Carr'o Design

87570 RILHAC-RANCON

SIREN

798532503

Main activity (4333Z)

Travaux de revêtement des sols et des murs

VAT number

FR64798532503

SIRET

79853250300025

Effectifs

02

Surveiller l'entreprise

Soyez informé de tous les événements financiers de CARR'O DESIGN

37652€

Trésorerie disponible au 30/09/2020

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

Carr'o Design Vs Travaux de revêtement des sols et des murs

Gross margin (€)

Top 25% of companies in the sector

68.16 %

20.2%
29,7%
38.1%

Payroll / Turnover (%)

Worst 50% of companies in the sector

38.5 %

21.8%
31,5%
42.7%

Net income / turnover (%)

Top 50% of companies in the sector

5.31 %

0.3%
3,01%
6.7%

Change in turnover (%)

Worst 50% of companies in the sector

-9.18 %

-21.0%
-6,05%
13.1%

Performance ratios

The results of Carr'o Design in
compared to Carr'o Design in
and to the average for companies of the sector in
2020
% Turnover 2020
2018
% Turnover 2018
2020
% Turnover 2020
A - Key operating figures
Turnover

Top 25%

Gross Margin (€)

Top 25%

Net Profit (€)

Top 25%

Variable Expenses

Worst 25%

Break Even

Top 25%

Payroll

Worst 25%

297K
100.0%
292K
100.0%
1,77M
100.0%
202K
68.0%
207K
70.0%
1,27M
71.0%
15,7K
5.0%
23,7K
8.0%
33,5K
1.0%
94,5K
31.0%
85,4K
29.0%
565K
32.0%
297K
100.0%
292K
100.0%
1,83M
104.0%
114K
38.0%
103K
35.0%
268K
15.0%
B - Available funds
Cash

Top 25%

Receivables

Top 25%

Debts

Worst 50%

37,7K
12.0%
2,54K
0.0%
212K
12.0%
110K
37.0%
116K
39.0%
532K
30.0%
24,1K
8.0%
32,5K
11.0%
373K
21.0%

Evaluation of our pocket CFO

Vous aimez cet outil ?
Partagez le à votre réseau !

Performance ratios

2015
2016
2018
2020
A - Key operating figures

Turnover

292K
297K
1%

Gross margin (€)

207K
202K
-2%

Operating result

1,63K
26K
1501%

Net profit (€)

1,1K
21,6K
1868%
23,7K
10%
15,7K
-34%

Total Operating Expenses

56,8K

Variable expenses

85,4K
94,5K
11%

Break even

292K
297K
1%

Payroll

14,4K
17,6K
22%
103K
484%
114K
11%
B - Turnover distribution

Material cost (%)

29,2
31,8
9%

Gross margin (%)

70,8
68,2
-4%

Payroll / Turnover (%)

35,2
38,5
9%

Net income / turnover (%)

8,1
5,31
-34%
C - Available funds

Cash

11K
2,54K
-77%
37,7K
1385%

Receivables

1,08K
923
-14%
116K
12437%
110K
-5%

Debts

10,1K
7,43K
-27%
32,5K
337%
24,1K
-26%
D - Performance ratios

Change in turnover (%)

63,4K
-30K
-147%

Change in turnover (%)

27,7
-9,18
-133%

Cash evolution (%)

84,1
83,3
-1%

Evolution of operating expenses

12,3K

Evolution of operating expenses (%)

27,7

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
-