Create Invoice

HI-Reklama - Company Information, finance statistics

Date of updating data: 25.06.2015
Basic information
Business name HI-Reklama
PIN 35895471
TIN 2021858432
VAT number SK2021858432
Date create 04 August 2004
Company category Spoločnosť s ručením obmedzeným
Registered seat HI-Reklama
Švabinského 13
85101
Bratislava
Financial information
Sales and income 2 569 203 €
Profit -955 €
Capital 1 004 009 €
Own capital 31 877 €
Contact Information
Email info@hi-reklama.sk
Website http://www.hi-reklama.sk
Phone(s) +421263814492, +421263814491
Date of updating data: 25.06.2015
ASSETS 2014
TOTAL ASSETS line. 02 + r. 33 + r. 74 805,642
A. Non-current assets r. 03 + r. 11 + r. 21 87,391
A.II. Non-current tangible assets total (r. 12 to r. 20) 87,391
3. Separate movable assets and sets of movable assets (022) - /082, 092A/ 87,391
B. Current assets r. 34 + r. 41 + r. 53 + r. 66 + r. 71 715,399
B.I. Total inventory (r. 35 to r. 40) 17,627
B.I.1. Material (112, 119, 11X) - /191, 19X/ 5,398
5. Goods (132, 133, 13X, 139) - /196, 19X/ 12,229
B.II. Long-term receivables sum (r. 42 + r. 46 to r. 52) 157,502
5. Receivables from partners, members and association (354A, 355A, 358A, 35XA) - 391A 145,510
7. Other receivables (335A, 336, 33XA, 371A, 374A, 375A, 378A) - /391A/ 11,992
B.III. Short-term receivables sum (r. 54 + r. 58 to r. 65) 416,055
B.III.1. Trade receivables the sum of (r. 55 to r. 57) 380,365
1.c. Other trade receivables (311A, 312A, 313A, 314A, 315A, 31XA) - /391A/ 380,365
7. Tax assets and subsidies (341, 342, 343, 345, 346, 347) - /391A/ 35,690
B.V. Financial accounts r. 72 + r. 73 124,215
B.V.1. Money (211, 213, 21X) 37,136
2. Bank accounts (221A, 22X +/- 261) 87,079
C. Total accruals (r. 75 to r. 78) 2,852
2. Prepaid expenses short-term (381A, 382A) 2,852
LIABILITIES 2014
TOTAL EQUITY AND LIABILITIES r. 80 + r. 101 + r. 141 805,642
A. Equity r. 81 + r. 85 + r. 86 + r. 87 + r. 90 + r. 93 + r. 97 + r. 100 30,923
A.I. Capital sum (r. 82 to r. 84) 6,971
A.I.1. Share capital (411 or +/- 491) 6,971
A.IV. The legal reserve funds r. 88 + r. 89 3,838
A.IV.1. Legal reserve fund indivisible fund (417A, 418, 421A, 422) 3,838
A.VII. Profit / loss from previous years r. 98 + r. 99 21,069
A.VII.1. Retained earnings from previous years (428) 22,022
2. Accumulated losses from previous years (/-/429) -953
A.VIII. Profit / loss for the accounting period after tax /+-/ r. 01 - r. 81 + r. 85 + r. 86 + r. 87 + r. 90 + r. 93 + r. 97 + r. 101 + r. 141) -955
B. Liabilities line. 102 + r. 118 + r. 121 + r. 122 + r. 136 + r. 139 + r. 140 774,719
B.I. Long-term liabilities total (r. 103 + r. 107 to r. 117) 11,082
9. Liabilities from social fund (472) 1,268
10. Other long-term liabilities (336, 372A, 474A, 47XA) 9,814
B.III Long-term bank loans (461A, 46XA) 45,936
B.IV. Short-term liabilities total (r. 123 + r. 127 to r. 135) 711,752
B.IV.1. Trade payables total (r. 124 to r. 126) 694,593
1.c. Other payables (321A, 322A, 324A, 325A, 326A, 32XA, 475A, 476A, 478A, 47XA) 694,593
5. Liabilities to the company and the association,(364, 365, 366, 367, 368, 398A, 478A, 479A) 754
6. Liabilities to employees (331, 333, 33X, 479A) 7,440
7. Liabilities from social insurance (336) 4,294
8. Tax liabilities and subsidies (341, 342, 343, 345, 346, 347, 34X) 3,304
10. Other liabilities (372A, 379A, 474A, 475A, 479A, 47XA) 1,367
B.V. Short-term provisions r. 137 + r. 138 5,949
2. Other reserves (323A, 32X, 459A, 45XA) 5,949
Date of updating data: 25.06.2015
Income and expenses 2014
* Net turnover (part of the accounting tr. 6 according to the law) 2,569,244
** Income from the economic activity of the total sum (r. 03 to r. 09) 2,569,203
I. Revenues from the sale of goods (604, 607) 120,126
III. Revenues from sale of services (602, 606) 2,437,652
VI. Revenues from sales of intangible fixed assets, tangible fixed assets and materials (641, 642) 10,310
VII. Other revenues from economic activity (644, 645, 646, 648, 655, 657) 1,115
** The cost of economic activity along r. 11 + r. 12 + r. 13 + r.14 + r. 15 + r. 20 + r. 21 + r. 24 + r. 25 + r. 26 2,562,840
A. The costs incurred for the purchase of goods sold (504, 507) 96,143
B. Consumption of material, energy and other non-inventory items supplies (501, 502, 503) 58,734
D. Services (účtová group of 51) 2,225,537
E. Personnel expenses (r. 16 to r. 19) 130,489
E.1. Wages and salaries (521, 522) 93,167
3. The cost of social insurance (524, 525, 526) 32,791
4. Social expenses (527, 528) 4,531
F. Taxes and fees (účtová group of 53) 1,404
G. Depreciation and impairment losses on non-current intangible assets and tangible fixed assets (r. 22 + r. 23) 41,348
G.1. Depreciation of intangible assets and property, plant and equipment (551) 41,348
I. Allowance for bad debts (+/-) (547) 859
J. Other costs of economic activity (543, 544, 545, 546, 548, 549, 555, 557) 8,326
*** Profit / loss from operating activities (+/-) (r. 02 - r. 10) 6,363
* Added value (r. 03 + r. 04 + r. 05 + r. 06 + r. 07) - (r. 11 + r. 12 + r. 13 + r. 14) 177,364
** Revenues from financial activities total r. 30 + r. 31 + r. 35 + r. 39 + r. 42 + r. 43 + r. 44 41
XI. Interest income (r. 40 + r. 41) 21
2. Other interest income (662A) 21
XII. Foreign exchange gains (663) 20
**. The cost of financial activity along r. 46 + r. 47 + r. 48 + r. 49 + r. 52 + r. 53 + r. 54 4,459
N. Interest cost (r. 50 + r. 51) 3,848
2. Other expense (562A) 3,848
O. Exchange rate losses (563) 15
Q. Other expenses on financial activities (568, 569) 596
*** Profit / loss from financial activities (+/-) (r. 29 - r. 45) -4,418
**** Profit / loss for the accounting period before tax (+/-) (r. 27 + r. 55) 1,945
R. Income tax (r. 58 + r. 59) 2,900
R.1. Income tax expense current (591, 595) 2,900
**** Profit / loss for the accounting period after taxation (+/-) (r. 56 - r. 57 - r. 60) -955
Date of updating data: 25.06.2015
Date of updating data: 25.06.2015