Parcursul firmei REAL CASH FLOW SRL
Infiintata in August 10, 2017 · 8 ani de activitate
Infiintare
Schimbari status
Evenimente fiscale
Date financiare
Premii
Dosare instanta
Altele ONRC
Inmatriculare ONRC
Mentiuni ONRC
Dizolvare ONRC
Radiere ONRC
2024
Rezultate financiare 2024
Cifra de afaceri: 241,685 RON. Profit: 0 RON
Cifra de afaceri
241,685 RON
+3.8%
Profit net
0 RON
Angajati
1
-50.0%
Datorii
788,600 RON
+1.8%
2023
Rezultate financiare 2023
Cifra de afaceri: 232,761 RON. Profit: 0 RON
Cifra de afaceri
232,761 RON
-70.7%
Profit net
0 RON
-100.0%
Angajati
2
-77.8%
Datorii
774,985 RON
+9.7%
2022
Rezultate financiare 2022
Cifra de afaceri: 793,324 RON. Profit: 6,744 RON
Cifra de afaceri
793,324 RON
-32.5%
Profit net
6,744 RON
+79.7%
Angajati
9
-30.8%
Datorii
706,706 RON
+32.0%
2021
Rezultate financiare 2021
Cifra de afaceri: 1,174,893 RON. Profit: 3,753 RON
Cifra de afaceri
1,174,893 RON
+58.5%
Profit net
3,753 RON
+52.3%
Angajati
13
+8.3%
Datorii
535,289 RON
+65.5%
2020
Rezultate financiare 2020
Cifra de afaceri: 741,078 RON. Profit: 2,464 RON
Cifra de afaceri
741,078 RON
+10.3%
Profit net
2,464 RON
Angajati
12
+20.0%
Datorii
323,434 RON
+12.5%
2019
Rezultate financiare 2019
Cifra de afaceri: 671,780 RON. Profit: 0 RON
Cifra de afaceri
671,780 RON
+51.4%
Profit net
0 RON
-100.0%
Angajati
10
+100.0%
Datorii
287,586 RON
-54.2%
2018
Rezultate financiare 2018
Cifra de afaceri: 443,643 RON. Profit: 96,596 RON
Cifra de afaceri
443,643 RON
+290.1%
Profit net
96,596 RON
+127.0%
Angajati
5
+150.0%
Datorii
627,719 RON
+632.3%
2017
Rezultate financiare 2017
Cifra de afaceri: 113,738 RON. Profit: 42,545 RON
Cifra de afaceri
113,738 RON
Profit net
42,545 RON
Angajati
2
Datorii
85,718 RON
Firma a fost infiintata
REAL CASH FLOW SRL (SRL (Societate cu raspundere limitata)) - CAEN 6831 in Mun. Miercurea Ciuc (HARGHITA)
