Active · per the CBE, 17 September 2026

REITROM

BE0831867149

Rechtspersoon Private limited company 1 establishment

Thier Saint Léonard 50, 4460 Grâce-Hollogne

Active for

15 year, 9 months

Financials

Financial year 2025

REITROM from Grâce-Hollogne, company number BE0831867149, closed financial year 2025 with a result of € 39,352 after tax. For that financial year REITROM recorded revenue of € 69,000 and equity of € 697,481. Compared with financial year 2024, the result moved from € 96,424 to € 39,352. The company is profitable. 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 June 19, 2026.

What it is worth Growing

€ 697,481

▲ 6% vs 2024

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

Profit Healthy

€ 39,352

▼ 59% vs 2024

Profit after tax over the fiscal year.

Cash in the bank

€ 142,731

▼ 38% 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 € 678,881.

Debts at end 2025

Bank debt ≈ 20 years to go

€ 588,841

▼ 43% vs 2024

€ 30,000 is repaid this year. At this pace the long-term loan is gone in ≈ 20 years.

Taxes

€ 15,533

Corporate tax and VAT still to pay. No wage debt: nothing outstanding to staff or social security.

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Key figures per fiscal year Download key figures (CSV)
2022202320242025Change 2024 → 2025
Revenue - € 72,000 € 72,000 € 69,000 ▼ 4%
Gross margin € 43,362 - - -
Profit after taxes € 48,605 € 38,133 € 96,424 € 39,352 ▼ 59%
Equity € 523,572 € 561,705 € 658,129 € 697,481 ▲ 6%
Total debts € 1,151,029 € 1,143,499 € 1,088,495 € 643,139 ▼ 41%
Cash € 61,400 € 92,268 € 229,740 € 142,731 ▼ 38%
Land & buildings € 835,541 € 797,717 € 759,894 € 422,936 ▼ 44%
Retained profit € 504,972 € 543,105 € 639,529 € 678,881 ▲ 6%
Bank debt € 1,130,643 € 1,083,672 € 1,036,534 € 588,841 ▼ 43%
Balance sheet total € 1,761,585 € 1,788,920 € 1,827,524 € 1,399,302 ▼ 23%

Key figures of REITROM, 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 REITROM?

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

  • New annual accounts for financial year 2025: profit of € 39,352 (▼ 59% vs 2024). Source: NBB ↗
  • New establishment in Grâce-Hollogne. KBO
  • Start of the company according to the CBE. KBO

In short

From € 48,605 profit in 2022 to € 39,352 profit in 2025.

Paid € 15,533 in corporate taxes since 2022.

Best year ever: 2024, with € 96,424 profit.

Establishments

Establishment units

Physical locations of this company

Registered office

Thier Saint Léonard 50

4460 Grâce-Hollogne

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

Details

Company number
0831.867.149
VAT number
BE 0831.867.149
Registered office
Thier Saint Léonard 50, 4460 Grâce-Hollogne
Names & denominations
REITROM
Enterprise type
Rechtspersoon
Legal form
Private limited company
Legal situation
Normale toestand
Start date
14 December 2010
Peppol
Active · Active since 30 Jun 2025

Frequently asked questions

What is the address of REITROM?
The registered office of REITROM is located at Thier Saint Léonard 50, 4460 Grâce-Hollogne.
Is REITROM still active?
Yes. According to the CBE (17 September 2026) REITROM is active, legal situation “Normale toestand”, started on 14 December 2010.
Is REITROM registered on Peppol?
Yes, REITROM is registered on the Peppol network with ID 0208:0831867149.
What is the enterprise number of REITROM?
The enterprise number of REITROM is BE0831867149.
When was REITROM founded?
REITROM was founded on 14 December 2010.
Who owns REITROM?
It owns 99.8% of AUBERGE DU WAYAI itself.