KPT Group Oy0252139-5

financialStatement.heading

financialStatement.yearEnded 31/12/2023(financialStatement.priorYearComparison)

financialStatement.description

financialStatement.balanceSheet

31/12/202231/12/2023

financialStatement.assets

Assets€2.46M€2.32M
Fixed Assets€180.63K€153.47K
Fixed Assets€180.63K€153.47K
Current Assets€2.28M€2.17M
Current Assets€2.28M€2.17M

financialStatement.equityAndLiabilities

Liabilities & Equity€2.46M€2.32M
Equity€795.44K€605.27K
Equity€795.44K€605.27K
Liabilities€1.66M€1.72M
Liabilities€1.66M€1.72M
Current Liabilities€1.12M€1.17M
Current Liabilities€1.12M€1.17M

financialStatement.incomeStatement

31/12/202231/12/2023
Revenue€7.96M€7.59M
Liiketoiminnan muut tuotot€16.74K€2.30K
Ostot tilikauden aikana€5.36M€5.06M
Pitkäaikaiset arvopaperit ja saamiset€59.93K€72.44K
Palvelujen ostot€95.61K€84.24K
Materials and Services€5.40M€5.22M
Palkat ja palkkiot€1.46M€1.40M
Eläkekulut€274.10K€240.22K
Muut henkilösivukulut€45.62K€42.56K
Personnel Costs€1.78M€1.68M
Suunnitelman mukaiset poistot€31.70K€27.16K
Depreciation and Impairment€31.70K€27.16K
Other Operating Expenses€703.99K€743.38K
Operating Profit (Loss)€62.63K€79.20K
Other Investments€0.00€140.00
Muut korko- ja rahoitustuotot muilta kuin saman konsernin yrityksiltä€8.02K€1.45K
Interest and Other Financial Expenses€31.83K€49.56K
Financial Income and Expenses€23.81K€47.97K
Profit (Loss) Before Appropriations and Tax€38.82K€127.17K
Net Income (Loss)€38.82K€127.17K

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financialStatement.xbrlDescription

financialStatement.downloadXBRL