Virksomhedsform
Aktieselskab
Etableret
1987
Størrelse
Store
Ansatte
354
Omsætning
541 MDKK
Bruttofortj.
230 MDKK
Primært resultat (EBIT)
13 MDKK
Årets resultat
18 MDKK
Egenkapital
188 MDKK
annonce

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Rang Årets resultat

Rang i branche
15/364
"Top 10%"
Rang i Danmark
7.351/342.443
"Top 10%"

Direktion top 3

Anders Kold 11CEO
Torben Jensen 6Direktør

Bestyrelse top 3

Jan Vestergaard Olsen 8Bestyrelsesformand
Esben Kold 10Næstformand
Anders Kold 11Bestyrelsesmedlem

Legale ejere top 3

Tegningsregler

Selskabet tegnes af tre medlemmer af bestyrelsen i forening eller af to medlemmer af bestyrelsen i forening med en direktør eller af bestyrelsesformanden i forening med en direktør eller af to direktører i forening.

Stamoplysninger baseret på CVR

NavnMekoprint A/S
CVR10825598
AdresseHermesvej 2, 9530 Støvring
BrancheFremstilling af andre færdige metalprodukter i.a.n. [259900]
Etableret01-05-1987 (36 år)
Første regnskabsperiode01-05-1987 til 30-09-1988
VirksomhedsformAktieselskab
Antal ansatte419 (årsværk:353)
ReklamebeskyttelseNej
RevisorBeierholm, Statsautoriseret Revisionspartnerselskab siden 24-09-2010
Regnskabsperiode01-10 til 30-09
Selskabskapital5.000.000 DKK
1.000.000 DKK (14-03-1988 - 22-03-1993)
300.000 DKK (30-08-1987 - 13-03-1988)
Vedtægter seneste06-01-2022

Medlem af brancherne

Formål

Selskabets formål er at drive handel og fabrikation og anden i forbindelse hermed stående virksomhed

Regnskab

 202320222021
Valuta/enhed000' DKK000' DKK000' DKK
Omsætning
541.073
-7%
582.669
+26%
461.002
+12%
Bruttofortjeneste
229.993
-8%
249.383
+10%
226.904
+18%
Årets resultat
18.072
-50%
36.203
-1%
36.672
+162%
Egenkapital
187.753
+11%
168.867
+18%
143.049
+34%
Balance
488.383
+10%
442.673
+33%
333.418
+19%

Ledelsesberetning

Development in activities and financial affairs
Mekoprint is built on almost 70 years of experience and a unique combination of competences across
independent product teams dedicated to the products and people of our customers.

As a customer and collaboration partner at Mekoprint, you will find that we are keen to develop a mutually respectful and obligating way of working together. We go out of our way to make things better, and take pride in aligning expectations and common goals, so we can deliver on our promises.

We make sure to set the right team, which understands the needs of our customer. We never work according to our own agenda, but allow ourselves to challenge initial proposals with new or alternative solutions that contribute in a better way to the business development, operation and bottom line of our customers and partners.

The foundation is our improvement culture, which builds upon a unique team spirit with mutual respect for our differences and a long term development focus. This is supported by ambitious investments, expanded global presence and being a front-runner in the transition to a more sustainable future.

Complemented by increased digital processes and automation we strive to become even better at leading new ways - toward better business and a brighter future.

Mekoprint A/S increased its revenue by 5 % to DKK 761 million and generated a Profit after tax of DKK 18 million which is DKK 18 million lower than 2021/22. This translates to a drop in the Profit margin after tax from 5 % in 2021/22 to 2.4 % in 2022/23, which is primarily due to a general increase in the total cost of operation and costs related to lower market demand and organizational changes associated with this. The Profit level of 2022/23 is lower than budgeted and expected, but the financial performance is still satisfactory given the market conditions outside of our control.

Cash flows from operating activities for 2022/23 were positive at DKK 77 million compared to DKK 1 million in 2021/22. This increase in cash flow is primarily related to a significant decrease in stock levels and receivables across all Mekoprint business areas by DKK 19 million. Where in 2021/22 stock levels and receivables increased by total DKK 54 million. After investments and financing, the year’s total cash flows were positive at DKK 6 million in 2022/23 against a total cash flow of DKK 2 million in 2021/22.
12-01-2024

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