Code Construct SRL
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- Solvency
- Liquidity
- Interest coverage
- Profitability
- Leverage
- Position in its sectorvs peers
- Supplier creditat 30 d
- Borrowing capacityborrowable
- Valuationcentral
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Key figures 2025
Change 2022 → 2025: Total assets -34 %
Accounts of the company itself (not consolidated).
The full file covers 10 financial years; a free account shows 2. →Code Construct's annual accounts
Filed annual accounts
- Year ended 31 Dec 2025filed on 25 Jul 2026
- Year ended 31 Dec 2024filed on 30 Aug 2025
- Year ended 31 Dec 2023filed on 29 Aug 2024
- Year ended 31 Dec 2022filed on 06 Jun 2023
- Year ended 31 Dec 2021filed on 02 Aug 2022
Code Construct's financial analysis
- Solvency26.2%sector median: 35.4%
- Current ratio
- Net margin
- ROE
- Financial debt / EBITDA
- Interest coverage
- Days sales outstanding (DSO)
Management and control of Code Construct
Code Construct's publications in the Belgian Gazette
Company number, VAT number and registered office
- Company number (CBE)
- 0646.936.352
- VAT number
- BE0646936352
- Peppol
- Registered · 0208:0646936352 · as of 10 Oct 2026
- Legal form
- SRL
- Incorporated
- 25 Jan 2016
- Registered office
- 7080 Frameries
- Latest accounts
- 2025 · filed on 25 Jul 2026
- Activity
- General construction of residential buildings (NACE 41001)
Code Construct (SRL) has been based in Frameries since 2016, active in: general construction of residential buildings. For 2025, it reports a net profit of 171,630 € and equity of 129,451 €; its revenue is not published. Its solvency stands at 26.2%, below the median of its sector (35.4%).
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Frequently asked questions about Code Construct
What is the revenue of Code Construct?
Code Construct files its accounts in a format where revenue is optional: it is not published for 2025.
What is the VAT number of Code Construct?
In Belgium, the VAT number is the company number prefixed with BE: BE0646936352 for Code Construct, if the company is VAT-registered. Its company number (CBE) is 0646.936.352.
Where is the registered office of Code Construct?
According to the CBE register, the registered office of Code Construct is in 7080 Frameries.
What is the equity of Code Construct?
At the close of the 2025 financial year, the equity of Code Construct amounts to 129,451 €, a solvency of 26.2% of total assets.
Who manages Code Construct?
The register lists 2 active mandates at Code Construct. Names and roles are in the full file, with the deeds published in the Belgian Gazette.
The full file of Code Construct
Directors and mandates, ownership network, Gazette deeds, ten years of accounts and ratios, Excel export, and Idonis's analysis in one question.
Open the full file →