BUTAS TAU, UAB - financials and debts

Company age: 32 y. 1 mo.

Update

BUTAS TAU - Company finances

EUR
2018
From: 2018-01-01
To: 2018-12-31
2019
From: 2019-01-01
To: 2019-12-31
2020
From: 2020-01-01
To: 2020-12-31
2021
From: 2021-01-01
To: 2021-12-31
2022
From: 2022-01-01
To: 2022-12-31
2023
From: 2023-01-01
To: 2023-12-31
2024
From: 2024-01-01
To: 2024-12-31
2025
From: 2025-01-01
To: 2025-12-31
Financial data
Sales revenue 144,286 142,684 137,262 159,363 151,664 99,614 94,563 123,861
Profit before tax - - - - - - - 18,389
Net profit 47,275 59,107 32,349 39,015 43,690 25,294 2,526 17,285
Equity 223,518 282,625 312,192 344,777 378,467 403,761 406,287 419,872
Liabilities 118,285 114,389 89,806 79,993 43,493 38,290 56,683 74,072
Non-current assets 164,590 159,087 154,357 150,185 147,995 146,813 145,809 145,907
Current assets 176,507 237,574 247,241 274,585 273,965 295,238 317,028 347,904
Total assets 341,097 396,661 401,598 424,770 421,960 442,051 462,837 493,811
Taxes paid
STI taxes - - - - - 27,339 26,655 30,454
Social insurance contributions - - - - - 10,855 11,995 16,086
Financial indicators
Revenue change y/y +8.7% -1.1% -3.8% +16.1% -4.8% -34.3% -5.1% +31.0%
ROA Return on Assets (ROA). The ratio of net profit to assets. Indicates the company's efficiency. 13.9% 14.9% 8.1% 9.2% 10.4% 5.7% 0.5% 3.5%
ROE Return on equity. The ratio of net profit to equity. Shows the return to shareholders. 21.2% 20.9% 10.4% 11.3% 11.5% 6.3% 0.6% 4.1%
Profit margin Net profit margin. Shows the overall profitability of the company. 32.8% 41.4% 23.6% 24.5% 28.8% 25.4% 2.7% 14.0%
EBT% EBT (Earnings Before Taxes) to revenue ratio. Shows the overall profitability of the company. - - - - - - - 14.8%
Liabilities/Equity The debt-to-equity ratio shows the company's capital structure. 0.5 0.4 0.3 0.2 0.1 0.1 0.1 0.2
Revenue per employee Ratio of revenue to the average annual number of employees. Indicates company efficiency. 23,718 23,781 22,877 26,561 26,376 19,923 23,641 30,965

Purchase full financial statements

Profit/Loss, Balance Sheet, Cash Flow, Equity

9.99 € + PVM Buy

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BUTAS TAU - Social security debts

From To Debt, €
2026-05-17 2026-05-18 175.68
2026-01-16 2026-01-18 420.74
2024-10-16 2024-10-16 1181.78
2024-07-17 2024-07-17 384.71
2024-07-16 2024-07-16 914.71
2024-03-18 2024-03-18 344.87
2024-01-16 2024-01-16 933.23
2023-11-16 2023-11-19 899.73
2023-08-17 2023-08-17 908.92
2023-07-18 2023-07-19 771.97
2023-01-20 2023-01-22 510.43
2023-01-17 2023-01-19 685.64
2022-11-21 2022-11-21 478.58
2022-11-17 2022-11-18 858.58
2022-09-19 2022-09-19 187.37
2022-09-16 2022-09-18 617.37
2022-07-18 2022-08-15 1.12
2022-06-16 2022-07-13 1.12
2022-05-17 2022-06-13 1.12
2022-04-28 2022-05-12 1.12
2022-02-17 2022-02-24 375.85

BUTAS TAU - VMI tax arrears

From To Overdue, €
2026-08-30 2026-08-31 372.41
2026-08-25 2026-08-25 341.86
2026-08-14 2026-08-24 356.03
2026-07-31 2026-08-13 0.36
2026-07-01 2026-07-07 1.23
2026-06-28 2026-06-30 0.72
2026-05-14 2026-05-17 45.11
2026-02-21 2026-02-21 10.45
2025-04-24 2025-04-30 0.12
2025-03-28 2025-04-23 0.19
2025-03-15 2025-03-15 623.15
2025-01-17 2025-01-27 0.35
2025-01-14 2025-01-16 694.07
2024-12-30 2025-01-13 1.66
2024-12-29 2024-12-29 3.6
2024-12-28 2024-12-28 1.08
2024-12-18 2024-12-27 27.0
2024-11-29 2024-12-17 1.08
2024-11-28 2024-11-28 726.12
2024-11-24 2024-11-27 0.12
2024-11-18 2024-11-23 0.24
2024-11-17 2024-11-17 0.12
2024-10-12 2024-11-16 804.97
2024-10-01 2024-10-11 0.56

VMI debt information has been collected since 2024-10-07. Debts for older periods will not be displayed.

Analysis of the company's financial position

This description was generated by artificial intelligence. Report if inaccurate.
BUTAS TAU, UAB (Private Limited Liability Company), code 122737563, is engaged in real estate assessment. In 2025, the company generated revenue of €123.9K and net profit of €17.3K, corresponding to a 14.0% profit margin. Revenue increased by 31.0% year on year and by 24.3% over two years, showing a recovery after a weaker 2024. Net profit moved from €25.3K in 2023 to €2.5K in 2024, before improving again in 2025. The balance sheet remained solid: total assets reached €493.8K, equity stood at €419.9K, and liabilities were €74.1K at year-end 2025. Equity represented 85.0% of assets, while debt-to-equity was 0.18. Return on equity was 4.1% and return on assets 3.5%, with asset turnover at 0.25x. Revenue per employee was €31.0K, and profit per employee was €4.3K, indicating a modest but profitable operating scale.