Netlibre sp. z o.o.
Św. Wawrzyńca 1C/10, 60-539 Poznań
TAX ID7811872393
Phone+48618475518
Rate company:
Netlibre sp. z o.o.
TAX ID7811872393
Share capital5,000.00 zł
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address

Św. Wawrzyńca 1C/10, 60-539 Poznań

Phone number

+48618475518

Website

http://www.regulaminowo.pl

About us

This text has been translated automatically

Our company provides legal services in the field of preparation and auditing of regulations and contracts addressed to consumers. Our lawyers specialize in protection of consumer rights, first of all securing entrepreneurs against the use of prohibited clauses. We develop our activities through the following websites:

1. KlauzuleNiedozowlone.pl - the first automatic search engine of clauses not allowed from the register of UOKiK

2. CentrumSprzedawcy.pl - a comparison service for online sellers

3. Regulaminowo.pl - a specialized service addressed to entrepreneurs who want to ensure the preparation of professional rules of operation

4. Prokonsumencki.pl - Website that certifies online stores in terms of correctness and legality of their business.

We will be happy to answer all your questions at any time, advising you on the best solutions in legal matters.

contact phone number: 61 847 55 18

[email protected]

Register Data

Full name

NETLIBRE SPÓŁKA Z OGRANICZONĄ ODPOWIEDZIALNOŚCIĄ

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Legal address

UL. MOSTOWA 35 / 3, 61-854 POZNAŃ

NIP

7811872393
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REGON

301907840
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KRS

0000395252
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Legal form

limited liability company

ALEO.com Registration Date

2014-05-28

Register Address

UL. MOSTOWA 35 / 3, 61-854 POZNAŃ

Date of registration in KRS

2011-09-06

Date of commencement of economic activity

2011-09-06

Act signature

PO.VIII NS-REJ.KRS/597/22/209/ADE

Website

http://www.regulaminowo.pl

Pkd codes

63.12.Z - Services related to computing infrastructure, data processing, website management (hosting), and other information services

43.99.Z - Other specialized construction works, not classified elsewhere

47.91.Z - Intermediary retail sale, non-specialized

58.19.Z - Other publishing activities, excluding software publishing

62.02.Z - Activities related to programming, IT consulting, and related activities

63.11.Z - Services related to computing infrastructure, data processing, website management (hosting), and other information services

73.11.Z - Advertising agency activities

74.30.Z - Translation and interpretation activities

82.99.Z - Other business support activities, not elsewhere classified

85.59.B - Courses and training for acquiring knowledge, skills, and professional qualifications in non-school forms


Active
Vat list bank account(s)
Other bank account(s)

Company authorities

representation authorityMANAGEMENT
representation type
W PRZYPADKU ZARZĄDU WIELOOSOBOWEGO, DO SKŁADANIA OŚWIADCZEŃ I PODPISYWANIA DOKUMENTÓW W IMIENIU SPÓŁKI UPRAWNIENI SĄ: PREZES ZARZĄDU - SAMODZIELNIE ALBO ŁĄCZNIE DWÓCH CZŁONKÓW ZARZĄDU ALBO JEDEN CZŁONEK ZARZĄDU ŁĄCZNIE Z PROKURENTEM.
MANAGEMENT
Rafał Tadeusz Bugajski
Chairman Of The Board, 41 years old
shareholders
Rafał Tadeusz Bugajski

60% 60 udziałów o łącznej wysokości 3.000 zł

Dawid Jan Bugajski

40% 40 udziałów o łącznej wysokości 2.000 zł

proxies
Dawid Jan Bugajski
spontaneous prokura, 37 years old
Izabella Bugajska
spontaneous prokura, 37 years old

Financial data

Net sales [PLN]
Gross profit / loss [PLN]
Automatically generated based on financial statements from KRS Registry
2019 2020 2021
M PLN
M PLN
M PLN
%
Profit (loss) on sale Indicator description
-0,1
0,1
0,1
1,3
Gross profit (loss) Indicator description
-0,1
0,1
0,1
1,3
EBITDA Indicator description
-0,1
0,1
0,1
1,3
Short time liabilities Indicator description
0,1
0,1
0
-73,4
Other operating costs Indicator description
0
0
0
0
Equity capital Indicator description
0,2
0,3
0,4
31,6
Operating profit (EBIT) Indicator description
-0,1
0,1
0,1
1,3
Assets Indicator description
0,4
0,5
0,5
1,3
Net profit (loss) Indicator description
-0,1
0,1
0,1
1,3
Cash Indicator description
0,2
0,4
0,4
-3,7
Net income from sale Indicator description
1
1,3
1,4
10,5
Liabilities and provisions for liabilities Indicator description
0,1
0,2
0,1
-58,7
Working assets Indicator description
0,4
0,5
0,5
1,3
Other income costs Indicator description
0
0
0
0
Depreciation Indicator description
0
0
0
0
%
%
%
p.p.
Profitability of capital Indicator description
-37,1
31,1
24
-7,1
Equity capital to total assets Indicator description
61,4
66,4
86,3
19,9
Gross profit margin Indicator description
-7,8
8,6
7,9
-0,7
EBITDA Margin Indicator description
-7,8
8,6
7,9
-0,7
Days
Days
Days
Days
Short term commitment turnover cycle Indicator description
36
37
9
-28
Current financial liquidity indicator Indicator description
3.4502363204956055
3.725191593170166
14.204421043395996
10,5
Net dept to EBITDA Indicator description
2.624142646789551
-3.4691669940948486
-3.3008828163146973
0,2
See more

Financial statements

01-01-2021 - 31-12-2021
Annual financial report
Download xml

01-01-2021 - 31-12-2021
Annual financial report
Download pdf

01-01-2021 - 31-12-2021
Activity report
Download pdf
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