Rakennus-Pakera Oy0460183-1

financialStatement.heading

financialStatement.yearEnded 31/12/2021(financialStatement.priorYearComparison)

financialStatement.description

financialStatement.balanceSheet

31/12/202031/12/2021

financialStatement.assets

Assets€1.51M€962.41K
Fixed Assets€321.05K€310.31K
Fixed Assets€321.05K€310.31K
Current Assets€1.18M€652.10K
Current Assets€1.18M€652.10K

financialStatement.equityAndLiabilities

Liabilities & Equity€1.51M€962.41K
Equity€406.39K€526.86K
Equity€406.39K€526.86K
Liabilities€1.10M€435.54K
Liabilities€1.10M€435.54K
Current Liabilities€1.03M€435.54K
Current Liabilities€1.03M€435.54K

financialStatement.incomeStatement

31/12/202031/12/2021
Revenue€2.01M€3.74M
Liiketoiminnan muut tuotot€15.97K€19.55K
Ostot tilikauden aikana€499.30K€700.85K
Pitkäaikaiset arvopaperit ja saamiset€395.74K€593.65K
Palvelujen ostot€423.15K€640.08K
Materials and Services€526.71K€1.93M
Palkat ja palkkiot€1.00M€1.15M
Eläkekulut€169.73K€220.10K
Muut henkilösivukulut€32.47K€51.26K
Personnel Costs€1.20M€1.43M
Suunnitelman mukaiset poistot€23.80K€20.22K
Depreciation and Impairment€23.80K€20.22K
Other Operating Expenses€161.59K€183.05K
Operating Profit (Loss)€107.33K€198.61K
Muut korko- ja rahoitustuotot muilta kuin saman konsernin yrityksiltä€43.10€26.80
Interest and Other Financial Expenses€7.71K€6.71K
Financial Income and Expenses€7.66K€6.68K
Profit (Loss) Before Appropriations and Tax€99.66K€191.93K
Income Taxes€20.72K€38.95K
Net Income (Loss)€78.94K€152.98K

financialStatement.rawXBRL

financialStatement.xbrlDescription

financialStatement.downloadXBRL