2025 | 2024 | 2023 | |
|---|---|---|---|
€44,216+38.7% | €31,875-69% | €102,944 | |
€183,034+31.9% | €138,819+29.8% | €106,944 | |
€203,211+63.6% | €124,208-17.4% | €150,325 | |
€2,532-90% | €25,372-61.6% | €66,035 |
CG Talon.
BE 0789.544.465.
Besloten Vennootschap (BV) / Société à responsabilité limitée (SRL).
Corporate structure data isn't available for CG Talon right now.
CG Talon was founded on 10 Aug 2022, making it 4 years old.
Yes, CG Talon is currently active.
CG Talon's registered main activities are Business and other management consultancy activities, Other liberal professions and professional, scientific and technical activities n.e.c., Other business support service activities n.e.c., Public relations and communication activities, Calculation of the costs and benefits of proposed measures for planning, organising, performance, etc., Advice and assistance to companies and public services in planning, organisation, performance research, control, management information, etc., Activities of head offices, Advice and operational assistance to companies in the fields of public relations and communication, Supervision of construction work (structural work, installation, finishing work, etc.), and Advisory activities on industrial security of households and public services. It is also registered for 3 additional activities.
CG Talon's registered address is Avenue Louise 231, 1050 Ixelles, Belgium.
CG Talon's most recently filed annual accounts (fiscal year ending 30 Sep 2025) reported a profit of €44,216.
CG Talon's most recently filed annual accounts cover the fiscal year ending 30 Sep 2025.
We have no B Corp certification on file for CG Talon.
No, CG Talon does not currently hold Fairtrade certification.
2025 | 2024 | 2023 | |
|---|---|---|---|
| Income statement | |||
€61,800+48.5% | €41,623-68.3% | €131,340 | |
— | €3,738 | — | |
€60,464+57.8% | €38,318-70.8% | €131,340 | |
€44,216+38.7% | €31,875-69% | €102,944 | |
€113,043+12.3% | €100,668+69.3% | €59,455 | |
| Profitability | |||
24.2%+5.2% | 23.0%-76.1% | 96.3% | |
11.4%-5.5% | 12.1%-69.7% | 40.0% | |
| Solvency | |||
€386,245+46.9% | €263,026+2.2% | €257,269 | |
€1,427-46.6% | €2,673 | — | |
€2000% | €2000% | €200 | |
€183,034+31.9% | €138,819+29.8% | €106,944 | |
47.4%-10.2% | 52.8%+27% | 41.6% | |
€203,211+63.6% | €124,208-17.4% | €150,325 | |
1.11+24.1% | 0.89-36.3% | 1.41 | |
| Liquidity | |||
€2,532-90% | €25,372-61.6% | €66,035 | |
€90,434+72.3% | €52,503-33.9% | €79,467 | |
€88,800+340.2% | €20,172-77.8% | €90,871 | |
€203,211+63.6% | €124,208-17.4% | €150,325 | |
1.88-0.5% | 1.89+48.7% | 1.27 | |
€181,407+33.4% | €135,945+27.4% | €106,744 | |
| Profit appropriation | |||
€179,034+32.8% | €134,819+31% | €102,944 | |
Avenue Louise 231, 1050 Ixelles, Belgium
Open in Google MapsShowing 1 of 1 locations.
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