Flex Elevator Consult ApS

CVR39938006
Company financials

Key figures

Updated 5 Jun 2026
Return on assets
–
Return on equity
-18.2%
Current ratio
148.2%
Equity ratio
34.4%

Profit and loss

Reporting period
Gross profit
-10,908
Finance expenses
6,064
Tax expense
-3,377
Profit/loss for the year
-13,595

Employees

Reporting period
Avg. employees
0

Balance sheet

Reporting period
Cash and cash equivalents
18,112
Current assets
210,884
Non-current assets
6,199
Total assets
217,083
Equity
74,739
Liabilities
142,344
Current liabilities
142,344

Working capital

Reporting period
Inventories
59,509
Trade receivables
131,250

Capital and dividend

Reporting period
Contributed capital
50,000
Retained earnings
24,739

Investments and assets

Reporting period
Property, plant and equipment
6,199

Annual report highlights

Official annual report · 2025

Business and development

Primary activities

Selskabets formål er fremstilling og montage af elevatorer og smedearbejde samt hermed beslægtet virksomhed.Udviklingen i virksomhedens aktiviteter og økonomiske forholdVirksomhedens resultatopgørelse udviser et underskud på kr. -13.595, og virksomhedens balance pr. 31/12/2025 udviser en egenkapital på kr. 74.

Primary activities

Selskabets formål er fremstilling og montage af elevatorer og smedearbejde samt hermed beslægtet virksomhed.

Risks and material matters

Significant events after the reporting period

Der er efter regnskabsårets afslutning ikke indtruffet begivenheder, som væsentligt vil kunne påvirke virksomhedens finansielle stilling.

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