Create Invoice

pro GLOBAL - Company Information, finance statistics

Date of updating data: 25.06.2015
Basic information
Business name pro GLOBAL
PIN 35793970
TIN 2020257316
VAT number SK2020257316
Date create 15 August 2000
Company category Spoločnosť s ručením obmedzeným
Registered seat pro GLOBAL
Domkárska 4
82105
Bratislava
Financial information
Sales and income 36 770 €
Profit -12 456 €
Capital 22 247 €
Own capital -5 860 €
Contact Information
Email proglobal1@stonline.sk
Website http://www.proglobal.sk
Phone(s) +421243631264
Fax(es) 0243631265
Date of updating data: 25.06.2015
ASSETS 2014
TOTAL ASSETS line. 02 + r. 14 9,116
A. Non-current assets r. 03 + r. 04 + r. 09 9,116
A.I. Long-term intangible assets (012, 013, 014, 015, 019, 01X, 041, 051) - /072, 073, 074, 075, 079, 07X, 091, 093, 095A/ 9,116
3. Other tangible fixed assets (025, 026, 029, 02X, 032, 042A, 052A) - /085, 086, 089, 08XA, 092A, 094A, 095A/ 9,976
A.III. Non-current financial assets total (r. 10-r. 13) 6,252
A.III.1. Equity securities (061, 062, 063, 043A, 053A) - /095A, 096A/ 430
2. Other non-current financial assets (065A, 066A, 067A, 069, 06XA, 043A, 053A) - /095A, 096A/ 3,294
LIABILITIES 2014
TOTAL EQUITY AND LIABILITIES r. 25 + r. 34 19,092
A. Equity r. 26 + r. 29 + r. 30 + r. 31 + r. 32 + r. 33 -18,316
A.I. Capital r. 27 + r. 28 6,639
A.I.1. Share capital and changes in share capital (411 or +/- 419) or (+/- 491) 6,639
A.III. Funds from profit (421, 422, 423, 427, 42X) 332
A.V. Retained earnings or accumulated losses from previous years (428, /-/429) -12,831
A.VI. Profit / loss for the accounting period after taxation (+/-) r. 01 - r. 26 + r. 29 + r. 30 + r. 31 + r. 32 + r. 34) -12,456
B. Liabilities line. 35 + r. 36 + r. 37 + r. 38 + r. 43 + r. 44 + r. 45 37,408
B.IV. Short-term liabilities excluding provisions loans and borrowings total (r. 39 to r. 42) 11,933
B.IV.1. Short-term trade payables (316A, 321A, 32XA, 322, 324, 325, 326, 32X, 475A, 476A, 478A, 479A, 47XA) 9,813
3. Tax liabilities and subsidies (341A, 342A, 343A, 345A, 346A, 347A, 34XA) 2,120
B.VI. Current bank loans (221A, 231, 232, 23X, 461A, 46XA) 25,475
Date of updating data: 25.06.2015
Income and expenses 2014
* Income from the economic activity of the total sum (r. 02 to r. 07) 36,770
II. Revenues from sales of own products and services (601, 602, 606) 36,770
* The cost of economic activity total total (r. 09 to r. 17) 44,158
B. Consumption of material, energy and other inventory out of supply (501, 502, 503, (+/-) 505A) 3,521
C. Services (účtová group of 51) 35,997
E. Taxes and fees (účtová group of 53) 516
F. Depreciation and impairment losses on non-current intangible assets and tangible fixed assets (551, (+/-) 553) 3,647
I. Other costs of economic activity (543, 544, 545, 546, 548, 549, 555, 557) 477
** Profit / loss from operating activities (+/-) (r. 01 - r. 08) -7,388
* Added value (r. 02 - r. 09) + (r. 03 + r. 04 + r. 05) - (r. 10 + r. 11) -2,748
* Costs for financial activities total sum (r. 28 to r. 33) 4,108
M. Interest expense (562) 2,383
O. Other expenses on financial activities (568, 569) 1,725
** Profit / loss from financial activities (+/-) (r. 20 - r. 27) -4,108
** Profit / loss for the accounting period before tax (+/-) (r. 18 + r. 34) -11,496
P. Income tax expense (591, 595) 960
*** Profit / loss for the accounting period after taxation (+/-) (r. 35 - r. 36 - r. 37) -12,456
Date of updating data: 25.06.2015
Date of updating data: 25.06.2015