Company information

2B SMART, SIA

2B SMART,

Klāvkaltiņu iela 2, Berģi, Garkalnes pag., Ropažu nov., LV-1024

Registration No.

50103724151

Status

Registered

Register

Commercial Register

Registered on

2013-10-23

Legal form

Limited Liability Company

Equity capital

Paid-up equity 2846 €

Registered payment 2013-10-23

Members

Company Members

Total: 1

ActivePerson

Bagatskis Edvards (LV)

Identifier: 241092-11386

Number of shares
2846
Nominal value per share
1,00 EUR
Share capital value
2846,00 EUR

100% of share capital

Personally liable
No
From
2013-10-23
To
Not available
Registered on
2013-10-23
Removed on
Not available

Officers

Company Officers

Total: 1

Bagatskis Edvards (LV)

Member of the Board

Identifier: 241092-11386

Active Executive Board

Rights of representation

  • Right to represent individually
Appointed on
2013-10-23
Term until
Not available
Registered on
2013-10-23

Beneficial owners

Beneficial owners

Registered beneficial owners: 1

Bagatskis Edvards (LV)

Identification number: 241092-11386

Means of control: as a company member/shareholder

Active

Means of control

  • as a company member/shareholder
From
2019-07-15
Until
Not available
Registered on
2019-07-15
Last modified at
2019-07-15

Financial key indicatorsLatest year: 2022

Overall financial risk (latest available year)

Elevated financial risk

LiquiditySolvencyProfitability

This summary is based only on the publicly available balance sheet, income statement and, if present, cash flow statement. For small and micro entities some indicators may be missing.

Turnover

2,120 EUR

Net result

-197 EUR

Margin: -9.3%

Balance sheet size

23,784 EUR

Equity: 1,643 EUR (6.9%)

Liquidity (short-term payments)

Tight

Liquidity is acceptable but not very strong. Short-term cash-flow issues are possible if income falls or payments are delayed.

Current ratio
1.1
Quick ratio
1.1

Solvency (capital strength)

Low / high risk

Equity is very low or even negative. The company is heavily dependent on creditors and is more sensitive to losses.

Equity ratio
6.9%
Debt-to-assets
93.1%

Profitability & cash flow

Loss-making

The company reports a loss for the year, which increases financial risk if it continues over several periods.

Net margin
-9.3%
Return on assets (ROA)
-0.8%
Operating cash flow
Not available (cash flow statement may not be required for small companies)

Simple trend (last 3 years)

Colour hints show improvement or deterioration across years.

YearTurnoverNet marginEquity ratioCurrent ratio
20222,120-9.3%6.9%1.1
202107.8%1.1
202020,00041.5%7.3%1.1

Trends are indicative only. Small changes can be caused by rounding, classification or changes in reporting format.

Key metrics by year

Each column shows one reporting year. Some metrics may be missing if they are not required in the filed report.

Metric20222021202020192018
Turnover2,120020,00019,90011,050
Net result-197-438,3096,1066,630
Net margin-9.3%41.5%30.7%60.0%
Return on assets (ROA)-0.8%-0.2%32.2%73.7%61.9%
Equity ratio6.9%7.8%7.3%-77.5%-116.9%
Debt-to-assets93.1%92.2%92.7%177.5%216.9%
Current ratio1.11.11.10.60.5
Quick ratio1.11.11.10.60.5
Operating cash flow

Values are derived from the published balance sheet, income statement and cash flow statement (if available). A missing value usually means that the line item is not reported or not required for that entity size.

Meta

Label202220212020201920182017201620152014
Year Started2022-01-012021-01-012020-01-012019-01-012018-01-012017-01-012016-01-012015-01-012014-01-01
Year Ended2022-12-312021-12-312020-12-312019-12-312018-12-312017-12-312016-12-312015-12-312014-12-31
Report date2023-07-222022-07-232021-05-142020-08-192019-07-012019-03-292019-03-292019-03-292015-05-03
Employees111111124
CurrencyEUREUREUREUREUREUREUREUREUR
Rounded ToONESONESONESONESONESONESONESONESONES
Source SchemaDokGPv1DokGPv1DokGPv1DokGPv1DokGPv1DokGPUIENv1DokGPUIENv1DokUGP2008v1DokUGP2008v1
Source TypeUGPUGPUGPUGPUGPUGPUGP

Balance sheet

Per year

Label202220212020201920182017201620152014
Cash11,78411,4805,7728,2908,5575,71376287233,713
Accounts Receivable12,00012,00020,00002,1600070
Current Assets23,78423,48025,7728,29010,7175,71376287933,713
Total Assets23,78423,48025,7728,29010,7175,71376287933,713
Current Liabilities22,14121,64023,88914,71623,24924,87521,90013,26030,706
Equity1,6431,8401,883-6,426-12,532-19,162-21,138-12,3813,007
Total23,78423,48025,7728,29010,7175,71376287933,713

Income statement

Per year

Label202220212020201920182017201620152014
Net Turnover2,120020,00019,90011,0509,0000039,826
Cost of Goods Sold450011,64013,5854,0576,9500036,026
Gross Profit1,67008,3606,3156,9932,050003,800
Selling Expenses1,81743434746738,75714,4490
Administrative Expenses0000000055
Other Operating Expenses0081623170000
Income Before Income Taxes-147-438,3096,1066,6301,977-8,757-14,4493,745
Provision For Income Taxes5000000000
Income After Income Taxes-197-438,3096,1066,6301,977-8,75700
Other Taxes000000003,584
Net Income-197-438,3096,1066,6301,977-8,757-14,449161

Cash flow statement

Per year

Label202220212020201920182017201620152014
Received from Customers0000000039,826
Paid to Suppliers/Employees000000005,670
Net Operating Cash Flow0000000030,867
At Beginning of Year000000002,846
At End of Year0000000033,713