Tatesoft Development ApS

CVR40486941Opløst
Company financials

Key figures

Updated 9 May 2022
Return on assets
-3.3%
Return on equity
-4.3%
Current ratio
452.1%
Equity ratio
77.9%

Profit and loss

Reporting period
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Gross profit
-3,580
Operating profit
-3,580
Tax expense
-770
Profit/loss for the year
-3,593

Employees

Reporting period
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Personnel costs
0 DKK

Balance sheet

Reporting period
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Cash and cash equivalents
106,732
Current assets
108,152
Total assets
108,152
Equity
84,229
Liabilities
23,923
Current liabilities
23,923

Working capital

Reporting period
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Other current receivables
1,420
Trade payables
2,500
Other current payables
317

Capital and dividend

Reporting period
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Contributed capital
40,000
Retained earnings
44,229

Annual report highlights

Official annual report · 2021Open official report

Business and development

Primary activities

Selskabets væsentligste aktivitet er at beskæftige sig med udvikling af RPA (Robotic Pro-cess Automation) systemer til automatisering og digitalisering.

Commitments and security

Contingent liabilities

Koncernens selskaber hæfter ubegrænset og solidarisk for kildeskatter på udbytter, renter og royalties indenfor sambeskatningskredsen, og for selskabs-skatten af koncernens sambeskattede indkomst.

Selskabet har ikke påtaget sig kautions-, garanti- eller andre eventual-forpligtelser, end de i balancen anførte.

Assets pledged as security

Selskabet har ikke foretaget pantsætninger eller stillet sikkerhed.

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