"KEFAL" KEMPISTY SPÓŁKA JAWNA
CopyKey data
Status
KRS number
REGON
NIP/VAT code
VAT registration date
VAT status
Bankruptcy proceedings
"KEFAL" KEMPISTY SPÓŁKA JAWNA
Contacts
Registered address
Website
-A
HighestReliability
Incorporation date
04/02/2002Share capital
No dataRepresentatives
0Representatives rights
UPRAWNIONYMI DO REPREZENTACJI SPÓŁKI SĄ WSZYSCY WSPÓLNICY, PRZY CZYM SKŁADANIE OŚWIADCZEŃ WOLI W IMIENIU SPÓŁKI WYMAGA DZIAŁANIA JEDNEGO WSPÓLNIKARepresentatives
Business linkages
Compliance screening
Check whether your partner is listed in sanctions or PEP registers, or linked to negative public information or law enforcement reports. Ensure business safety and compliance.People
Representatives
Person | Title |
|---|---|
- | - |
Persons with Significant Control
Financial ratios
Net Profit (zł)
11,456,265Net Profit (zł)
11,456,265Financial report (Okredo)
Premium users: 1.00 credit
| Indicator |
|---|
| Turnover (zł) |
| Profit before tax (zł) |
| Net Profit (zł) |
| Working capital requirement (%) |
| Liquidity ratio |
| Net profitability (%) |
| Equity (zł) |
| Current liabilities (zł) |
| Non current liabilities (zł) |
| Non-current Assets (zł) |
| 2021 |
|---|
| 33,800,018 |
| 7,342,418 |
| 7,342,418 |
| 0.33 |
| 6.25 |
| 21.72 |
| 26,946,315 |
| 2,147,231 |
| 6,190,913 |
| 22,012,228 |
| 2023 |
|---|
| 53,840,500 |
| 7,698,878 |
| 7,698,878 |
| 0.28 |
| 5.93 |
| 14.30 |
| 29,782,775 |
| 3,069,719 |
| 15,212,373 |
| 30,309,621 |
| 2024 |
|---|
| 66,303,451 |
| 11,456,265 |
| 11,456,265 |
| 0.28 |
| 5.25 |
| 17.28 |
| 41,239,040 |
| 4,340,509 |
| 7,869,954 |
| - |
| 2024 |
|---|
| 66,303,451 |
| 11,456,265 |
| 11,456,265 |
| 0.28 |
| 5.25 |
| 17.28 |
| 41,239,040 |
| 4,340,509 |
| 7,869,954 |
| - |
Turnover (zł)
2024
Turnover (zł)
66,303,451 zł23 % *
Profit before tax (zł)
11,456,265 zł49 % *
Net Profit (zł)
11,456,265 zł49 % *
Working capital requirement (%)
0.28 0.00 % *
Liquidity ratio
5.25 -11.47 % *
Net profitability (%)
17.28 %20.84 % *
Equity (zł)
41,239,040 zł38 % *
Current liabilities (zł)
4,340,509 zł41 % *
Non current liabilities (zł)
7,869,954 zł-48 % *
Non-current Assets (zł)
-Credit history
No. of unpaid debts
0
Largest debt
-
Amount of unpaid debts
€0.00
Oldest open debt
-
No. of unpaid debts
0
Largest debt
-
Amount of unpaid debts
€0.00
Oldest open debt
-
Credit report
Order reportCreditor/Data source | Debt amount | Debt date | Debt type |
|---|---|---|---|
- | - | - | - |
Creditor/Data source | Debt amount | Debt date | Payment date | Debt type |
|---|---|---|---|---|
- | - | - | - | - |
Documents
"KEFAL" KEMPISTY SPÓŁKA JAWNA Documents
Date | Description |
|---|---|
27/06/2025 | OD 01.01.2024 DO 31.12.2024 |
19/09/2024 | OD 01.01.2023 DO 31.12.2023 |
28/09/2023 | OD 01.01.2022 DO 31.12.2022 |
10/10/2022 | OD 01.01.2021 DO 31.12.2021 |
13/10/2021 | OD 01.01.2020 DO 31.12.2020 |
Frequently Asked Questions
What is the current status of "KEFAL" KEMPISTY SPÓŁKA JAWNA?
"KEFAL" KEMPISTY SPÓŁKA JAWNA is currently Active. It was registered on 04/02/2002.
Where is "KEFAL" KEMPISTY SPÓŁKA JAWNA located?
"KEFAL" KEMPISTY SPÓŁKA JAWNA is registered at BIAŁA 3, 07-300, OSTRÓW MAZOWIECKA, POLSKA.
What does "KEFAL" KEMPISTY SPÓŁKA JAWNA do?
"KEFAL" KEMPISTY SPÓŁKA JAWNA operates in the Manufacture of concrete products for construction purposes (23.61.Z - PKD 2007) sector.
What is the annual turnover of "KEFAL" KEMPISTY SPÓŁKA JAWNA?
"KEFAL" KEMPISTY SPÓŁKA JAWNA reported a turnover of 66,303,451 PLN in 2024.
What is the net profit of "KEFAL" KEMPISTY SPÓŁKA JAWNA?
"KEFAL" KEMPISTY SPÓŁKA JAWNA reported a net profit of 11,456,265 PLN in 2024.
Is "KEFAL" KEMPISTY SPÓŁKA JAWNA a reliable company?
"KEFAL" KEMPISTY SPÓŁKA JAWNA Pre-Score* rating is A, which indicates the highest level of reliability.
* The credit score is calculated based on financial data, payment history, and other risk indicators.Does "KEFAL" KEMPISTY SPÓŁKA JAWNA have any unpaid debts?
"KEFAL" KEMPISTY SPÓŁKA JAWNA has no recorded unpaid debts.