BOSO d.o.o. GFI Godišnji financijski izvještaji
🧾 Račun dobiti i gubitka |
2019 |
2020 |
2021 |
2022 |
2023 |
Ukupni prihodi |
88.761.158 € |
93.990.301 € |
104.896.956 € |
124.705.111 € |
148.318.345 € |
Poslovni prihodi |
87.875.173 € |
92.785.874 € |
103.177.106 € |
123.002.430 € |
146.415.622 € |
Poslovni rashodi |
85.552.179 € |
89.150.968 € |
99.143.037 € |
119.373.545 € |
141.449.935 € |
Financijski prihodi |
885.990 € |
1.204.419 € |
1.719.852 € |
1.702.681 € |
1.902.723 € |
Financijski rashodi |
728.122 € |
640.923 € |
765.943 € |
841.896 € |
912.574 € |
Ukupni rashodi |
86.280.299 € |
89.791.894 € |
99.908.982 € |
120.215.441 € |
142.362.510 € |
Dobit ili gubitak razdoblja |
2.151.750 € |
3.613.556 € |
4.349.367 € |
3.860.741 € |
4.725.215 € |
Dobit ili gubitak prije oporezivanja |
2.480.861 € |
4.198.407 € |
4.987.976 € |
4.489.670 € |
5.955.835 € |
Porez na dobit |
329.111 € |
584.850 € |
638.609 € |
628.929 € |
1.230.620 € |
|
🧾 Bilanca |
Dugotrajna imovina |
24.118.712 € |
24.588.707 € |
24.643.914 € |
29.827.359 € |
33.200.213 € |
Nematerijalna imovina |
9.837.298 € |
8.212.492 € |
12.813.416 € |
10.316.213 € |
10.353.858 € |
Materijalna imovina |
11.049.303 € |
11.269.607 € |
4.205.446 € |
5.459.472 € |
4.609.815 € |
Financijska imovina |
3.232.110 € |
5.106.608 € |
7.625.051 € |
14.051.674 € |
18.236.539 € |
Potraživanja |
0 € |
0 € |
0 € |
0 € |
0 € |
Kratkotrajna imovina |
20.561.390 € |
23.616.665 € |
27.125.507 € |
30.648.431 € |
31.368.456 € |
Potraživanja |
6.583.596 € |
7.301.237 € |
9.784.996 € |
9.761.857 € |
6.277.768 € |
Financijska imovina |
4.290.129 € |
5.999.159 € |
5.764.295 € |
6.353.718 € |
9.021.824 € |
Novac u banci i blagajni |
1.089.064 € |
1.042.775 € |
1.209.255 € |
1.611.616 € |
2.634.827 € |
Ukupno aktiva |
44.680.099 € |
48.205.374 € |
51.769.421 € |
60.526.947 € |
64.662.831 € |
BOSO d.o.o. za promet roba, usluga i posredništvo Vinkovci