Company overview
Basic information
Company name
Paviršių valymai, MB
Company code
306229222
VAT code
LT100015636115
Registered address
Elektrėnų sav., Vievio sen., Pilypiškių k., Šermukšnių g. 32, LT-21364
Registration date
2023-01-23
Company age: 3 y. 9 mo.
Contact information
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Phone
Presented as an image – cannot be copied
Email
Presented as an image – cannot be copied
Website
None
Company manager
For registered members only
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Indicators
Risk factors
Activity
Legal form
Small partnership
NACE activity
Other cleaning activities
Ownership form
Private without foreign capital
MB "Paviršių valymai"
Company code: 306229222
Address: Elektrėnų sav., Vievio sen., Pilypiškių k., Šermukšnių g. 32, LT-21364
VAT code: LT100015636115
Description
This description was generated by artificial intelligence.
Paviršiu valymai, MB (company code 306229222) is an operational private small partnership registered in 2023. It is classified as a national private non-financial company with private ownership, where Lithuanian natural and legal persons own more than 50% of the authorised capital and there is no foreign investor capital. The company is governed by a CEO only and is categorised as micro-sized. Its main activity is EVRK code O.81.23.00, Other cleaning activities. The company is located in Pilypiškiu k., Vievio sen., Elektrenu municipality, Vilnius County.
Financially, the company reported revenue of €65.0K in 2025, up 136.5% year on year and 10.2% over two years. Net profit reached €7.7K, with a profit margin of 11.8%. In 2024, revenue was €27.5K and net profit €132, after €59.0K revenue and €11.0K net profit in 2023. At the end of 2025, equity stood at €13.9K, liabilities at €6.9K, and total assets at €20.6K. The asset base was split between €9.7K in long-term assets and €10.9K in short-term assets. Employee averages and wage data are not provided in the available information.
Financially, the company reported revenue of €65.0K in 2025, up 136.5% year on year and 10.2% over two years. Net profit reached €7.7K, with a profit margin of 11.8%. In 2024, revenue was €27.5K and net profit €132, after €59.0K revenue and €11.0K net profit in 2023. At the end of 2025, equity stood at €13.9K, liabilities at €6.9K, and total assets at €20.6K. The asset base was split between €9.7K in long-term assets and €10.9K in short-term assets. Employee averages and wage data are not provided in the available information.
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