obchodný register
Registration court
Mestský súd Bratislava III
Registration number
Sro/159279/B
Main activity
Činnosti reklamných agentúr
Sector (ESA 2010)
Národné súkromné nefinančné korporácie
Tax registration
Active
VAT registration
Active
Creative fairy, s.r.o.

Registered office

Creative fairy, s.r.o.

Tallerova 4, 81102 Bratislava - mestská časť Staré Mesto

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