Saumile creative, MB - financials and debts

Company age: 2 y. 1 mo.

Update

Saumile creative - Company finances

EUR
2024
From: 2024-09-13
To: 2024-12-31
2025
From: 2025-01-01
To: 2025-12-31
Financial data
Sales revenue 9,149 6,555
Profit before tax 6,550 1,665
Net profit 6,222 1,565
Equity 6,222 7,787
Liabilities 4,187 113
Non-current assets 10,409 7,283
Current assets 0 617
Total assets 10,409 7,900
Taxes paid
STI taxes - 393
Financial indicators
Revenue change y/y - -28.4%
ROA Return on Assets (ROA). The ratio of net profit to assets. Indicates the company's efficiency. 59.8% 19.8%
ROE Return on equity. The ratio of net profit to equity. Shows the return to shareholders. 100.0% 20.1%
Profit margin Net profit margin. Shows the overall profitability of the company. 68.0% 23.9%
EBT% EBT (Earnings Before Taxes) to revenue ratio. Shows the overall profitability of the company. 71.6% 25.4%
Liabilities/Equity The debt-to-equity ratio shows the company's capital structure. 0.7 0.0
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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Saumile creative - Social security debts

From To Debt, €
2026-04-20 2026-04-30 217.37
2025-01-02 2025-01-31 193.50
2024-12-03 2024-12-31 129.00
2024-11-04 2024-12-02 64.50

Saumile creative - VMI tax arrears

The company had no tax arrears (debts) to the State Tax Inspectorate

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.
Saumile creative, MB (code 306990195) is a Lithuanian small partnership engaged in photographic activities. In 2025, the company generated revenue of EUR 6.6K and net profit of EUR 1.6K, corresponding to a profit margin of 23.9%. Revenue declined by 28.4% year on year from EUR 9.1K in 2024, while net profit also decreased from EUR 6.2K in that year. The 2024 results covered a 109-day period, whereas 2025 reflects a full 364-day period, making the latest year a broader operating view. The business nevertheless remained profitable in both years, although 2025 was materially weaker than 2024 in absolute terms. At the end of 2025, total assets stood at EUR 7.9K, with equity of EUR 7.8K and liabilities of EUR 113, indicating a very low leverage position and an equity ratio of 98.6%. Long-term assets amounted to EUR 7.3K and short-term assets to EUR 617. Return on equity was 20.1%, return on assets 19.8%, debt-to-equity 0.01, and asset turnover 0.83x.