Information about D&D Beton Projects
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D&D Beton Projects (SRL)

Company information

Status
Active

Enterprise number

BE0892.039.417

VAT liability
Yes
Established
12-09-2007
Last balance sheet year
2025
Company size
Micro 0 FTE
Legal form
Société à responsabilité limitée (SRL)
Principal activity
Other specialised construction activities n.e.c.
Health barometer
Credit limit
Detailpage

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Financial data from D&D Beton Projects

2025 2024 2023 2022
Income statement
Profit/Loss € -25,425 49% € -49,995 -791% € -5,613 -118% € 30,859
Gross margin € 8,996 157% € -15,745 -156% € 28,193 -63% € 76,308
Balance sheet
Balance sheet total € 295,149 -14% € 343,272 -14% € 399,533 -11% € 446,939
Equity € 283,766 -8% € 308,707 -14% € 358,702 -6% € 382,915
Debts € 11,383 -67% € 34,565 -15% € 40,831 -36% € 64,024

Publications from D&D Beton Projects

Date Publication
12-06-2023 Articles of Association (Translation, Coordination, Other Modifications, …) - Modification Legal Form - Goal - Resignations - Appointments (NL)
24-09-2007 Constitution (NL)

Frequently asked questions

What is the VAT number of D&D Beton Projects?
The VAT number of D&D Beton Projects is BE 0892.039.417.
Wat is the PEPPOL ID of D&D Beton Projects?
The PEPPOL ID of D&D Beton Projects is 0208:0892039417. Log in or start a free trial to see the full overview.
When was D&D Beton Projects founded?
D&D Beton Projects was founded on 12-09-2007.
What is the address of D&D Beton Projects?
The current registered office of D&D Beton Projects is located at Steenstraat 3, 9402 Ninove.
When was the last time D&D Beton Projects filed their annual financial statements?
The most recent financial statements of D&D Beton Projects were filed on 02-09-2026.
How many employees does D&D Beton Projects have?
There are currently no employees working at D&D Beton Projects or no workforce information is available.
What is the annual turnover of D&D Beton Projects?
At the time of its most recent financial statements, D&D Beton Projects did not publish any turnover figures. D&D Beton Projects reported a gross margin of €8,996.21.