Company overview
Basic information
Company name
Madomus, MB
Company code
306544378
Registered address
Šiaulių r. sav., Šiaulių kaimiškoji sen., Raizgių k., Vyturių g. 5, LT-80184
Registration date
2023-10-12
Company age: 2 y. 11 mo.
Contact information
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Phone
Email
Presented as an image – cannot be copied
Website
https://www.madomus.lt
Company manager
For registered members only
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Indicators
Risk factors
Activity
Legal form
Small partnership
NACE activity
New construction
Ownership form
Private without foreign capital
Madomus, MB
Company code: 306544378
Address: Šiaulių r. sav., Šiaulių kaimiškoji sen., Raizgių k., Vyturių g. 5, LT-80184
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Description
This description was generated by artificial intelligence.
Madomus, MB (company code 306544378) is an operational private small partnership registered on 2023-10-12. It belongs to the sector of national private non-financial companies and operates under a CEO-only governance model. The company has private ownership, with Lithuanian natural and legal persons holding more than 50% of the authorised capital and no foreign investor capital present. Its registered location is Raizgiu k., Šiauliu kaimiškoji sen., Šiauliu r. sav., Šiauliu apskr. The company’s main activity under EVRK code F.41.00.10 is New construction.
The financial profile shows a clear improvement over time. In its first financial period in 2023, which covered 80 days, the company recorded a net loss of €410. In 2024, revenue reached €1.0K and the net loss increased to €667, with a negative profit margin of 63.9%. In 2025, revenue rose to €7.5K and the company returned to profit, posting net income of €2.2K and a profit margin of 28.8%. At the end of 2025, equity stood at €2.1K, total assets at €2.2K, and liabilities at €69, indicating a very small balance sheet and low leverage.
The financial profile shows a clear improvement over time. In its first financial period in 2023, which covered 80 days, the company recorded a net loss of €410. In 2024, revenue reached €1.0K and the net loss increased to €667, with a negative profit margin of 63.9%. In 2025, revenue rose to €7.5K and the company returned to profit, posting net income of €2.2K and a profit margin of 28.8%. At the end of 2025, equity stood at €2.1K, total assets at €2.2K, and liabilities at €69, indicating a very small balance sheet and low leverage.