2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
€26,951,018+8% | €24,948,676+45.3% | €17,171,764+12.1% | €15,322,073 | |
€17,043,644-65.6% | €49,545,307-10.4% | €55,329,913>1000% | €729,119 | |
€33,784,362-6.8% | €36,240,717-67.5% | €111,433,707+9.1% | €102,103,794 | |
€73,316,388+14.5% | €64,037,494-9.2% | €70,567,376+3.4% | €68,249,192 | |
€541,953-46.4% | €1,011,320-75.7% | €4,163,572+904.6% | €414,470 | |
145.4+26.8% | 114.7+10.5% | 103.8+4.1% | 99.7 | |
€185,358-14.8% | €217,512+31.5% | €165,431+7.6% | €153,682 |
ECS corporate.
BE 0832.890.302.
Naamloze vennootschap (NV) / Société anonyme (SA).
Corporate structure data isn't available for ECS corporate right now.
ECS corporate was founded on 05 Jan 2011, making it 15 years old.
Yes, ECS corporate is currently active.
ECS corporate's registered main activities are Logistics service activities, Activities of holding companies, General maintenance and repair of other motor vehicles (> 3,5 tons), Freight transport by road, and Repair and maintenance of fabricated metal products.
ECS corporate's registered address is Baron de Maerelaan 155, 8380 Brugge, Belgium.
Based on its most recently filed annual accounts (fiscal year ending 31 Dec 2025), ECS corporate reported 145.4 full-time equivalent employees.
ECS corporate's most recently filed annual turnover (fiscal year ending 31 Dec 2025) was €26,951,018.
ECS corporate's most recently filed annual accounts (fiscal year ending 31 Dec 2025) reported a profit of €17,043,644.
ECS corporate's most recently filed annual accounts cover the fiscal year ending 31 Dec 2025.
We have no B Corp certification on file for ECS corporate.
No, ECS corporate does not currently hold Fairtrade certification.
Baron de Maerelaan 155, 8380 Brugge, Belgium
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2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
| Income statement | ||||
€26,951,018+8% | €24,948,676+45.3% | €17,171,764+12.1% | €15,322,073 | |
€11,117,136+7.7% | €10,321,019+30.8% | €7,889,509+10.9% | €7,111,531 | |
€2,372,543+18% | €2,010,953+3.2% | €1,948,224+207.6% | €633,447 | |
— | — | €2,758,607+84.5% | €1,495,168 | |
€17,043,644-65.6% | €49,545,307-10.4% | €55,329,913>1000% | €729,119 | |
€297,796+12.3% | €265,246+6.1% | €249,913-17.1% | €301,435 | |
| Profitability | ||||
— | — | 16.1%+64.6% | 9.8% | |
63.2%-68.2% | 198.6%-38.4% | 322.2%>1000% | 4.8% | |
50.4%-63.1% | 136.7%+175.3% | 49.7%>1000% | 0.7% | |
15.9%-67.8% | 49.4%+62.5% | 30.4%>1000% | 0.4% | |
| Solvency | ||||
€107,103,415+6.8% | €100,278,211-44.9% | €182,001,083+6.8% | €170,352,986 | |
€463,756+11% | €417,633+42.9% | €292,348-38.1% | €472,628 | |
€75,918,698-11.8% | €86,049,271-48.6% | €167,470,486+6.3% | €157,514,577 | |
€33,784,362-6.8% | €36,240,717-67.5% | €111,433,707+9.1% | €102,103,794 | |
31.5%-12.7% | 36.1%-41% | 61.2%+2.2% | 59.9% | |
€36,536,545+9.8% | €33,288,433-27.4% | €45,850,179+63.6% | €28,019,777 | |
1.08+17.7% | 0.92+123.2% | 0.41+49.9% | 0.27 | |
€73,316,388+14.5% | €64,037,494-9.2% | €70,567,376+3.4% | €68,249,192 | |
2.17+22.8% | 1.77+179% | 0.63-5.3% | 0.67 | |
1.12+29.7% | 0.86+38% | 0.62+18.9% | 0.53 | |
| Liquidity | ||||
€541,953-46.4% | €1,011,320-75.7% | €4,163,572+904.6% | €414,470 | |
€48,412+18.2% | €40,957 | — | — | |
€3,020,621+20.6% | €2,504,539+42.7% | €1,755,182-24.3% | €2,319,469 | |
€3,056,840+1% | €3,027,691+78.8% | €1,693,626+11.3% | €1,521,316 | |
€36,764,285+20.2% | €30,583,124+24% | €24,668,555-38.7% | €40,221,397 | |
0.75+84.6% | 0.41+6.1% | 0.38+45.3% | 0.26 | |
-€8,515,752+50.4% | -€17,182,561-55.6% | -€11,043,306+62.1% | -€29,160,218 | |
| Efficiency | ||||
41 days+11.7% | 37 days-1.8% | 37 days-32.5% | 55 days | |
78 days-10.4% | 87 days | — | — | |
125 days-38.2% | 203 days | — | — | |
3.15 | — | — | — | |
| Profit appropriation | ||||
€19,500,000-80.6% | €100,738,296+815.8% | €11,000,000 | — | |
€4,353,062-36.1% | €6,809,417-88.3% | €58,002,407+324.2% | €13,672,494 | |
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