ZAKŁAD BUDOWNICTWA KOMUNALNEGO OPOL-KAN SPÓŁKA Z OGRANICZONĄ ODPOWIEDZIALNOŚCIĄ W LIKWIDACJI

ZAKŁAD BUDOWNICTWA KOMUNALNEGO OPOL-KAN SPÓŁKA Z OGRANICZONĄ ODPOWIEDZIALNOŚCIĄ W LIKWIDACJI

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Key data

Status

Active

KRS number

0000985334copy info icon

REGON

52273165600000copy info icon

NIP/VAT code

9910545592copy info icon

VAT registration date

12/09/2022

VAT status

Active

Bankruptcy proceedings

No proceedings

ZAKŁAD BUDOWNICTWA KOMUNALNEGO OPOL-KAN SPÓŁKA Z OGRANICZONĄ ODPOWIEDZIALNOŚCIĄ W LIKWIDACJI

Contacts

Registered address

Registered address

UL. BANKIETOWA 6, 45-940, OPOLE, POLSKAcopy info icon
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Website

Website

-
Latest events (Record since 16/06/2023)
dot icon28/04/2025
Financial statement3 months ago
dot icon28/04/2025
Financial statement3 months ago
dot icon04/07/2024
Financial statementOne year ago
dot icon16/06/2023
Financial statement2 years ago

Incorporation date

02/08/2022

Share capital

500,000.00 PLN

Primary activity

Construction of utility projects for fluids

Representatives

2

Representatives rights

KAŻDY Z CZŁONKÓW ZARZĄDU MA PRAWO DO SAMODZIELNEGO REPREZENTOWANIA SPÓŁKI

Representatives

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Chairman of the management boardR**** -
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Chairman of the management boardRoman Stryczek

Business linkages

Price: €14.99 (without VAT)
Premium users: 1.00 credit

Financial report (Okredo)

Price: €14.99 (without VAT)
Premium users: 1.00 credit

People

Representatives

2
Personsort default icon
Titlesort default icon
R**** -
Chairman of the management board
Roman Stryczek
Chairman of the management board

Persons with Significant Control

2
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Persons with Significant Control

This information is available in our reports and to subscription users.

Financial ratios

€

Net Profit (zł)

-500,939

Net Profit (zł)

-500,939

Financial report (Okredo)

Price: €14.99 (without VAT)
Premium users: 1.00 credit
Indicator
Turnover (zł)
Profit before tax (zł)
Net Profit (zł)
Working capital requirement (%)info
Liquidity ratioinfo
Net profitability (%)info
Equity (zł)
Current liabilities (zł)
Non current liabilities (zł)
Non-current Assets (zł)
2022
299,672
-
-631,597
0.42
-
-210.76
1,452,684
0
215,569
1,914,046
2023
1,512,339
-
-200,488
0.33
-
-13.26
1,354,352
0
199,971
1,408,239
2024
160,158
-
-500,939
3.12
-
-312.78
882,602
0
199,761
778,403
2024
160,158
-
-500,939
3.12
-
-312.78
882,602
0
199,761
778,403

2024

Turnover (zł)

160,158 złDescended-89 % *

Profit before tax (zł)

-

Net Profit (zł)

-500,939 złDescended-150 % *

Working capital requirement (%)

3.12 Ascended845.45 % *

Liquidity ratio

-

Net profitability (%)

-312.78 %Descended-2,258.82 % *

Equity (zł)

882,602 złDescended-35 % *

Current liabilities (zł)

0 złAscended- *

Non current liabilities (zł)

199,761 złDescended0 % *

Non-current Assets (zł)

778,403 złDescended-45 % *

*over the last year starting selected period

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

Price: 1.00 credit
Unpaid debts
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Creditor/Data sourcesort default icon
Debt amountsort default icon
Debt datesort default icon
Debt typesort default icon
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Debt payment history
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Creditor/Data sourcesort default icon
Debt amountsort default icon
Debt datesort default icon
Payment datesort default icon
Debt typesort default icon
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Documents

ZAKŁAD BUDOWNICTWA KOMUNALNEGO OPOL-KAN SPÓŁKA Z OGRANICZONĄ ODPOWIEDZIALNOŚCIĄ W LIKWIDACJI Documents

4
Datesort default icon
Descriptionsort default icon
28/04/2025
OD 01.01.2024 DO 30.04.2024
28/04/2025
OD 01.05.2024 DO 31.12.2024
04/07/2024
OD 01.01.2023 DO 31.12.2023
16/06/2023
OD 02.08.2022 DO 31.12.2022