Information about Rlr Construct
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Rlr Construct (SPRL)

Company information

Status
Active

Enterprise number

BE0894.580.718

VAT liability
Yes
Established
28-12-2007
Last balance sheet year
2025
Company size
Micro 1,8 FTE
Legal form
Société privée à responsabilité limitée (SPRL)
Commercial name
RLR CONSTRUCT BVBA
Principal activity
General construction of residential buildings
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Credit limit
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Financial data from Rlr Construct

2025 2024 2023 2022
Income statement
Profit/Loss € -16,075 -176% € 21,072 349% € -8,450 -213% € 7,473
Gross margin € 156,463 -36% € 243,667 35% € 179,932 -26% € 242,345
Balance sheet
Balance sheet total € 465,412 -6% € 497,513 -10% € 553,935 -22% € 709,821
Equity € 282,725 -5% € 298,800 -12% € 339,728 -1% € 344,061
Debts € 182,687 -8% € 198,713 -7% € 214,207 -41% € 365,760
Other
Employees 1.8 2 3 2.8

Publications from Rlr Construct

Date Publication
08-04-2013 Goal - Articles of Association (Translation, Coordination, Other Modifications, …) (NL)
29-07-2008 Resignations - Appointments (NL)
09-01-2008 Constitution (New Juridical Person, Opening Branch) (NL)

Frequently asked questions

What is the VAT number of Rlr Construct?
The VAT number of Rlr Construct is BE 0894.580.718.
Wat is the PEPPOL ID of Rlr Construct?
The PEPPOL ID of Rlr Construct is 0208:0894580718. Log in or start a free trial to see the full overview.
When was Rlr Construct founded?
Rlr Construct was founded on 28-12-2007.
What is the address of Rlr Construct?
The current registered office of Rlr Construct is located at Penemolenstraat 2, 8800 Roeselare.
When was the last time Rlr Construct filed their annual financial statements?
The most recent financial statements of Rlr Construct were filed on 01-09-2026.
How many employees does Rlr Construct have?
There are 1,8 FTEs working at Rlr Construct according to the staff figures in the most recent financial statements.
What is the annual turnover of Rlr Construct?
At the time of its most recent financial statements, Rlr Construct did not publish any turnover figures. Rlr Construct reported a gross margin of €156,462.94.