Reaktyvūs sprendimai, MB - financials and debts

Company age: 2 y. 8 mo.

Update

Reaktyvūs sprendimai - Company finances

EUR
2024
From: 2024-02-09
To: 2024-12-31
2025
From: 2025-01-01
To: 2025-12-31
Financial data
Sales revenue 55,600 79,469
Profit before tax 26,856 -6,087
Net profit 26,856 -6,087
Equity 6,457 370
Liabilities 1,359 4,155
Non-current assets 0 0
Current assets 7,816 4,525
Total assets 7,816 4,525
Taxes paid
STI taxes 10,011 11,243
Financial indicators
Revenue change y/y - +42.9%
ROA Return on Assets (ROA). The ratio of net profit to assets. Indicates the company's efficiency. 343.6% -134.5%
ROE Return on equity. The ratio of net profit to equity. Shows the return to shareholders. 415.9% -1645.1%
Profit margin Net profit margin. Shows the overall profitability of the company. 48.3% -7.7%
EBT% EBT (Earnings Before Taxes) to revenue ratio. Shows the overall profitability of the company. 48.3% -7.7%
Liabilities/Equity The debt-to-equity ratio shows the company's capital structure. 0.2 11.2
Revenue per employee Ratio of revenue to the average annual number of employees. Indicates company efficiency. - -

Purchase full financial statements

Profit/Loss, Balance Sheet, Cash Flow, Equity

9.99 € + PVM Buy

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Reaktyvūs sprendimai - Social security debts

From To Debt, €
2026-03-15 2026-03-31 237.35
2026-01-15 2026-01-31 166.67
2024-06-03 2024-06-30 193.50
2024-05-02 2024-06-02 129.00
2024-04-03 2024-05-01 64.50

Reaktyvūs sprendimai - VMI tax arrears

As of 2026-10-07, the amount of overdue STI tax debt of the company Reaktyvūs sprendimai is: 1 €

From To Overdue, €
2026-09-28 2026-10-07 1.4
2026-09-10 2026-09-23 0.96
2026-09-01 2026-09-09 578.96
2026-08-28 2026-08-31 578.32

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.
Reaktyvus sprendimai, MB (code 306678402) is a Lithuanian small partnership engaged in computer consultancy and computer facilities management activities. In 2025, the company generated revenue of €79.5K, up 42.9% year on year from €55.6K in 2024, showing a clear increase in operating scale. However, profitability weakened materially: net profit fell from €26.9K in 2024 to a net loss of €6.1K in 2025, and the profit margin moved from 48.3% to -7.7%. This suggests that higher turnover did not translate into earnings in the latest year. The balance sheet remained very small in 2025, with total assets of €4.5K, equity of €370 and liabilities of €4.2K. The equity base was particularly limited, so return ratios were weak and should be viewed in that context. Asset turnover was high at 17.56x, indicating that the company generated substantial revenue relative to its asset base. Overall, 2025 reflects revenue growth but a sharp deterioration in profitability and financial buffer compared with 2024.