Not provided
B
BKCS
Active companySociété à responsabilité limitéeBE 0832.240.501
B
Product universe
96.910 · Activités d’offre de services domestiques aux personnes
96.910 · Activités d’offre de services domestiques aux personnes
Identity, activity, filings and a two-year financial snapshot — like the public profile.
Company summary
Not provided
Gross margin 2024
—
—
Net result 2024
576.2 k€
Positive result
Headcount
500-999
Microstructure
Establishments
15
14 municipalities
Activities and NACE codes
Every code, not only the principal activity.
Legal publications
Official sources, with a link to the detail.
Belgian Official Gazette — eJustice
Deeds, articles, appointments
Open
Central Balance Sheet Office — NBB
Financial analysis and latest accounts
Open
Establishments
Operating sites · 15
Open
Social security
NSSO size band and employer file
Map and locations
Registered office and establishments.
Establishment list
HQ · HerenthoutBouwelse Steenweg 80 2270 Herenthout · 2013-05-01
WesterloGrote Markt 12 2260 Westerlo · 2014-02-01
HerentalsGrote Markt(HRT) 7 2200 Herentals · 2014-04-01
BeerseGasthuisstraat 26 2340 Beerse · 2014-05-10
MolMarkt 47 2400 Mol · 2014-07-01
Heist-op-den-BergDorpsstraat 100 bte A 2221 Heist-op-den-Berg · 2024-01-01
AarschotLeuvensesteenweg 114 3200 Aarschot · 2024-01-01
DentergemMarkegemstraat(Wak) 114 8720 Dentergem · 2025-07-01
Tongeren-BorgloonGrote Markt 45 bte 1 3700 Tongeren-Borgloon · 2025-07-01
HasseltHerkenrodesingel 8D bte 2.01 3500 Hasselt · 2025-07-01
RoeselareKwadestraat 149/0.1 8800 Roeselare · 2025-07-01
Tongeren-BorgloonNeremveld 19 3840 Tongeren-Borgloon · 2025-07-01
GentKortrijksesteenweg 262 9000 Gent · 2025-07-01
AntwerpenBredabaan 414 2170 Antwerpen · 2025-07-01
KortrijkMaandagweg(Kor) 31 8500 Kortrijk · 2025-07-01
HQ Sites 15 · 14 municipalities
Source BCE / KBO
Financial analysis
Ratios, structures, last two years and commentary.
Total assets3586.5 k€+86 %
Equity230.6 k€+49 %
Liabilities3355.9 k€+89 %
Cash11.3 k€+45 %
Solvency6 %-25 %
Liquidity0.87-18 %
ROE2 %0 %
Customer payment term18 d-45 %
Last two years
| 2024 | 2023 | Trend | |
|---|---|---|---|
| Gross margin | — | — | — |
| Net result | 576.2 k€ | 305.9 k€ | +88 % |
| Total assets | 3586.5 k€ | 1926.2 k€ | +86 % |
| Equity | 230.6 k€ | 154.4 k€ | +49 % |
Team and key contacts
Contacts extracted from the annual accounts.
Products, what the company does, opportunities, events and key people.
What the company does
Offers, origin and prospecting angles.
Not provided
Not provided
Not provided
Visuals
Logo, products and brand world.
Team and key contacts
Contacts extracted from the annual accounts.
Headcount, workplaces, social balance and people you would meet.
Candidate reading
What a candidate can already see before applying.
Workplaces
Registered office and establishments.
Establishment list
HQ · HerenthoutBouwelse Steenweg 80 2270 Herenthout · 2013-05-01
WesterloGrote Markt 12 2260 Westerlo · 2014-02-01
HerentalsGrote Markt(HRT) 7 2200 Herentals · 2014-04-01
BeerseGasthuisstraat 26 2340 Beerse · 2014-05-10
MolMarkt 47 2400 Mol · 2014-07-01
Heist-op-den-BergDorpsstraat 100 bte A 2221 Heist-op-den-Berg · 2024-01-01
AarschotLeuvensesteenweg 114 3200 Aarschot · 2024-01-01
DentergemMarkegemstraat(Wak) 114 8720 Dentergem · 2025-07-01
Tongeren-BorgloonGrote Markt 45 bte 1 3700 Tongeren-Borgloon · 2025-07-01
HasseltHerkenrodesingel 8D bte 2.01 3500 Hasselt · 2025-07-01
RoeselareKwadestraat 149/0.1 8800 Roeselare · 2025-07-01
Tongeren-BorgloonNeremveld 19 3840 Tongeren-Borgloon · 2025-07-01
GentKortrijksesteenweg 262 9000 Gent · 2025-07-01
AntwerpenBredabaan 414 2170 Antwerpen · 2025-07-01
KortrijkMaandagweg(Kor) 31 8500 Kortrijk · 2025-07-01
HQ Sites 15 · 14 municipalities
Source BCE / KBO
Team and key contacts
Contacts extracted from the annual accounts.
Structure, ratios and multi-year analysis.
Financial analysis
Ratios, structures, last two years and commentary.
Total assets3586.5 k€+86 %
Equity230.6 k€+49 %
Liabilities3355.9 k€+89 %
Cash11.3 k€+45 %
Solvency6 %-25 %
Liquidity0.87-18 %
ROE2 %0 %
Customer payment term18 d-45 %
Last two years
| 2024 | 2023 | Trend | |
|---|---|---|---|
| Gross margin | — | — | — |
| Net result | 576.2 k€ | 305.9 k€ | +88 % |
| Total assets | 3586.5 k€ | 1926.2 k€ | +86 % |
| Equity | 230.6 k€ | 154.4 k€ | +49 % |
Financial analysis
Contacts, website, LinkedIn, visuals
