Gauthier Vsp

33350 SAINT-MAGNE-DE-CASTILLON

SIREN

532357936

Main activity (4511Z)

Commerce de voitures et de véhicules automobiles légers

VAT number

FR54532357936

SIRET

53235793600030

Effectifs

-

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224872€

Trésorerie disponible au 30/09/2021

Cashflow

Cash at the end of the year
Net profit
Total Operating Income
Total Operating Expenses

Gauthier Vsp Vs Commerce de voitures et de véhicules automobiles légers

Gross margin (€)

Worst 25% of companies in the sector

34.49 %

72.8%
82,9%
85.9%

Payroll / Turnover (%)

Worst 25% of companies in the sector

16.95 %

5.7%
7,72%
11.7%

Net income / turnover (%)

Top 25% of companies in the sector

2.51 %

-0.1%
0,831%
2.3%

Performance ratios

The results of Gauthier Vsp in
compared to Gauthier Vsp in
and to the average for companies of the sector in
2020
% Turnover 2020
2019
% Turnover 2019
2021
% Turnover 2021
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%

2,43M
100.0%
2,61M
100.0%
39,1M
100.0%
839K
34.0%
877K
33.0%
5,67M
14.0%
61,1K
2.0%
89,6K
3.0%
224K
0.0%
1,59M
65.0%
1,73M
66.0%
34,5M
88.0%
2,43M
100.0%
2,61M
100.0%
40,4M
103.0%
413K
17.0%
434K
16.0%
1,76M
4.0%
B - Available funds
Cash

Top 25%

Receivables

Top 25%

Debts

Worst 25%

301K
12.0%
138K
5.0%
623K
1.0%
118K
4.0%
132K
5.0%
3,24M
8.0%
398K
16.0%
220K
8.0%
3,94M
10.0%

Evaluation of our pocket CFO

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Performance ratios

2016
2017
2018
2019
2020
2021
A - Key operating figures

Turnover

1,64M
1,65M
2,61M
58%
2,43M
-7%

Gross margin (€)

567K
621K
877K
41%
839K
-4%

Net profit (€)

55,5K
54,2K
-3%
2,69K
-95%
89,6K
3235%
61,1K
-32%
88,9K
46%

Variable expenses

1,07M
1,03M
1,73M
67%
1,59M
-8%

Break even

1,64M
1,65M
2,61M
58%
2,43M
-7%

Payroll

306K
300K
434K
45%
413K
-5%
B - Turnover distribution

Material cost (%)

65,4
62,5
66,4
6%
65,5
-1%

Gross margin (%)

34,6
37,5
33,6
-10%
34,5
3%

Payroll / Turnover (%)

18,7
18,1
16,6
-8%
17
2%

Net income / turnover (%)

3,39
0,162
3,44
2015%
2,51
-27%
C - Available funds

Cash

47,5K
80,7K
70%
38,7K
-52%
138K
258%
301K
118%
225K
-25%

Receivables

96,7K
74,9K
-22%
79,7K
6%
132K
65%
118K
-11%
67,4K
-43%

Debts

96,5K
212K
119%
185K
-13%
220K
19%
398K
81%
299K
-25%
D - Performance ratios

Periodic income statement

2016
2017
2018
2019
2020
2021

A -

Total operating income

1 695 089
-
1 673 807
2 641 987
2 477 857

Turnover

1 636 835
-
1 654 771
2 608 518
2 433 334

Sales of goods

1 474 930
-
1 447 533
2 400 215
2 229 735

Services sold

161 905
-
207 238
208 303
203 599

Capitalized production

62
-
50

Operating subsidies

978
-
875

Expense transfers

56 931
-
18 052
33 379
42 554

Other operating income

283
-
59
40
1 919

B -

Total operating expenses

1 628 538
-
1 679 782
2 578 465
2 419 448

External costs (Total)

1 233 757
-
1 284 932
2 035 586
1 893 485

Purchases of goods

1 024 633
-
1 008 593
1 795 547
1 645 408

Inventory change

39 256
-
19 514
-69 558
-61 008

Purchasing of materials

6 201
-
6 118
5 921
9 752

External services

163 667
-
250 707
303 676
299 333

Taxes and duties (Total)

13 628
-
13 914
19 987
17 134

Taxes and duties

13 628
-
13 914
19 987
17 134

Personnel costs (Total)

305 706
-
299 756
433 582
412 501

Gross salaries (Employees)

231 117
-
220 041
323 630
321 353

Social security costs (Employees)

74 589
-
79 715
109 952
91 148

Depreciation and amortization

75 136
-
76 255
80 805
91 964

Other operating expenses

311
-
4 925
8 505
4 364

C -

Operating result

66 551
-
-5 975
63 522
58 409

D -

Financial result

-687
-
4 538
9 250
15 771

Financial income

2 435
-
6 900
11 105
18 049

Financial expenses

3 122
-
2 362
1 855
2 278

E -

Current result

65 864
-
-1 437
72 772
74 180

F -

Extraordinary result

-2 612
-
-1 063
-3

Extraordinary income

2 300
-
69 933
113

Extraordinary expenses

4 912
-
70 996
116

G -

Corporate tax

10 537
-
23 291
17 412

Corporate tax

10 537
-
23 291
17 412

H -

Current excercise

63 252
-
-1 437
71 709
74 177