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Information about company FAHRWEST LOGISTIC S.R.L.

FAHRWEST LOGISTIC S.R.L.
Total reviews: 38
Average rating:
5.0
Rating is formed based on user reviews
Main info
Full name:
FAHRWEST LOGISTIC S.R.L.
Short name:
Fahrwest Logistics
Registration country:
Молдова
Company status:
не находится в процессе прекращения
Legal form:
SRL
Fiscal Code:
1022600012316
CUIIO:
41542196
Legal Form:
Общества с ограниченной ответственностью
Ownership Form:
Частная собственность
Location:
SEC.RISCANI
In Liquidation:
No
Registration
Registration number:
1022600012316
Tax number:
1022600012316
Registration date:
25 окт. 2024 (9 месяцев назад) / 22 компаний с той же датой
Activity
Company category:
Forwarder
Activity type:
Forwarder
CAEM Code:
H4941
Activity Type:
Прочая вспомогательная деятельность по транспортировке
Addresses
Legal address:
Kiev 16/1 Pan Com
Actual address:
Кишинёв, Kiev 16/1 Pan Com
Contact information
Email:
rapidexpres1@gmail.com
Phone:
37378897502
Website:
https://fahrwest.md
Accountant:
REPIDA OLGA
Accountant Phone:
79887866
Responsible Person:
REPIDA DMITRI
Report Data
Report Year:
2024
Report Period:
2024-01-01 — 2024-12-31
Report Type:
Full form
Report Status:
Approved
Audited:
Yes
Signed:
No
Declaration Date:
2025-05-30
Management and founders
Manager:
REPIDA DMITRI
Existence status
Status:
не находится в процессе прекращения
Year:
Balance Sheet
Inventories
13 083
alte mijloace fixe
13 083
Staff receivables
13 083
Total non-current assets
13 083
Long-term calculated liabilities
2 816 147
2 816 147
Other long-term liabilities
2 816 147
2 816 147
Total long-term liabilities
3 128 070
4 893 700
Budget receivables
67 961
224 089
Payables to employees
4 214 740
293 252
Social and medical insurance payables
13 086
12 967
Current deferred income
7 423 857
5 424 008
Cash
2 671 573
2 012 136
Total current assets
12 911 577
10 252 291
Total assets
12 911 577
10 265 374
Share capital
1 000
1 000
Total registered and unregistered capital
1 000
1 000
Retained earnings (uncovered loss) of previous years
1 790 100
Net profit (loss) for the reporting period
2 991 980
Profit utilized during the reporting period
-1 048 268
Total profit (loss)
1 790 100
1 943 712
Total equity
1 791 100
1 944 712
Short-term borrowings, total
2 863 702
2 503 702
other short-term borrowings
2 863 702
2 503 702
Current trade payables
3 573 094
5 654 626
Current advances received
4 552 294
71 011
Payables to employees
136
Social and medical insurance payables
17 640
21 210
Budget payables
87 378
55 720
Other current liabilities
26 369
14 257
Total current liabilities
11 120 477
8 320 662
Total liabilities and equity
12 911 577
10 265 374
Profit and Loss Statement
Sales revenue, total
5 149 248
5 016 298
revenue from services rendered and work performed
5 149 248
5 016 298
Gross profit (loss)
5 149 248
5 016 298
Other operating income
61 128
88 421
Distribution expenses
19 759
37 767
Administrative expenses
1 081 502
1 155 804
Other operating expenses
322 247
493 478
Operating result: profit (loss)
3 786 868
3 417 670
Financial income, total
397 044
320 244
din care: venituri din interese de participare
158
exchange rate difference income
397 044
320 086
Financial expenses, total
319 041
314 219
exchange rate and amount difference expenses
319 041
314 219
Result: financial profit (loss)
78 003
6 025
Result from other activities: profit (loss)
78 003
6 025
Profit (loss) before taxation
3 864 871
3 423 695
Income tax expense
464 174
431 715
Net profit (loss) for the reporting period
3 400 697
2 991 980
Statement of Changes in Equity
Share capital
1 000
1 000
Total registered and unregistered capital
1 000
1 000
Retained earnings (uncovered loss) of previous years
-1 790 100
1 790 100
Net profit (loss) for the reporting period
2 991 980
2 991 980
Profit utilized during the reporting period
-1 048 268
-1 048 268
Total profit (loss)
153 612
1 790 100
1 943 712
Total equity
153 612
1 791 100
1 944 712
Cash Flow Statement
Receipts from sales
46 320 761
43 577 573
Payments for inventories and services
39 721 594
38 819 636
Payments to employees and social/medical insurance bodies
603 592
654 855
Income tax paid
440 000
462 800
Other receipts
33 177
7 353
Other payments
988 202
1 281 622
Net cash flow from operating activities
4 600 550
2 366 013
Payments for loan and borrowing repayments
1 115 298
360 000
Other current assets
2 907 310
2 668 066
Net cash flow from financing activities
-4 022 608
-3 028 066
Total net cash flow
577 942
-662 053
Prior years adjustments
4 961
2 616
Cash balance at the beginning of the reporting period
2 088 670
2 671 573
Cash balance at the end of the reporting period
2 671 573
2 012 136
Abbreviated Balance Sheet
Profit (loss) before taxation
-220
TOTAL EQUITY
-220
Share and additional capital
220
TOTAL LONG-TERM LIABILITIES
220
Abbreviated Profit and Loss Statement
Administrative expenses
220
Operating result: profit (loss)
-220
Profit (loss) before taxation
-220
Net profit (loss) for the reporting period
-220