Scriptomist ApS

CVR42004901
Company financials

Key figures

Updated 30 Jun 2026
Return on assets
–
Return on equity
–
Current ratio
56.4%
Equity ratio
-77.3%

Profit and loss

Reporting period
Gross profit
39,252
Finance income
1,548
Finance expenses
1,711
Tax expense
7,035
Profit/loss for the year
32,054

Employees

Reporting period
Avg. employees
0
Personnel costs
0 DKK

Balance sheet

Reporting period
Cash and cash equivalents
433
Current assets
407,586
Total assets
407,586
Equity
-315,232
Liabilities
722,818
Current liabilities
722,818

Working capital

Reporting period
Trade receivables
0
Other current receivables
84,255
Trade payables
19,035

Capital and dividend

Reporting period
Contributed capital
40,000
Retained earnings
-355,232

Annual report highlights

Official annual report · 2025

Business and development

Primary activities

Selskabets aktiviteter har bestået i at drive virksomhed med content marketing og hermed forbundet virksomhed.

Risks and material matters

Going-concern uncertainty

1.Oplysninger om fortsat drift

Selskabet har tabt egenkapitalen. Det er ledelsens plan at genetablere egenkapitalen ved at gennemføre en kapitalforhøjelse.

Commitments and security

Contingent liabilities

Andre eventualforpligtelser

Selskabet er sambeskattet med øvrige selskaber i koncernen og hæfter solidarisk og ubegrænset for selskabsskatter for de sambeskattede selskaber. Den samlede skatteforpligtelse for de sambeskattede selskaber på balancedagen er endnu ikke opgjort. Der henvises til administrationsselskabet We Digitize ApS' årsregnskab for yderligere oplysninger.

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