Šarmi, MB - financials and debts

Company age: 2 y. 4 mo.

Update

Šarmi - Company finances

EUR
2024
From: 2024-06-20
To: 2024-12-31
2025
From: 2025-01-01
To: 2025-12-31
Financial data
Sales revenue 3,090 7,860
Profit before tax 846 4,450
Net profit 846 4,183
Equity 0 5,029
Liabilities 0 2,244
Non-current assets 0 2,332
Current assets 0 4,941
Total assets 0 7,273
Financial indicators
Revenue change y/y - +154.4%
ROA Return on Assets (ROA). The ratio of net profit to assets. Indicates the company's efficiency. - 57.5%
ROE Return on equity. The ratio of net profit to equity. Shows the return to shareholders. - 83.2%
Profit margin Net profit margin. Shows the overall profitability of the company. 27.4% 53.2%
EBT% EBT (Earnings Before Taxes) to revenue ratio. Shows the overall profitability of the company. 27.4% 56.6%
Liabilities/Equity The debt-to-equity ratio shows the company's capital structure. - 0.4
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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Šarmi - Social security debts

The company had no debts to Sodra

Šarmi - VMI tax arrears

As of 2026-10-07, the amount of overdue STI tax debt of the company Šarmi is: 0 €

From To Overdue, €
2026-07-19 2026-10-07 0.16
2026-07-01 2026-07-07 51.15
2026-06-26 2026-06-30 51.0

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.
Šarmi, MB (code 306867335) is a small partnership operating in general cleaning of buildings. In 2025, the latest financial year, revenue increased to €7.9K from €3.1K in 2024, which was a 194-day period, and the reported year 2025 covered 364 days. The year-on-year revenue growth was +154.4%, showing a clear expansion in activity. Net profit rose from €846 in 2024 to €4.2K in 2025, while profit margin improved from 27.4% to 53.2%, indicating stronger operating efficiency and higher profitability. At the end of 2025, total assets stood at €7.3K, including €2.3K in long-term assets and €4.9K in short-term assets. Equity was €5.0K and liabilities €2.2K, resulting in an equity ratio of 69.2% and debt-to-equity of 0.45. Return on equity was 83.2%, return on assets 57.5%, and asset turnover 1.08x, all reflecting efficient use of the company’s asset base in 2025.