AS · est 2017Nordre folloParent · 2 subsidiaries
Brreg · companies
headcount series appears after two register changes
Roles from Brreg, shown for business contact only. No birth date is shown or exported (purpose limitation, GDPR Art. 6(1)(f)).
Brreg · company_people
3 registered roles
register ledger · people
| Daglig leder | Carl Magnus Krook Multiple boards | 2024-01-03 | |
| Styrets leder | Carl Magnus Krook Multiple boards | 2025-09-30 | |
| Styremedlem | Margrete Singsaas Multiple boards | 2025-09-30 |
| 2026-06-13 | reg | employee_change: antallAnsatte | 10 -> 11 |
NOK, amounts in thousands
| 2024 | 2025 | ||
|---|---|---|---|
| Revenue | 14 136 | 32 317 | |
| Operating result | −2 843 | −389 | |
| Result before tax | 945 | −2 009 | |
| Net result | 730 | −1 578 | |
| Total assets | 365 628 | 416 317 | |
| Equity | 30 267 | 28 690 |
| 2020 | 2021 | 2022 | 2023 | 2024 | 2025 | ||
|---|---|---|---|---|---|---|---|
| Revenue | 14 136 | 32 317 | |||||
| Operating result | −2 843 | −389 | |||||
| Result before tax | 945 | −2 009 | |||||
| Net result | 730 | −1 578 | |||||
| Total assets | 365 628 | 416 317 | |||||
| Equity | 30 267 | 28 690 |
Regnskapsregisteret · company_revenue · FY2025 (company)
register ledger · money
| 2026-06-23 | reg | accounts_filed: sisteInnsendteAarsregnskap | 2024 -> 2025 |
| 2024 | 2025 | ||
|---|---|---|---|
| SMART RETUR HOLDING AS | 100 | 100 | — |
| SMART RETUR HOLDING II AS | — | — | — |
| 2020 | 2021 | 2022 | 2023 | 2024 | 2025 | ||
|---|---|---|---|---|---|---|---|
| SMART RETUR HOLDING AS | — | — | 100 | 100 | 100 | 100 | — |
| SMART RETUR HOLDING II AS | 100 | 100 | — | — | — | — | — |
Aksjonærregisteret · company_ownership · 2025 · both directions
register ledger · owners
| 2022-12-31 | own+ | SMART RETUR HOLDING AS acquired 100.0 pct | |
| 2022-12-31 | own− | SMART RETUR HOLDING II AS exited (held 100.0 pct) |
| 2024 | 2025 | 2026 | |
|---|---|---|---|
| auditor CEDRA NORGE MOMENTUM AS 2026-07-01 | ● | ||
| accountant — |
| 2020 | 2021 | 2022 | 2023 | 2024 | 2025 | 2026 | |
|---|---|---|---|---|---|---|---|
| auditor CEDRA NORGE MOMENTUM AS 2026-07-01 | ● | ||||||
| accountant — |
Brreg · company_org_roles
No recorded tender wins.
Relevant open tenders — matched · NACE 46.830 ↔ CPVsubscribers sharpen matches with per-company keywords
open-tender matching (NACE ↔ CPV) awaits Intelligo's open-tenders view
Doffin/TED · company_tender_wins · freshness unknown
No job ads on record in the last 12 months.
NAV Arbeidsplassen · company_job_ad_months
Group revenue kr 305.1MGroup net kr 23.9MTenders won 0Rolled up across the parent + 2 subsidiaries — Smart Retur Norge AS alone is kr 246M.
rollup estimate · filed konsernregnskap not yet in Intelligo
| Smart Retur Norge AS | 100% | Wholesale of wood, construction materials and sanitary equipment | kr 246M |
| Smart Work AS | 100% | Repair and maintenance of other equipment | kr 26.8M |
Aksjonærregisteret · company_ownership · 2025 · both directions
FY2025audit: No reservationsRSM Norge AS10 full-time equivalentssigned: Margrete Singsaas, Carl Magnus Krook
Regnskapsregisteret (årsberetning) · company_annual_reports
16 notes from the report
| Audit opinion | RSM Norge AS issued an unmodified audit opinion on the 2025 financial statements, noting a loss of NOK 1 577 556. | “Viharrevidert arsregnskapet forSmart ReturAS somviseret underskudd pa NOK 1577556.Arsregnskapet” |
| Going concern | Management and the board state that the going concern assumption is appropriate for the 2025 accounts. | “arsregnskapet for 2025.Ledelsen og styret er videre av denoppfatningen at fortsatt drift kan legges til grunn ved” |
| Post balance sheet event | The board and management state that no events after the balance sheet date of significance for the 2025 accounts have occurred. | “ledelsen og styretsoppfatning atdet ikkeforeliggerhendelseretterbalansedagen avbetydning fordet avlagte” |
| Ownership | All shares are held by Smart Retur Holding AS with 100 % ownership and voting rights. | “Smart Retur Holding AS 2000 2 000 100% 100% 100% 100%” |
| Share capital | Share capital consists of 2 000 ordinary shares of NOK 1 000, totalling NOK 2 000 000. | “Aksjekapitalen i Smart Retur AS er ved utgangen av aret:” |
| Remuneration | Remuneration of NOK 995 117 was paid to the chair/CEO for the period 1.1-30.9. | “Styreleder for perioden 1.1-30.9 995 117 08” |
| Remuneration | For the period 1.10-31.12 the CEO and chair received remuneration through another group company. | “Daglig leder og styreleder for perioden 1.10-31.12 har motatt godgjorelse” |
| Related party | No purchases or sales of goods or services with other group companies in 2025 beyond management fee invoicing and interest on loans to parent/subsidiaries. | “Det har ike vaert kjop eller salg av varer eller tjenester mellom selskapet og vrige konsernselskap i 2025 utover,” |
| Pledge or guarantee | The mortgage loan, the NOK 40 million cashpool credit facility and other unused credit lines are secured by business pledges of MSEK 625 and MNOK 150. | “Selskapets pantelan, innvilget cashpool kredittramme pa NOK 40 mill og ovrige ubenyttede kredittrammer er sikret” |
| Pledge or guarantee | Debt secured by pledge (mortgage loan) amounted to NOK 250 331 200 in 2025 against NOK 207 785 588 in 2024. | “Pantelan 250 331 200 207 785 588” |
| Loan or financing | The company is top-account holder in a global cashpool arrangement with Nordea, with a net deposit of NOK 65 232 616 at year end and joint and several liability among participants. | “Smart Retur AS er toppkonto-innehaver ien Global cashpool ordning gjennom konsernets konsernkontostruktur i” |
| Staff numbers | The company had 10 man-years in 2025, up from 5 in 2024. | “Antall arsverk 10 5” |
| Deferred tax | Deferred tax at 22 % moved from a liability of NOK 226 596 in 2024 to a deferred tax asset of NOK 204 987 in 2025. | “Utsatt skatt / skattefordel i balansen (22 %) 226 596 204 987” |
| Subsidiary | Smart Retur Finland OY was added as a 100 % owned subsidiary with acquisition date 01.01.2025. | “Smart Wash AS - 100 % eiet av SRDK AS Smart Retur Finland OY - 100 % eiet 01.01.2023 01.01.2025 Danmark Finland 3 500 000 18 586 285 130 346 -3 330 643 1 340 343” |
| Other | Investments in subsidiaries carried at cost increased to NOK 156 766 398 from NOK 153 266 398. | “Investeringeridatterselskap 5 156 766 398 153 266 398” |
| Other | The group has established a tax guarantee with Nordea in connection with restricted bank deposits. | “Konsermet etablert skattegaranti i Nordea.” |
registered 2017-02-23
Brreg · companies
register ledger · 20 events · 2 series/meta rows folded into the charts
| 2026-06-23 | reg | accounts_filed: sisteInnsendteAarsregnskap | 2024 -> 2025 |
| 2026-06-13 | reg | employee_change: antallAnsatte | 10 -> 11 |
| 2025-12-31 | report | Audit opinion | RSM Norge AS issued an unmodified audit opinion on the 2025 financial statements, noting a loss of NOK 1 577 556. — Viharrevidert arsregn... |
| 2025-12-31 | report | Going concern | Management and the board state that the going concern assumption is appropriate for the 2025 accounts. — arsregnskapet for 2025.Ledelsen ... |
| 2025-12-31 | report | Post balance sheet event | The board and management state that no events after the balance sheet date of significance for the 2025 accounts have occurred. — ledelse... |
| 2025-12-31 | report | Ownership | All shares are held by Smart Retur Holding AS with 100 % ownership and voting rights. — Smart Retur Holding AS 2000 2 000 100% 100% ... |
| 2025-12-31 | report | Share capital | Share capital consists of 2 000 ordinary shares of NOK 1 000, totalling NOK 2 000 000. — Aksjekapitalen i Smart Retur AS er ved utgangen ... |
| 2025-12-31 | report | Remuneration | Remuneration of NOK 995 117 was paid to the chair/CEO for the period 1.1-30.9. — Styreleder for perioden 1.1-30.9 995 117 08 |
| 2025-12-31 | report | Remuneration | For the period 1.10-31.12 the CEO and chair received remuneration through another group company. — Daglig leder og styreleder for periode... |
| 2025-12-31 | report | Related party | No purchases or sales of goods or services with other group companies in 2025 beyond management fee invoicing and interest on loans to pa... |
| 2025-12-31 | report | Pledge or guarantee | The mortgage loan, the NOK 40 million cashpool credit facility and other unused credit lines are secured by business pledges of MSEK 625 ... |
| 2025-12-31 | report | Pledge or guarantee | Debt secured by pledge (mortgage loan) amounted to NOK 250 331 200 in 2025 against NOK 207 785 588 in 2024. — Pantelan 250 331 200 207 ... |
| 2025-12-31 | report | Loan or financing | The company is top-account holder in a global cashpool arrangement with Nordea, with a net deposit of NOK 65 232 616 at year end and join... |
| 2025-12-31 | report | Staff numbers | The company had 10 man-years in 2025, up from 5 in 2024. — Antall arsverk 10 5 |
| 2025-12-31 | report | Deferred tax | Deferred tax at 22 % moved from a liability of NOK 226 596 in 2024 to a deferred tax asset of NOK 204 987 in 2025. — Utsatt skatt / skatt... |
| 2025-12-31 | report | Subsidiary | Smart Retur Finland OY was added as a 100 % owned subsidiary with acquisition date 01.01.2025. — Smart Wash AS - 100 % eiet av SRDK AS S... |
| 2025-12-31 | report | Other | Investments in subsidiaries carried at cost increased to NOK 156 766 398 from NOK 153 266 398. — Investeringeridatterselskap 5 156 766 ... |
| 2025-12-31 | report | Other | The group has established a tax guarantee with Nordea in connection with restricted bank deposits. — Konsermet etablert skattegaranti i N... |
| 2022-12-31 | own+ | SMART RETUR HOLDING AS acquired 100.0 pct | |
| 2022-12-31 | own− | SMART RETUR HOLDING II AS exited (held 100.0 pct) |
Skiwo · company_events