Atelier Marcel Faure

87600

SIREN

320735228

Main activity (1520Z)

Fabrication de chaussures

VAT number

FR34320735228

SIRET

32073522800035

Effectifs

11

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Soyez informé de tous les événements financiers de ATELIER MARCEL FAURE

26015€

Trésorerie disponible au 31/12/2018

Aucune donnée disponible

Variation de trésorerie

0M5M10M15M
2016

cash

486 618,00

income

8 893 643,00

outcome

8 778 968,00

Trésorerie en fin d’annee
Resultat Net
Produits d’exploitations
Charges d’exploitations

Atelier Marcel Faure Vs Fabrication de chaussures

Gross margin (€)

Top 50% of companies in the sector

41.1 %

25.7%
39,1%
51.1%

Payroll / Turnover (%)

Worst 25% of companies in the sector

43.04 %

13.3%
26,1%
42.4%

Net income / turnover (%)

Worst 25% of companies in the sector

-16.56 %

-6.2%
0,861%
3.9%

Change in turnover (%)

Worst 25% of companies in the sector

-14.75 %

-10.3%
-2,23%
5.9%

Performance ratios

The results of Atelier Marcel Faure in
compared to Atelier Marcel Faure in
and to the average for companies of the sector in
2018
% Turnover 2018
2017
% Turnover 2017
2018
% Turnover 2018
A - Key operating figures
Turnover

Top 50%

Gross Margin (€)

Top 50%

Net Profit (€)

Worst 25%

Variable Expenses

Worst 50%

Break Even

Top 50%

Payroll

Worst 25%

1,93M
100.0%
2,27M
100.0%
6,75M
100.0%
794K
41.0%
1,06M
46.0%
3,65M
54.0%
-320K
-16.0%
29,6K
1.0%
-86K
-1.0%
1,14M
58.0%
1,2M
53.0%
3,2M
47.0%
1,93M
100.0%
2,27M
100.0%
6,85M
102.0%
831K
43.0%
765K
33.0%
1,43M
21.0%
B - Available funds
Cash

Worst 50%

Receivables

Top 25%

Debts

Worst 25%

26K
1.0%
50,1K
2.0%
497K
7.0%
569K
29.0%
578K
25.0%
1,54M
22.0%
403K
20.0%
201K
8.0%
1,36M
20.0%

Evaluation of our pocket CFO

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Performance ratios

2016
2017
2018
A - Key operating figures

Turnover

2,47M
2,27M
-8%
1,93M
-15%

Gross margin (€)

1,31M
1,06M
-19%
794K
-25%

Net profit (€)

91,2K
29,6K
-68%
-320K
-1181%

Variable expenses

1,16M
1,2M
4%
1,14M
-6%

Break even

2,47M
2,27M
-8%
1,93M
-15%

Payroll

749K
765K
2%
831K
9%
B - Turnover distribution

Material cost (%)

47
53,2
13%
58,9
11%

Gross margin (%)

53
46,8
-12%
41,1
-12%

Payroll / Turnover (%)

30,3
33,8
11%
43
27%

Net income / turnover (%)

3,69
1,31
-65%
-16,6
-1368%
C - Available funds

Cash

134K
50,1K
-63%
26K
-48%

Receivables

724K
578K
-20%
569K
-2%

Debts

303K
201K
-34%
403K
100%
D - Performance ratios

Change in turnover (%)

267K
-205K
-177%
-334K
-63%

Change in turnover (%)

12,1
-8,3
-169%
-14,8
-78%

Cash evolution (%)

146
37,4
-74%
51,9
39%

Periodic income statement

No data available

2016
2017
2018
2020
2019
2021

A -

Total des produits d'exploitation

8 893 643
11 555 114
14 096 575
11 610 926
9 077 637
-

Chiffre d'affaires

8 893 643
11 555 114
14 096 575
11 610 926
9 077 637
-

Ventes de marchandises

8 893 643
11 555 114
14 096 575
11 610 926
9 077 637
-

B -

Total des charges d'exploitation

8 778 968
11 262 513
13 868 243
11 286 892
8 987 502
-

Charges externes (Total)

8 478 278
10 919 272
13 486 835
10 927 036
8 645 751
-

Achats effectués de marchandise

7 997 204
10 558 209
12 801 043
10 463 590
7 809 029
-

Variation de stock de marchandise

-44 595
-185 114
-24 336
-173 879
207 081
-

Services extérieurs

525 669
546 177
710 128
637 325
629 641
-

Impôts et taxes (Total)

37 162
41 723
39 784
39 217
36 867
-

Impôts et taxes

37 162
41 723
39 784
39 217
36 867
-

Charges de personnel (Total)

263 528
301 518
341 624
320 639
304 884
-

Salaires bruts (Salariés)

211 232
243 070
277 353
257 448
248 223
-

Charges sociales (Salariés)

52 296
58 448
64 271
63 191
56 661
-

C -

Résultat d'exploitation

114 675
292 601
228 332
324 034
90 135
-