VhAT ApS

CVR44340232
Selskabsregnskab

Nøgletal

Opdateret 5. jun. 2026
Afkastningsgrad
-20,9 %
Egenkapitalforrentning
-20,7 %
Likviditetsgrad
2.542 %
Soliditetsgrad
98,5 %

Resultat

Regnskabsperiode
Bruttoresultat
568.719
Driftsresultat
-2.433.049
Finansielle indtægter
67.098
Finansielle omkostninger
5.895
Årets resultat
-2.371.846

Medarbejdere

Regnskabsperiode
Gns. ansatte
5
Personaleomkostninger
2.815.543 kr.

Balance

Regnskabsperiode
Likvider
4.300.894
Kortfristede aktiver
4.345.951
Langfristede aktiver
7.277.969
Aktiver i alt
11.623.920
Egenkapital
11.452.957
Forpligtelser i alt
170.963
Kortfristede forpligtelser
170.963

Arbejdskapital

Regnskabsperiode
Andre kortfristede tilgodehavender
29.175
Leverandørgæld
24.307

Kapital og udbytte

Regnskabsperiode
Selskabskapital
100.244
Overført resultat
-9.062.003

Investeringer og aktiver

Regnskabsperiode
Langfristede investeringer og tilgodehavender
15.200

Højdepunkter fra årsrapporten

Officiel årsrapport · 2025

Forretning og udvikling

Hovedaktiviteter

Description of key activities of the companyThe company's purpose is to conduct business in the development and sale of software for VAT management.

Udvikling i aktiviteter og økonomiske forhold

Significant changes in the company's activities and financial mattersThe gross profit for the year totals DKK 569 thousand against DKK -88 thousand last year. Profit or loss from ordinary activities after tax totals DKK -2.372 thousand against DKK -1.025 thousand last year. Management considers the net profit or loss for the year satisfactory.

During the financial year, the company raised 9,85 mDKK to support the finalisation of the first product. The development process has been fully in line with the predetermined budget and the company's work during the financial year has been focused and targeted, why management considers the year to be satisfactory.…

Forventet udvikling

Expectations for the futureWith a solid version of the solution and a rollout where agreements have already been made with the first customers, the company is well positioned to increase its market presence. Management looks forward to continuing development and expanding the company’s activities with the aim of creating value for both customers and stakeholders.

Management will continue to focus on ensuring that the company’s strategy, budgets, and timelines are maintained in line with the upcoming market introduction.

Risici og væsentlige forhold

Usikkerhed om fortsat drift

1.

Financial resources

In line with the expectations for the future, Management has identified the need for additional liquidity to support the further development of the companies software. At the time of approval of the financial statements, Management are currently in dialogue with existing and new investors in order to secure the necessary funding. Until such funding has been received, the Company's principal shareholders have issued a letter of support, which enables the company to meet its obligations as they fall due. The letter of support expires at the earliest of the date of the next ordinary general meeting and the next capital raise.

Væsentlige begivenheder efter regnskabsperioden

Events occurring after the end of the financial yearNo events have occurred after the balance sheet date of material importance to the annual report for 2025.

Forpligtelser og sikkerhedsstillelser

Eventualforpligtelser

6.Contractual obligations and contingencies, etc.

Lease liabilities:

The company has entered into a rent obligation with a 3 months notice. The total rent obligation is DKK 15 thousand.

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