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CONSTRUCTEL BELGIUM (0867.831.185) — Belgian company profile — Rovalta
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Frequently asked questions Key figures
Financial data Table Chart
2025 2024 2023 2022 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 Revenue 99,9 M € -5.1%105,3 M € +55.7%67,6 M € +26.9%53,3 M € +705.0%6,6 M € -7.6%7,2 M € +0.6%7,1 M € +3.2%6,9 M € -8.8%7,6 M € -4.6%7,9 M € — — — — — — — — — Gross margin — — — — — — — — — 4,8 M € +13.3%4,2 M € +12.2%3,7 M € +8.2%3,5 M € +79.8%1,9 M € +1.6%1,9 M € +8.3%1,7 M € +103.6%858,9 k € +11.2%772,4 k € +58.4%487,6 k € EBITDA 13,0 M € +10.2%11,8 M € +62.4%7,2 M € +22.3%5,9 M € +636.3%803,0 k € +40.1%573,3 k € +28.5%446,2 k € -40.1%744,3 k € +18.1%630,5 k € +7.8%585,1 k € +65.1%354,5 k € +47.4%240,5 k € -1.2%243,5 k € -27.5%336,0 k € -22.4%433,1 k € -25.0%577,2 k € +107.8%277,8 k € +47.3%188,6 k € +17.5%160,5 k € Operating profit 11,4 M € +12.3%10,2 M € +58.6%6,4 M € +20.3%5,3 M € +874.4%546,3 k € +99.1%274,3 k € +86.0%147,5 k € -72.5%535,7 k € +26.1%424,7 k € -3.3%439,4 k € +81.9%241,5 k € +89.8%127,2 k € -12.9%146,1 k € -49.5%289,7 k € -25.4%388,5 k € -7.7%421,0 k € +233.2%126,3 k € +223.1%39,1 k € +154.3%15,4 k € Profit/loss 20,1 M € +196.8%6,8 M € +48.3%4,6 M € +21.0%3,8 M € +1098.1%314,5 k € +133.7%134,6 k € +314.0%32,5 k € -87.5%259,1 k € +40.0%185,0 k € -15.0%217,6 k € +160.7%83,5 k € +107.0%40,3 k € -8.1%43,9 k € -78.7%206,4 k € -19.2%255,5 k € +7.3%238,1 k € +293.8%60,5 k € +43.7%42,1 k € +267.4%11,4 k € Equity 29,4 M € -6.2%31,4 M € +146.1%12,8 M € +55.6%8,2 M € +276.0%2,2 M € +16.9%1,9 M € +7.8%1,7 M € +1.9%1,7 M € +18.0%1,4 M € +14.8%1,3 M € +21.0%1,0 M € +8.8%953,3 k € +4.4%913,0 k € +5.0%869,1 k € +31.1%662,7 k € +62.8%407,2 k € +140.8%169,1 k € +55.6%108,6 k € +63.2%66,6 k € Total assets 71,2 M € +36.3%52,3 M € +71.3%30,5 M € -3.8%31,7 M € +551.1%4,9 M € +14.1%4,3 M € +4.8%4,1 M € +2.8%4,0 M € +9.0%3,6 M € -22.6%4,7 M € +30.0%3,6 M € +13.3%3,2 M € +43.2%2,2 M € +22.0%1,8 M € +39.2%1,3 M € +5.1%1,2 M € -4.4%1,3 M € -27.9%1,8 M € -17.0%2,2 M € Cash 6,7 M € -23.5%8,8 M € +106.9%4,3 M € -3.5%4,4 M € +1176.8%345,4 k € -8.3%376,7 k € +166.3%141,4 k € +28.0%110,5 k € -77.6%493,6 k € -46.6%923,7 k € +22.3%755,5 k € +798.0%84,1 k € +54.2%54,6 k € -66.1%161,1 k € -58.0%383,3 k € +50.3%255,1 k € -37.9%410,8 k € +30.2%315,5 k € +66.4%189,5 k € Debts 41,0 M € +106.6%19,8 M € +22.2%16,2 M € +34.8%12,0 M € +348.7%2,7 M € +11.8%2,4 M € +3.0%2,3 M € +4.9%2,2 M € +4.0%2,1 M € -29.7%3,0 M € +34.9%2,3 M € +14.3%2,0 M € +63.5%1,2 M € +70.8%706,4 k € +35.1%523,0 k € -37.0%829,5 k € -26.6%1,1 M € -33.1%1,7 M € -13.4%1,9 M € Staff 229 199,1 170 131,4 77,1 98 105,4 97,5 100 95,1 86,5 87,7 57 41,8 44 33,3 14,5 14,9 9,9
Belgian Official Gazette publications Belgian Official Gazette publications View the 22 publications Competition
Similar companies ACTIVEBCE 0867.831.185 Public limited company Full model NBB ✓
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CONSTRUCTEL BELGIUM Public limited company · Mons · incorporated on 14/10/2004 · 229,0 ETP
Equity
29,4 M €
solvency 41,3 %
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 declining (-23.5%).
Recommendation
Solid counterparty for a standard engagement.
Financial overview
Financial year 2025 Frequently asked questionsWhat is the VAT number of CONSTRUCTEL BELGIUM?
Where is CONSTRUCTEL BELGIUM located?
What type of company is CONSTRUCTEL BELGIUM?
When was CONSTRUCTEL BELGIUM founded?
What profit did CONSTRUCTEL BELGIUM make in 2025?
How much debt did CONSTRUCTEL BELGIUM have in 2025?
What does CONSTRUCTEL BELGIUM do? CONSTRUCTEL BELGIUM is a Public limited company incorporated in 2004. Its main activity is: Construction of utility projects for electricity and telecommunications. Its registered office is in Mons. It employs on average 229,0 ETP workers (FTE).
Legal situation
● Normal situation
BCE/KBO no. / VAT
BE 0867.831.185
Legal form
Public limited company
Registered office
Rue des Sandrinettes 31
7033 Mons · Wallonie
See on mapContribution (capital)
269 600,00 €
Accounts model
Full model · French
Latest accounts
31/12/2025
Average workforce
229,0 ETP
Signals
Profitable Solid equity Low risk Good liquidity Positive cashflow Positive EBITDA Healthy social debts High revenue
Annual accountsFinancial health ratios Key indicators
Looking for more information about this company? Check its health at a glance Choose quick info or granular detail Get updates on important developments 7-day free trial, no credit card required.
Looking for more information about this company? Check its health at a glance Choose quick info or granular detail Get updates on important developments 7-day free trial, no credit card required.
Looking for more information about this company? Check its health at a glance Choose quick info or granular detail Get updates on important developments 7-day free trial, no credit card required.
Timeline 2025
Annual accounts 2025 20,1 M €↑
2024
Annual accounts 2024 6,8 M €↑
31/07/2024
augmentation_capital
31/07/2024
augmentation_capital
2023
Annual accounts 2023 4,6 M €↑
12/12/2023
reconduction Mazars Réviseurs d'Entreprises — Bedrijfsrevisoren SRL — Commissaire
26/04/2023
Capital increase —
31/07/2024 Capital increase —
31/07/2024 Reappointment Mazars Réviseurs d'Entreprises — Bedrijfsrevisoren SRL · Commissaire
12/12/2023 Reappointment António José Monteiro Borges · administrateur
26/04/2023 Reappointment Luis Monteiro Marques · administrateur
26/04/2023 Reappointment António Carlos Ferreira Rocha Perpétua · administrateur
29/04/2021 View the 18 publicationsRestructuring 26/08/2024
CAPITAL, ACTIONS - STATUTS (TRADUCTION, COORDINATION, AUTRES MODIFICATIONS,
) - RUBRIQUE RESTRUCTURATION (FUSION, SCISSION, TRANSFERT PATRIMOINE, ETC...) PDF Restructuring 28/06/2024
RUBRIQUE RESTRUCTURATION (FUSION, SCISSION, TRANSFERT PATRIMOINE, ETC...) PDF Source: Belgian Official Gazette
reconduction Luis Monteiro Marques — administrateur
26/04/2023
reconduction António José Monteiro Borges — administrateur
2022
Annual accounts 2022 3,8 M €↑
29/04/2021
reconduction António Carlos Ferreira Rocha Perpétua — administrateur
2020
Annual accounts 2020 314,5 k €↑
04/12/2020
reconduction Jorge Manuel Ferreira Guimaräes Sousa — administrateur
04/12/2020
reconduction Nuno Miguel Rodrigues Terras Marques — administrateur délégué
04/12/2020
reconduction Philippe Gossart — Commissaire
2019
Annual accounts 2019 134,6 k €↑
2018
Annual accounts 2018 32,5 k €↓
2017
Annual accounts 2017 259,1 k €↑
2016
Annual accounts 2016 185,0 k €↓
2015
Annual accounts 2015 217,6 k €↑
2014
Annual accounts 2014 83,5 k €↑
2013
Annual accounts 2013 40,3 k €↓
2012
Annual accounts 2012 43,9 k €↓
2011
Annual accounts 2011 206,4 k €↓
2010
Annual accounts 2010 255,5 k €↑
2009
Annual accounts 2009 238,1 k €↑
2008
Annual accounts 2008 60,5 k €↑
2007
Annual accounts 2007 42,1 k €↑
2006
Annual accounts 2006 11,4 k €
14/10/2004
Incorporation Public limited company
28/06/2024
RUBRIQUE RESTRUCTURATION (FUSION, SCISSION, TRANSFERT PATRIMOINE, ETC...)
Mandates 18/06/2024
DEMISSIONS, NOMINATIONS PDF Mandates 05/06/2024
STATUTS (TRADUCTION, COORDINATION, AUTRES MODIFICATIONS,
) - DENOMINATION PDF Mandates 15/01/2024
DEMISSIONS, NOMINATIONS PDF Mandates 11/10/2023
DEMISSIONS, NOMINATIONS PDF Mandates 11/10/2023
DEMISSIONS, NOMINATIONS PDF