Active · per the CBE, 16 September 2026

CASH TUBIZE

BE0631838697

Rechtspersoon Private limited company 1 establishment

CASH TUBIZE is a second-hand shop in Sint-Agatha-Berchem. Private Limited, started on 8 June 2015, 1 establishment.

Keizer Karellaan 485, 1082 Sint-Agatha-Berchem

Behind the company: GMF Invest SComm, CLG Invest SComm.

Active for

11 year, 3 months

Financials

Financial year 2025

CASH TUBIZE from Sint-Agatha-Berchem, company number BE0631838697, closed financial year 2025 with a result of € 92,299 after tax. For that financial year CASH TUBIZE recorded a gross margin of € 372,945 and equity of € 367,890. Compared with financial year 2024, the result moved from € 91,241 to € 92,299. Profitable, and profit is growing. The buffer is growing. A strong own buffer against the debts. The most recent annual accounts were filed with the National Bank of Belgium on July 14, 2026.

What it is worth Growing

€ 367,890

▲ 33% vs 2024

Assets minus debts, by the books. What is left if everything were sold and paid today.

Profit Growing

€ 92,299

▲ 1% vs 2024

Profit after tax over the fiscal year.

Cash in the bank

€ 103,641

▲ 43% vs 2024

Cash and bank balances on the last day of the fiscal year.

Where the profit goes Growing

Stays in the company

No dividend for 2025. Retained profit grew to € 361,690.

People and assets in 2025

Full-time equivalents

6.2

▲ 0.1 vs 2024

Average over the fiscal year, from the social balance sheet.

Wage cost

€ 225,449

▼ 3% vs 2024

€ 36,400 per full-time equivalent. Payroll staff only. What the director pays themselves is already netted into the gross margin and is not shown separately in the accounts.

Debts at end 2025

Bank debt ≈ 6 years to go

€ 37,182

▼ 30% vs 2024

€ 3,636 is repaid this year. At this pace the long-term loan is gone in ≈ 6 years.

Owed to suppliers

€ 14,404

▲ 36% vs 2024

Supplier invoices still open on the last day of the fiscal year.

Taxes and wages

€ 41,750

▼ 2% vs 2024

Taxes, VAT and social contributions still to pay.

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Key figures per fiscal year Download key figures (CSV)
2022202320242025Change 2024 → 2025
Gross margin € 287,348 € 365,937 € 372,974 € 372,945
Profit after taxes € 36,867 € 88,616 € 91,241 € 92,299 ▲ 1%
Equity € 95,734 € 184,350 € 275,591 € 367,890 ▲ 33%
Total debts € 267,148 € 201,291 € 166,189 € 98,693 ▼ 41%
Cash € 89,890 € 81,661 € 72,361 € 103,641 ▲ 43%
Retained profit € 89,534 € 178,150 € 269,391 € 361,690 ▲ 34%
Bank debt € 55,965 € 46,164 € 53,124 € 37,182 ▼ 30%
Balance sheet total € 362,882 € 385,641 € 441,780 € 466,583 ▲ 6%
Employees (FTE) - - 6.1 6.2 ▲ 0.1

Key figures of CASH TUBIZE, fiscal years 2022 to 2025, from the annual accounts filed with the National Bank of Belgium.Next annual account (fiscal year 2026) expected before 31 July 2027.

What happened to CASH TUBIZE?

What happened at CASH TUBIZE in recent years, according to the Belgian Official Gazette, the CBE and the National Bank:

  • New annual accounts for financial year 2025: profit of € 92,299 (▲ 1% vs 2024). Source: NBB ↗
  • GMF Invest SComm became a director. NBB
  • CLG Invest SComm became a director. NBB
  • New establishment in Tubize. KBO
  • Start of the company according to the CBE. KBO

In short

From € 36,867 profit in 2022 to € 92,299 profit in 2025.

Paid € 116,876 in corporate taxes since 2022.

Best year ever: 2025, with € 92,299 profit.

On average € 60,200 of value added per employee in 2025.

Management

Behind CASH TUBIZE are GMF Invest SComm and CLG Invest SComm. The same people are also behind CASH DROGENBOS and CASH SAINT-GILLES. GMF Invest SComm is also behind CASH SINT-AMANDSBERG and CASH BERCHEM.

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Directors

According to the 2025 annual accounts

GMF Invest SComm

Managing director · represented by François GARCIA MORTE

Also active at: CASH SINT-AMANDSBERG, CASH DROGENBOS, CASH SAINT-GILLES, CASH BERCHEM

since 2023

CLG Invest SComm

Managing director · represented by Ludovic GILLET

Also active at: CASH DROGENBOS, CASH SAINT-GILLES

since 2023

Establishments

Establishment units

Physical locations of this company

Registered office

Keizer Karellaan 485

1082 Sint-Agatha-Berchem

2.243.471.923

Rue du Bailli 14

1480 Tubize

Active since 8 June 2015

Who else lives here?

A building full of entrepreneurs or one very busy letterbox? Another 4 companies are registered at this address.

All companies at this address →

What is an establishment unit? An establishment unit is a geographically identifiable place where activities of the enterprise are carried out.

Details

Company number
0631.838.697
VAT number
BE 0631.838.697
Registered office
Keizer Karellaan 485, 1082 Sint-Agatha-Berchem
Names & denominations
CASH TUBIZE
Enterprise type
Rechtspersoon
Legal form
Private limited company
Legal situation
Normale toestand
Start date
8 June 2015
Peppol
Active · Active since 19 Sept 2025
Activities · NACE

Detailhandel in andere tweedehandsgoederen, muv tweedehandskleding

Detailhandel in cultuur- en recreatieartikelen, neg

Detailhandel in nieuwe kunstvoorwerpen in gespecialiseerde winkels

Frequently asked questions

What does CASH TUBIZE do?
CASH TUBIZE is a second-hand shop in Sint-Agatha-Berchem. Private Limited, started on 8 June 2015, 1 establishment.
What is the address of CASH TUBIZE?
The registered office of CASH TUBIZE is located at Keizer Karellaan 485, 1082 Sint-Agatha-Berchem.
Is CASH TUBIZE still active?
Yes. According to the CBE (16 September 2026) CASH TUBIZE is active, legal situation “Normale toestand”, started on 8 June 2015.
Is CASH TUBIZE registered on Peppol?
Yes, CASH TUBIZE is registered on the Peppol network with ID 0208:0631838697.
What is the enterprise number of CASH TUBIZE?
The enterprise number of CASH TUBIZE is BE0631838697.
When was CASH TUBIZE founded?
CASH TUBIZE was founded on 8 June 2015.