Information about Matala Projects
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Matala Projects (SRL)

Company information

Status
Active

Enterprise number

BE0712.607.035

VAT liability
No
Established
26-10-2018
Last balance sheet year
2025
Company size
Micro 0 FTE
Legal form
Société à responsabilité limitée (SRL)
Principal activity
Residential property development
Health barometer
Credit limit
Detailpage

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Financial data from Matala Projects

2025 2024 2023 2022
Income statement
Profit/Loss 76,913 51% 50,992 608% -10,029 -125% 39,779
Gross margin 108,564 33% 81,877 549% 12,619 -83% 75,926
Balance sheet
Balance sheet total 272,816 -19% 337,826 -21% 427,291 -44% 763,881
Equity 224,842 52% 147,929 53% 96,937 -9% 106,966
Debts 47,974 -75% 189,897 -43% 330,354 -50% 656,915

Publications from Matala Projects

Date Publication
04-11-2022 Articles of Association (Translation, Coordination, Other Modifications, …) - Modification Legal Form - Registered Office - Resignations - Appointments (NL)
30-10-2018 Rubric Constitution (New Juridical Person, Opening Branch, etc...) (NL)

Frequently asked questions

What is the enterprise number of Matala Projects?
The enterprise number of Matala Projects is BE 0712.607.035.
Wat is the PEPPOL ID of Matala Projects?
There is no information available about the PEPPOL ID of Matala Projects or the company is not yet registered on the PEPPOL network.
When was Matala Projects founded?
Matala Projects was founded on 26-10-2018.
What is the address of Matala Projects?
The current registered office of Matala Projects is located at Pastoriestraat(heu) 8, 8501 Kortrijk.
When was the last time Matala Projects filed their annual financial statements?
The most recent financial statements of Matala Projects were filed on 27-08-2026.
How many employees does Matala Projects have?
There are currently no employees working at Matala Projects or no workforce information is available.
What is the annual turnover of Matala Projects?
At the time of its most recent financial statements, Matala Projects did not publish any turnover figures. Matala Projects reported a gross margin of €108,564.38.