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Batipro Matériaux (0418.677.041) — Belgian company profile — Rovalta
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2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 Revenue 74,9 M € +5.3%71,2 M € +7.2%66,4 M € +34.5%49,4 M € +47.8%33,4 M € +22.7%27,2 M € +5.8%25,7 M € +7.9%23,8 M € +5.6%22,6 M € +4.6%21,6 M € +4.1%20,7 M € +15.3%18,0 M € -5.3%19,0 M € -11.1%21,3 M € +2.7%20,8 M € +12.5%18,5 M € -0.6%18,6 M € -3.4%19,3 M € +4.7%18,4 M € +8.6%16,9 M € EBITDA 3,9 M € +44.4%2,7 M € +41.0%1,9 M € -37.0%3,1 M € +180.3%1,1 M € -29.0%1,5 M € +24.1%1,2 M € +121.9%557,0 k € -40.7%938,9 k € -26.4%1,3 M € +45.0%879,9 k € +93.7%454,2 k € +73.5%261,8 k € -33.6%394,5 k € -40.7%665,3 k € -9.1%732,2 k € -13.8%849,6 k € -3.6%881,0 k € +10.3%799,1 k € +35.6%589,5 k € Operating profit 48,0 k € +105.9%-817,7 k € +33.0%-1,2 M € -174.8%1,6 M € +245.3%472,2 k € -64.2%1,3 M € +54.1%855,1 k € +71.3%499,1 k € +22.5%407,3 k € -55.3%911,4 k € +61.9%562,9 k € +129.3%245,5 k € +633.8%-46,0 k € -123.1%198,8 k € -55.3%445,0 k € -12.9%510,8 k € -9.9%567,2 k € -11.5%640,9 k € +17.4%545,8 k € +77.6%307,3 k € Profit/loss 114,3 k € -63.7%314,6 k € +127.7%-1,1 M € -130.2%3,8 M € -63.9%10,4 M € +739.4%1,2 M € +59.5%775,9 k € +57.0%494,1 k € +33.1%371,3 k € -48.1%715,9 k € +51.7%471,8 k € +126.5%208,3 k € +173.1%-284,9 k € -681.6%49,0 k € -78.3%225,9 k € -24.5%299,3 k € -8.8%328,1 k € -10.9%368,1 k € +69.1%217,7 k € +22.3%178,0 k € Equity 20,1 M € +0.5%20,0 M € +1.6%19,7 M € -5.4%20,9 M € +21.9%17,1 M € +154.6%6,7 M € +22.4%5,5 M € +16.3%4,7 M € +10.7%4,3 M € +9.2%3,9 M € +22.0%3,2 M € +16.8%2,7 M € +7.7%2,5 M € -10.5%2,8 M € -0.4%2,9 M € +5.7%2,7 M € +2.4%2,6 M € +2.6%2,6 M € +14.1%2,2 M € +9.5%2,1 M € Total assets 58,6 M € +1.9%57,5 M € +3.2%55,7 M € +8.1%51,5 M € +12.3%45,9 M € +325.1%10,8 M € +6.9%10,1 M € +9.0%9,3 M € +7.9%8,6 M € -4.5%9,0 M € +1.9%8,8 M € -1.7%9,0 M € +5.8%8,5 M € -13.3%9,8 M € +0.7%9,7 M € +10.3%8,8 M € +2.7%8,6 M € +1.6%8,4 M € +2.1%8,3 M € -22.4%10,7 M € Cash 2,3 M € +81.6%1,3 M € -23.5%1,7 M € -5.3%1,7 M € +52.1%1,1 M € -34.1%1,7 M € +73.8%1,0 M € +28.2%782,3 k € +33.1%587,8 k € -56.8%1,4 M € +80.8%753,1 k € -0.5%756,6 k € +20.7%627,0 k € +98.0%316,7 k € -19.1%391,2 k € +99.4%196,2 k € -14.1%228,5 k € +24.0%184,2 k € +38.9%132,7 k € -12.1%151,0 k € Debts 38,3 M € +2.2%37,4 M € +4.1%36,0 M € +17.3%30,6 M € +6.6%28,7 M € +628.5%3,9 M € -9.9%4,4 M € +4.5%4,2 M € +2.6%4,1 M € -17.4%4,9 M € -9.5%5,5 M € -11.6%6,2 M € +5.0%5,9 M € -14.6%6,9 M € +1.1%6,8 M € +12.4%6,1 M € +2.8%5,9 M € +1.4%5,8 M € -2.6%6,0 M € -11.7%6,8 M € Staff 84 84,2 78 50 32 29,2 28,6 28,2 26,2 24,8 24,8 22,2 25 23,9 24,3 22,8 23,1 24,6 24 22,9
Belgian Official Gazette publications Belgian Official Gazette publications View the 28 publications
Name history Batipro Matériaux 2020–2025 KROELL 2006–2019 Competition
Similar companies Other companies at this address Other companies at this address ACTIVEBCE 0418.677.041 Public limited company Full model NBB ✓
BM
Batipro Matériaux Public limited company · Arlon · incorporated on 09/09/1978 · 84,0 ETP
Equity
20,1 M €
solvency 34,3 %
Workforce
84,0 ETP
-0.2% YoY
Health score
Z-Score 3.1
NSSO & social debts 9,8 % Recommended credit limit€ 1.30M
Maximum recommended credit amount, based on solvency, liquidity and profitability.
Available with a free account ✦ Verdict · Analyst summaryPublic limited company profitable and well capitalised . Cash position rising (+81.6%).
Recommendation
Solid counterparty for a standard engagement.
Financial overview
Financial year 2025 Frequently asked questionsWhat is the VAT number of Batipro Matériaux?
Where is Batipro Matériaux located?
What type of company is Batipro Matériaux?
When was Batipro Matériaux founded?
What profit did Batipro Matériaux make in 2025?
How much debt did Batipro Matériaux have in 2025?
What does Batipro Matériaux do? Batipro Matériaux is a Public limited company incorporated in 1978. Its main activity is: Wholesale of wood, construction materials and sanitary equipment. Its registered office is in Arlon. It employs on average 84,0 ETP workers (FTE).
Legal situation
● Normal situation
BCE/KBO no. / VAT
BE 0418.677.041
Legal form
Public limited company
Registered office
Rue Pietro-Ferrero 8
6700 Arlon · Wallonie
See on mapContribution (capital)
1 550 000,00 €
Accounts model
Full model · French
Latest accounts
31/12/2025
Average workforce
84,0 ETP
Signals
Profitable Solid equity Positive cashflow Positive EBITDA Healthy social debts High revenue
Annual accountsFinancial health ratios Key indicators
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Timeline 2025
Annual accounts 2025 114,3 k €↓
11/07/2025
reconduction Valérie Piton — commissaire aux comptes
31/03/2025
unknown Claude WAGNER — administrateur
2024
Annual accounts 2024 314,6 k €↑
04/11/2024
demission Walter GILLET — Administrateur
04/11/2024
nomination Didier ABINET — Administrateur
25/10/2024
Reappointment Valérie Piton · commissaire aux comptes
11/07/2025 Unspecified Claude WAGNER · administrateur
31/03/2025 Appointment Didier ABINET · Administrateur
04/11/2024 Resignation Walter GILLET · Administrateur
04/11/2024 Resignation Patrice BAUDOIN · Administrateur
25/10/2024 Appointment Patrice Baudoin · Administrateur
16/06/2023 View the 8 publicationsMandates 08/08/2025
DEMISSIONS, NOMINATIONS PDF Restructuring 14/04/2025
DEMISSIONS, NOMINATIONS - RUBRIQUE RESTRUCTURATION (FUSION, SCISSION, TRANSFERT PATRIMOINE, ETC...) PDF Source: Belgian Official Gazette
demission Patrice BAUDOIN — Administrateur
2023
Annual accounts 2023 -1,1 M €↓
16/06/2023
nomination Patrice Baudoin — Administrateur
2022
Annual accounts 2022 3,8 M €↓
17/06/2022
nomination Valérie Piton — commissaire aux comptes
2021
Annual accounts 2021 10,4 M €↑
2020
Annual accounts 2020 1,2 M €↑
2020
Name change Batipro Matériaux
2019
Annual accounts 2019 775,9 k €↑
2018
Annual accounts 2018 494,1 k €↑
2017
Annual accounts 2017 371,3 k €↓
2016
Annual accounts 2016 715,9 k €↑
2015
Annual accounts 2015 471,8 k €↑
2014
Annual accounts 2014 208,3 k €↑
2013
Annual accounts 2013 -284,9 k €↓
2012
Annual accounts 2012 49,0 k €↓
2011
Annual accounts 2011 225,9 k €↓
2010
Annual accounts 2010 299,3 k €↓
2009
Annual accounts 2009 328,1 k €↓
2008
Annual accounts 2008 368,1 k €↑
2007
Annual accounts 2007 217,7 k €↑
2006
Annual accounts 2006 178,0 k €
09/09/1978
Incorporation Public limited company
RUBRIQUE RESTRUCTURATION (FUSION, SCISSION, TRANSFERT PATRIMOINE, ETC...)
Mandates 11/09/2023
DEMISSIONS, NOMINATIONS PDF Restructuring 07/02/2023
OBJET - CAPITAL, ACTIONS - RUBRIQUE RESTRUCTURATION (FUSION, SCISSION, TRANSFERT PATRIMOINE, ETC...) PDF Restructuring 12/12/2022
RUBRIQUE RESTRUCTURATION (FUSION, SCISSION, TRANSFERT PATRIMOINE, ETC...) PDF Restructuring 04/11/2022
CAPITAL, ACTIONS - RUBRIQUE RESTRUCTURATION (FUSION, SCISSION, TRANSFERT PATRIMOINE, ETC...) PDF Mandates 16/09/2022
DEMISSIONS, NOMINATIONS PDF