ACTIVE

TECHNORESINE (SRL)

Financial year 2025 · closed on 31/12/2025
Net result
10,8 k €
-70.7% YoY
Gross margin
401,1 k €
-27.1% YoY
Equity
131,1 k €
-57.8% YoY
Workforce
5,5 ETP
-36.8% YoY

What does TECHNORESINE do?

TECHNORESINE is a Private limited company incorporated in 1993. Its main activity is: Painting and glazing. Its registered office is in Waremme. It employs on average 5,5 ETP workers (FTE).

Legal situation
Normal situation
BCE/KBO no. / VAT
BE 0449.755.940
Incorporation
01/04/1993
Legal form
Private limited company
Registered office
Rue du Parc Industriel 39
4300 Waremme · WallonieSee on map
Contributed capital
18 300,00 €
Latest accounts
31/12/2025
Average workforce
5,5 ETP
Joint committees (2)
  • 124
  • 200
Signals
ProfitablePositive cashflowPositive EBITDAHealthy social debts
Health score
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✦ Verdict · Analyst summary
Financials

Trend over 18 financial years

202520232022202120192018201720162015201420132012201120102009200820072006
Income statement
Gross margin401,1 k €550,3 k €702,5 k €524,9 k €643,3 k €672 k €575,3 k €553,8 k €181,6 k €94,2 k €64,2 k €194,6 k €259,8 k €222,3 k €182,6 k €173,7 k €131,1 k €140,9 k €
EBITDA48,6 k €88,8 k €94,9 k €69,9 k €99,8 k €132,5 k €150,3 k €146,7 k €43 k €-7,2 k €14,4 k €2,7 k €18,7 k €24,9 k €14,2 k €24,3 k €19,2 k €23,2 k €
Operating result47,7 k €62,9 k €49,2 k €13,6 k €66,9 k €84 k €72,6 k €51,7 k €35,6 k €-12,1 k €3 k €-5 k €12,5 k €19,8 k €5,6 k €11,1 k €4,5 k €13 k €
Net result10,8 k €37 k €12,1 k €21,9 k €15,3 k €49,4 k €41,4 k €28,9 k €25,2 k €-14,6 k €1,8 k €-4,7 k €6,8 k €13,7 k €1,9 k €2 k €2 k €8,7 k €
Balance sheet
Equity131,1 k €310,7 k €274,8 k €283,1 k €219 k €203,7 k €154,4 k €112,9 k €84 k €58,8 k €73,4 k €71,6 k €76,3 k €71,8 k €58,1 k €56,2 k €54,2 k €52,2 k €
Total assets1,2 M €1,6 M €1,2 M €1,6 M €1,8 M €2 M €1,3 M €943 k €271,6 k €184,9 k €103,3 k €117,8 k €202,1 k €143,2 k €116,5 k €132,9 k €116,7 k €110,5 k €
Cash161,9 k €66,9 k €23,5 k €92,2 k €91,4 k €221 k €274,7 k €134,1 k €32,3 k €3,2 k €25,6 k €23 k €43,9 k €28,7 k €492,3 €26,8 k €30 k €32,1 k €
Debts1 M €1,2 M €950,2 k €1,3 M €1,6 M €1,8 M €1,2 M €829,6 k €187,6 k €125,4 k €29,4 k €46,2 k €124,5 k €71,4 k €58,4 k €76,7 k €61,4 k €57,4 k €
Other
Workforce5,5 ETP8,7 ETP9,1 ETP9,1 ETP11,8 ETP13,4 ETP12,0 ETP7,4 ETP5,3 ETP2,0 ETP8,6 ETP8,6 ETP7,5 ETP7,4 ETP4,8 ETP4,3 ETP4,8 ETP
Estimate

Indicative valuation

As an indication, this company is worth

between 250 k€ and 500 k€
See the valuation
Governance

Board of directors

Seen on filing of 31/12/2025 · 1 active · 6 ended

Active mandates

CCL GROUP

Director · since 16 janvier 2018 · 0687.990.613

Represented by LONGLE CHRISTOPHE

Active

Ended mandates

CCL GROUP

Manager · since 16 janvier 2018 · 0687.990.613

Represented by Christophe LONGLE

Ended
Christophe LONGLE

Manager · since 31 mars 2014 · until 15 janvier 2018

Ended
Christophe LONGLE

Manager · since 31 mars 2014

Ended
Jean-Yves MARSIAT

Manager · since 24 novembre 2010 · until 31 mars 2014

Ended
At this address

Other companies at this address

CompanyCBE no.
CCL GROUPActive
0687.990.613
CONCEPT COLORActive
0478.624.328
0790.164.077
CT ECHAFActive
0727.570.769
Annual accounts

Full financial information

202520242023202220212020
Type of accountAbridged modelAbridged modelAbridged modelAbridged modelAbridged modelAbridged model
Start of the financial year01/01/202501/01/202401/01/202301/01/202201/01/202101/01/2020
Closing of the financial year31/12/202531/12/202431/12/202331/12/202231/12/202131/12/2020
Length of the financial year12 months12 months12 months12 months12 months12 months
Filing date18/08/202629/08/202530/08/202419/09/202304/08/202226/08/2021
General meeting27/06/202629/08/202520/08/202419/09/202330/06/202222/08/2021
Currency of the financial yearEUREUREUREUREUREUR
NBB quality labelSatisfying controlsSatisfying controlsSatisfying controlsSatisfying controlsSatisfying controlsSatisfying controls
Ratios

Financial ratios

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Filings

Annual accounts filings

20 filings with the NBB

ModelClosingGeneral meetingFiledLanguageDocument
Abridged model31/12/202527/06/202618/08/2026FrenchPDF
Abridged model31/12/202429/08/202529/08/2025FrenchPDF
Abridged model31/12/202320/08/202430/08/2024FrenchPDF
Abridged model31/12/202219/09/202319/09/2023FrenchPDF
Abridged model31/12/202130/06/202204/08/2022FrenchPDF
Abridged model31/12/202022/08/202126/08/2021FrenchPDF
Abridged model31/12/201907/09/202025/09/2020FrenchPDF
Abridged model31/12/201803/07/201930/08/2019FrenchPDF
Abridged model31/12/201704/06/201808/06/2018FrenchPDF
Micro model31/12/201617/05/201728/08/2017FrenchPDF
Abridged model31/12/201518/05/201630/08/2016FrenchPDF
Abridged model31/12/201420/05/201530/09/2015FrenchPDF
Abridged model31/12/201302/05/201429/08/2014FrenchPDF
Abridged model31/12/201203/05/201326/07/2013FrenchPDF
Abridged model31/12/201104/05/201212/07/2012FrenchPDF
Abridged model31/12/201006/05/201130/06/2011FrenchPDF
Abridged model31/12/200907/05/201001/07/2010FrenchPDF
Abridged model31/12/200808/05/200901/07/2009FrenchPDF
Abridged model31/12/200709/05/200816/06/2008FrenchPDF
Abridged model31/12/200611/05/200730/05/2007FrenchPDF
Estimate

Indicative valuation

Order of magnitude

As an indication, this company is worth

between 250 k€ and 500 k€

The detail comes with the Business plan: low and high bounds, the valuation bridge for each financial year, transaction multiples by sector and size, group valuation and exports.

Discover the Business plan
Disclaimer

Indicative estimate based on public sector multiples and the filed annual accounts. It is neither a certified valuation nor financial or investment advice.

Governance

Board of directors

Seen on filing of 31/12/2025 · 1 active · 6 ended

Active mandates

CCL GROUP

Director · since 16 janvier 2018 · 0687.990.613

Represented by LONGLE CHRISTOPHE

Active

Ended mandates

CCL GROUP

Manager · since 16 janvier 2018 · 0687.990.613

Represented by Christophe LONGLE

Ended
Christophe LONGLE

Manager · since 31 mars 2014 · until 15 janvier 2018

Ended
Christophe LONGLE

Manager · since 31 mars 2014

Ended
Jean-Yves MARSIAT

Manager · since 24 novembre 2010 · until 31 mars 2014

Ended
Shareholders

Ownership and network

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Belgian Official Gazette

Belgian Official Gazette publications

  • Restructuring24/01/2025
    CAPITAL, ACTIONS - STATUTS (TRADUCTION, COORDINATION, AUTRES MODIFICATIONS, …) - RUBRIQUE RESTRUCTURATION (FUSION, SCISSION, TRANSFERT PATRIMOINE, ETC...)
    PDF
  • Restructuring31/10/2024
    RUBRIQUE RESTRUCTURATION (FUSION, SCISSION, TRANSFERT PATRIMOINE, ETC...)
    PDF
  • Mandates03/08/2018
    SIEGE SOCIAL - DEMISSIONS, NOMINATIONS
    PDF
  • Registered office15/09/2017
    SIEGE SOCIAL
    PDF
  • Mandates11/04/2014
    SIEGE SOCIAL - DEMISSIONS, NOMINATIONS
    PDF
  • Mandates15/12/2010
    DEMISSIONS, NOMINATIONS
    PDF
  • Other26/08/2009
    OBJET
    PDF
  • Capital / shares26/10/2005
    CAPITAL, ACTIONS - ASSEMBLEE GENERALE - STATUTS (TRADUCTION, COORDINATION, AUTRES MODIFICATIONS, …)
    PDF

Source: Belgian Official Gazette

Competition

Similar companies

A company's peers, by sector and size, are included in the Business plan.

See the Business plan

Timeline

  1. 2025
    Annual accounts 202510,8 k €
  2. 2023
    Annual accounts 202337 k €
  3. 2022
    Annual accounts 202212,1 k €
  4. 2021
    Annual accounts 202121,9 k €
  5. 2019
    Annual accounts 201915,3 k €
  6. 2018
    Annual accounts 201849,4 k €
  7. 2017
    Annual accounts 201741,4 k €
  8. 2016
    Annual accounts 201628,9 k €
  9. 2015
    Annual accounts 201525,2 k €
  10. 2014
    Annual accounts 2014-14,6 k €
  11. 2013
    Annual accounts 20131,8 k €
  12. 2012
    Annual accounts 2012-4,7 k €
  13. 2011
    Annual accounts 20116,8 k €
  14. 2010
    Annual accounts 201013,7 k €
  15. 2009
    Annual accounts 20091,9 k €
  16. 2008
    Annual accounts 20082 k €
  17. 2007
    Annual accounts 20072 k €
  18. 2006
    Annual accounts 20068,7 k €
  19. 01/04/1993
    IncorporationPrivate limited company