Chaussée de Liège(JB) 538, 5100 Namur
MERVEILLE-TERWAGNE, Bureau de géomètres-experts immobiliers SPRL
71.122 · Activités des géomètres-experts
Identity, activity, filings and a two-year financial snapshot — like the public profile.
Company summary
Not provided
Activities and NACE codes
Visuals
Legal publications
Map and locations
Establishment list
No establishment matches.
Source BCE / KBO
Financial analysis
Last two years
| 2024 | 2023 | Trend | |
|---|---|---|---|
| Gross margin | 1.2 k€ | -369 € | +432 % |
| Net result | -7.6 k€ | -29.8 k€ | +74 % |
| Equity | -158.8 k€ | -151.2 k€ | -5 % |
| Liabilities | 249.0 k€ | 243.9 k€ | +2 % |
| Cash | 3.7 k€ | 1.4 k€ | +165 % |
Team and key contacts
Products, what the company does, opportunities, events and key people.
What the company does
Not provided
Not provided
Not provided
71.122 · Activités des géomètres-experts
Not provided
Visuals
Contact details
Team
Events
Headcount, workplaces, social balance and people you would meet.
For candidates
Jobs found
No jobs found at the moment
Employer
1979
1 establishments
Headcount trend
No multi-year FTE series yet.
Male / female split
No male / female split published for this year.
Full-time / part-time split
No full-time / part-time split extracted for this year.
Management / employees / workers / other
No occupational-category split extracted for this year.
Not extracted from the social balance. Published FTE is this company’s registered staff, not people placed on assignment.
Workplaces
Establishment list
Chaussée de Liège(JB) 538, 5100 Namur
Activities at this site
1No establishment matches.
Source BCE / KBO
Jobs
Contacts
Not yet extracted from job files.
No careers page or internal opening identified yet.
Client assignments
Contacts
Not yet extracted from job files.
No openings published at the moment.
Structure, ratios and multi-year analysis.
Financial analysis
Last two years
| 2024 | 2023 | Trend | |
|---|---|---|---|
| Gross margin | 1.2 k€ | -369 € | +432 % |
| Net result | -7.6 k€ | -29.8 k€ | +74 % |
| Equity | -158.8 k€ | -151.2 k€ | -5 % |
| Liabilities | 249.0 k€ | 243.9 k€ | +2 % |
| Cash | 3.7 k€ | 1.4 k€ | +165 % |
