Menuiserie De La Maulde

87470 PEYRAT LE CHATEAU

SIREN

388780751

Main activity (4332A)

Travaux de menuiserie bois et PVC

VAT number

FR103388780751

SIRET

Effectifs

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Soyez informé de tous les événements financiers de MENUISERIE DE LA MAULDE

3661€

Trésorerie disponible au 30/06/2022

Cashflow

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

Menuiserie De La Maulde Vs Travaux de menuiserie bois et PVC

Gross margin (€)

Top 25% of companies in the sector

54.61 %

32.0%
42%
50.1%

Payroll / Turnover (%)

Worst 25% of companies in the sector

38.39 %

21.7%
29,7%
35.9%

Net income / turnover (%)

Worst 25% of companies in the sector

-5.36 %

0.8%
4,1%
7.7%

Performance ratios

The results of Menuiserie De La Maulde in
compared to Menuiserie De La Maulde in
and to the average for companies of the sector in
2022
% Turnover 2022
2021
% Turnover 2021
2022
% Turnover 2022
A - Key operating figures
Turnover

Top 25%

Gross Margin (€)

Top 25%

Net Profit (€)

Worst 25%

Variable Expenses

Worst 25%

Break Even

Top 25%

Payroll

Worst 25%

165K
100.0%
151K
100.0%
2,5M
100.0%
90,4K
54.0%
83,1K
55.0%
1,47M
58.0%
-8,88K
-5.0%
2,65K
1.0%
76,4K
3.0%
75,1K
45.0%
67,9K
45.0%
1,12M
44.0%
165K
100.0%
151K
100.0%
2,59M
104.0%
63,5K
38.0%
56,3K
37.0%
461K
18.0%
B - Available funds
Cash

Worst 50%

Receivables

Top 25%

Debts

Worst 25%

3,66K
2.0%
4,66K
3.0%
254K
10.0%
51,3K
31.0%
70,5K
46.0%
375K
15.0%
75,3K
45.0%
60,5K
40.0%
339K
13.0%

Evaluation of our pocket CFO

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Performance ratios

2019
2020
2021
2022
A - Key operating figures

Turnover

163K
192K
17%
151K
-21%
165K
10%

Gross margin (€)

87,7K
101K
15%
83,1K
-17%
90,4K
9%

Net profit (€)

-12,4K
-205
98%
2,65K
1395%
-8,88K
-435%

Variable expenses

75,5K
91,2K
21%
67,9K
-26%
75,1K
11%

Break even

163K
192K
17%
151K
-21%
165K
10%

Payroll

71,2K
60,7K
-15%
56,3K
-7%
63,5K
13%
B - Turnover distribution

Material cost (%)

46,3
47,6
3%
45
-5%
45,4
1%

Gross margin (%)

53,7
52,4
-2%
55
5%
54,6
-1%

Payroll / Turnover (%)

43,6
31,7
-27%
37,2
18%
38,4
3%

Net income / turnover (%)

-7,6
-0,107
99%
1,76
1743%
-5,36
-405%
C - Available funds

Cash

200
12,3K
6068%
4,66K
-62%
3,66K
-22%

Receivables

57,2K
65,8K
15%
70,5K
7%
51,3K
-27%

Debts

51,9K
67,1K
29%
60,5K
-10%
75,3K
24%
D - Performance ratios

Cash evolution (%)

6,17K

Periodic income statement

2022

A -

Total operating income

165 494

Turnover

165 494

Production sold

165 494

B -

Total operating expenses

177 976

External costs (Total)

111 496

Inventory change

1 713

Purchasing of materials

75 210

External services

34 573

Taxes and duties (Total)

1 378

Taxes and duties

1 378

Personnel costs (Total)

63 528

Gross salaries (Employees)

43 702

Social security costs (Employees)

19 826

Depreciation and amortization

1 574

C -

Operating result

-12 482

D -

Financial result

5

Financial income

5

E -

Current result

-12 477

F -

Extraordinary result

-

G -

Corporate tax

-

H -

Current excercise

-12 477