Information about Jamer & Associes
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Jamer & Associes (SPRL)

Company information

Status
Active

Enterprise number

BE0821.459.643

VAT liability
Yes
Established
15-12-2009
Last balance sheet year
2025
Company size
Micro 1 FTE
Legal form
Société privée à responsabilité limitée (SPRL)
Principal activity
General construction of residential buildings
Health barometer
Credit limit
Detailpage

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Financial data from Jamer & Associes

2025 2024 2023 2022
Income statement
Profit/Loss € 24,239 156% € -43,354 -322% € 19,561 > 1000% € 1,096
Gross margin € 61,833 312% € -29,168 -194% € 30,981 134% € 13,265
Balance sheet
Balance sheet total € 212,184 22% € 174,535 -20% € 217,862 102% € 107,747
Equity € 2,076 109% € -22,164 -205% € 21,191 > 1000% € 1,630
Debts € 210,108 7% € 196,699 0% € 196,671 85% € 106,118
Other
Employees 1

Publications from Jamer & Associes

Date Publication
05-01-2012 Rubric Restructuring (Fusion, Split, Transfer of Assets, etc...) - Miscellaneous (FR)
17-12-2009 Rubric Constitution (New Juridical Person, Opening Branch, etc...) (FR)

Frequently asked questions

What is the VAT number of Jamer & Associes?
The VAT number of Jamer & Associes is BE 0821.459.643.
Wat is the PEPPOL ID of Jamer & Associes?
The PEPPOL ID of Jamer & Associes is 0208:0821459643. Log in or start a free trial to see the full overview.
When was Jamer & Associes founded?
Jamer & Associes was founded on 15-12-2009.
What is the address of Jamer & Associes?
The current registered office of Jamer & Associes is located at Rue d'Edimbourg 9, 1050 Ixelles.
When was the last time Jamer & Associes filed their annual financial statements?
The most recent financial statements of Jamer & Associes were filed on 07-10-2026.
How many employees does Jamer & Associes have?
There are 1 FTEs working at Jamer & Associes according to the staff figures in the most recent financial statements.
What is the annual turnover of Jamer & Associes?
At the time of its most recent financial statements, Jamer & Associes did not publish any turnover figures. Jamer & Associes reported a gross margin of €61,833.16.