P

PAMUS

Active companySociété à responsabilité limitéeBE 0771.381.810
Registered officeCharleroi
Founded2021
Headcount1-4 people
Locations1 establishments
P
Product universe
46.180 · Activités d’intermédiaire spécialisé dans le commerce de gros d’autres produits spécifiques

Full profile available
Digital identity, team, product visuals and detailed analysis are in the complete view.

Request the full view

Identity, activity, filings and a two-year financial snapshot — like the public profile.

Company summary

Not provided

Gross margin 2024
64.8 k€
+267 % year on year
Net result 2024
27.3 k€
Positive result
Headcount
1-4
Microstructure
Establishments
1
1 municipalities

Activities and NACE codes

Every code, not only the principal activity.
All NACE codes
Activités d’intermédiaire spécialisé dans le commerce de gros d’autres produits spécifiques (46180)Autres travaux d’installation (43240)Autres activités de service informatique (62900)Études de marché et sondages (73200)Construction d'ouvrages de génie civil pour l'électricité et les télécommunications (42220)Commerce de détail d'autres véhicules automobiles (> 3,5 tonnes) (47812)Commerce de détail de voitures et de véhicules automobiles légers (<= 3,5 tonnes) (47811)Activités de design graphique et de communication visuelle (74120)Activités de conseil en informatique et de gestion d’installations informatiques (62200)Activités de design graphique (74103)Commerce de détail d'automobiles et d'autres véhicules automobiles légers ( = 3,5 tonnes ) (45113)Autres activités informatiques (62090)Conseil informatique (62020)Autres travaux d'installation n.c.a. (43299)Commerce de détail d'autres véhicules automobiles ( > 3,5 tonnes ) (45193)

Legal publications

Official sources, with a link to the detail.

Map and locations

Registered office and establishments.

Establishment list

HQ · CharleroiChaussée Impériale 12 bte A 6060 Charleroi · 2021-07-14
HQ Sites 1 · 1 municipalities

Source BCE / KBO

Financial analysis

Ratios, structures, last two years and commentary.
Financial year 2024
Total assets104.3 k€+561 %
Equity39.4 k€+226 %
Liabilities64.9 k€+1668 %
Cash2.0 k€-51 %
Solvency38 %-51 %
Liquidity1.51-40 %
ROE69 %+44 %
Customer payment term508 d+7157 %

Last two years

20242023Trend
Gross margin64.8 k€17.6 k€+267 %
Net result27.3 k€5.9 k€+366 %
Total assets104.3 k€15.8 k€+561 %
Equity39.4 k€12.1 k€+226 %

Team and key contacts

Contacts extracted from the annual accounts.

Full profile available
Digital identity, team, product visuals and detailed analysis are in the complete view.

Request the full view

Products, what the company does, opportunities, events and key people.

What the company does

Offers, origin and prospecting angles.
Purpose

Not provided

Origin

Not provided

Founders

Not provided

Flagship offers

Not provided

Full profile available
Digital identity, team, product visuals and detailed analysis are in the complete view.

Request the full view

Visuals

Logo, products and brand world.

Full profile available
Digital identity, team, product visuals and detailed analysis are in the complete view.

Request the full view

Team and key contacts

Contacts extracted from the annual accounts.

Full profile available
Digital identity, team, product visuals and detailed analysis are in the complete view.

Request the full view

Headcount, workplaces, social balance and people you would meet.

Candidate reading

What a candidate can already see before applying.

Full profile available
Digital identity, team, product visuals and detailed analysis are in the complete view.

Request the full view

Workplaces

Registered office and establishments.

Establishment list

HQ · CharleroiChaussée Impériale 12 bte A 6060 Charleroi · 2021-07-14
HQ Sites 1 · 1 municipalities

Source BCE / KBO

Team and key contacts

Contacts extracted from the annual accounts.

Full profile available
Digital identity, team, product visuals and detailed analysis are in the complete view.

Request the full view

Structure, ratios and multi-year analysis.

Financial analysis

Ratios, structures, last two years and commentary.
Financial year 2024
Total assets104.3 k€+561 %
Equity39.4 k€+226 %
Liabilities64.9 k€+1668 %
Cash2.0 k€-51 %
Solvency38 %-51 %
Liquidity1.51-40 %
ROE69 %+44 %
Customer payment term508 d+7157 %

Last two years

20242023Trend
Gross margin64.8 k€17.6 k€+267 %
Net result27.3 k€5.9 k€+366 %
Total assets104.3 k€15.8 k€+561 %
Equity39.4 k€12.1 k€+226 %

Financial analysis

Contacts, website, LinkedIn, visuals

Full profile available
Digital identity, team, product visuals and detailed analysis are in the complete view.

Request the full view