Company Timeline: CAPITAL CLEAN FACILITY MANAGEMENT SRL
Founded June 5, 2015 · 10 years of activity
Founding
Status changes
Fiscal events
Financial data
Awards
Court cases
2024
Financial results 2024
Revenue: 698,853 RON. Net Profit: 0 RON
Revenue
698,853 RON
+162.9%
Net Profit
0 RON
-100.0%
Employees
43
+616.7%
Debts
696,695 RON
+2647.7%
2023
Financial results 2023
Revenue: 265,843 RON. Net Profit: 32,508 RON
Revenue
265,843 RON
+6.4%
Net Profit
32,508 RON
-61.3%
Employees
6
+20.0%
Debts
25,356 RON
-79.0%
2022
Financial results 2022
Revenue: 249,829 RON. Net Profit: 84,003 RON
Revenue
249,829 RON
-5.3%
Net Profit
84,003 RON
-57.5%
Employees
5
+150.0%
Debts
120,513 RON
+268.3%
2021
Financial results 2021
Revenue: 263,666 RON. Net Profit: 197,577 RON
Revenue
263,666 RON
+88.6%
Net Profit
197,577 RON
+220.4%
Employees
2
-60.0%
Debts
32,722 RON
+75.0%
2020
Financial results 2020
Revenue: 139,775 RON. Net Profit: 61,661 RON
Revenue
139,775 RON
-40.3%
Net Profit
61,661 RON
-49.5%
Employees
5
+150.0%
Debts
18,699 RON
-25.8%
2019
Financial results 2019
Revenue: 234,096 RON. Net Profit: 122,164 RON
Revenue
234,096 RON
+109.6%
Net Profit
122,164 RON
+41.5%
Employees
2
Debts
25,200 RON
+279.8%
2018
Financial results 2018
Revenue: 111,691 RON. Net Profit: 86,352 RON
Revenue
111,691 RON
-40.0%
Net Profit
86,352 RON
+10.8%
Employees
0
-100.0%
Debts
6,636 RON
+143.2%
2017
Financial results 2017
Revenue: 186,021 RON. Net Profit: 77,969 RON
Revenue
186,021 RON
+20.6%
Net Profit
77,969 RON
+37.1%
Employees
7
+0.0%
Debts
2,729 RON
-66.9%
2016
Financial results 2016
Revenue: 154,177 RON. Net Profit: 56,886 RON
Revenue
154,177 RON
+692.3%
Net Profit
56,886 RON
+241.8%
Employees
7
Debts
8,239 RON
+2389.1%
2015
Financial results 2015
Revenue: 19,460 RON. Net Profit: 16,645 RON
Revenue
19,460 RON
Net Profit
16,645 RON
Employees
0
Debts
331 RON
Company was founded
CAPITAL CLEAN FACILITY MANAGEMENT SRL (SRL (Societate cu raspundere limitata)) - CAEN 8110 in Sector 2 Mun. Bucureşti (MUNICIPIUL BUCUREŞTI)
