Private · Company · Aksjeselskap

Skalar AS

991 025 022 ↗Computer programming activities · NACE 62.100Oslo
ActiveRegistered 200714 employeesParent · 2 subsidiariesSimilar companies →
Status
● Active
Founded
2007
Employees
14
Group revenue
kr 26.6M
Group net
kr -4.79M
Structure
Parent · 2 subsidiaries
↳ Brreg · companies

MoneyNOK

Group revenue
kr 26.6M
Group net
kr -4.79M
Tenders won
0
Rolled up across the parent + 2 subsidiaries — Kubed AS alone is —.
rollup estimate · filed konsernregnskap not yet in Intelligo
Regnskapsregisteret · rollup across ownership edges (estimate)

Group financialsNOK

  • Revenue
  • Net profit
FY24FY25
Revenue29.6M26.6M
Net profit-4.74M-4.79M
Regnskapsregisteret · company_revenue

Key figuresBrønnøysund

FY24FY25TREND
Revenue30M27M
Operating result-3M0M
Net result-5M-5M
Regnskapsregisteret · company_revenue

From the FY2025 accounts

FILEDAccounts filed for FY2025.
AUDITAudited by CEDRA NORGE MOMENTUM AS.
GROUPFiles as a parent with 2 subsidiaries.
BALANCEEquity kr 11.2M.
Regnskapsregisteret + Brreg roles · the filed accounts form. What the board wrote around the figures is in the annual report block.

From the annual report

AUDITORRSM Norge AS
OPINIONNo reservations
GOING CONCERNThe report questions whether the company can continue as a going concern.
STAFF17 full-time equivalents
12 notes from the report
Audit opinion RSM Norge AS audited the financial statements showing a loss of NOK 4,789,842 and concluded that the accounts give a true and fair view.
Viharrevidert arsregnskapetfor SkalarAS som viseretunderskudd paNOK4789842.Arsregnskapet bestar avbalanse
Audit opinion The auditor states the financial statements comply with legal requirements and give a true and fair view per 31 December 2025.
gir arsregnskapet et rettvisende bilde av selskapets finansielle stilling per 31. desember 2025, og av dets resultater
Going concern Note 4 states the company had a negative result for 2025 and that current liabilities exceeded current assets, which may indicate uncertainty about the ability to continue operations.
Skalar AS hadde et negativt arsresultat pa 4 789 842iregnskapsaret 2025.
Going concern The board nevertheless concludes that the going concern assumption is applied in preparing the accounts.
derfor lagt til grunn fortsatt drift ved utarbeidelsen av arsregnskapet.
Loan or financing The company has renewed its overdraft facility of NOK 6.5 million with a 12-month term.
har selskapet fatt fornyet sinkassekreditfasilitet pa NOK6,5millioner med en lpetid pa12 maneder.
Pledge or guarantee A credit facility of NOK 6,500,000 has been granted by a credit institution, with security provided.
Det er innvilget kredittramme fra kreditinstitusjon pa kr 6 500 000.
Pledge or guarantee As at 31.12.2025 NOK 6,507,122 of the credit facility was drawn, secured by pledges over receivables and equipment.
Per 31.12.2025 er det trukket kr 6 507 122 av kredittrammen.
Staff numbers The company employed 17.3 man-years in 2025.
Selskapet har i 2025 sysselsatt 17,3arsverk.
Share capital Share capital increased from NOK 102,000 to NOK 108,277 with share premium of NOK 3,993,727.
Aksjekapital 108 277 102 000
Impairment Investments in subsidiaries/associates are carried at cost unless impairment has been necessary; an impairment has been recognised.
anskaffelseskost for aksjene med mindre nedskrivning har vaert nodvendig. Det er foretatt nedskrivning til
Restructuring The board refers to cost adaptations carried out as basis for judging the company able to meet its obligations.
oppdrag og gjennomfortekostnadstilpasninger,vurderer styret det som realistisk at selskapet har
Ownership Board members signed the annual accounts on behalf of Skalar Holding AS.
Pavegne av: Skalar Holding AS
Regnskapsregisteret (årsberetning) · company_annual_reports
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