We are a creator of zero emission energy solutions.
Enersense is strongly involved in creating a zero-emission society by being a pioneer in these changing times. Our versatile services help bring success to Nordic and international companies in the industry, energy, telecommunications and construction sectors. Our goal is to be our customers’ primary and versatile partner during the energy revolution.
Enersense has 2,000 employees in 40 different countries who are working towards a more sustainable and cleaner future.
2005
HeadquartersKonepajanranta 2, 28100 Pori – Finland
Line item in (eur) | 01.01.2020 | 01.01.2021 | 01.01.2022 | 01.01.2023 |
---|---|---|---|---|
Assets | N/A | 115,914,000.00 | 146,709,000.00 | 230,168,000.00 |
Noncurrent Assets | N/A | 61,873,000.00 | 73,032,000.00 | 109,631,000.00 |
Property Plant And Equipment | N/A | 18,784,000.00 | 21,706,000.00 | 22,213,000.00 |
Goodwill | N/A | 26,376,000.00 | 26,154,000.00 | 27,874,000.00 |
Intangible Assets Other Than Goodwill | N/A | 13,566,000.00 | 18,591,000.00 | 40,379,000.00 |
Investment Accounted For Using Equity Method | N/A | 1,467,000.00 | 1,564,000.00 | 10,937,000.00 |
Noncurrent Receivables | N/A | 960,000.00 | 3,919,000.00 | 6,890,000.00 |
Deferred Tax Assets | N/A | 570,000.00 | 1,096,000.00 | 1,338,000.00 |
Other Noncurrent Financial Assets | N/A | 150,000.00 | 0.00 | N/A |
Current Assets | N/A | 54,041,000.00 | 73,677,000.00 | 120,537,000.00 |
Inventories | N/A | 3,566,000.00 | 6,513,000.00 | 13,124,000.00 |
Current Tax Assets Current | N/A | 158,000.00 | 48,000.00 | 9,000.00 |
Cash and cash equivalents | 1,276,000.00 | 17,694,000.00 | 29,166,000.00 | 38,704,000.00 |
Equity And Liabilities | N/A | 115,914,000.00 | 146,709,000.00 | 230,168,000.00 |
Equity | 7,050,000.00 | 17,645,000.00 | 49,664,000.00 | 62,609,000.00 |
Issued Capital | N/A | 80,000.00 | 80,000.00 | 80,000.00 |
Retained Earnings Profit Loss For Reporting Period | N/A | N/A | 4,301,000.00 | -1,768,000.00 |
Retained Earnings Excluding Profit Loss For Reporting Period | N/A | N/A | 95,000.00 | -500,000.00 |
Other Reserves | N/A | 313,000.00 | 313,000.00 | 313,000.00 |
Equity Attributable To Owners Of Parent | N/A | 15,877,000.00 | 48,599,000.00 | 62,220,000.00 |
Noncontrolling Interests | N/A | 1,768,000.00 | 1,064,000.00 | 389,000.00 |
Liabilities | N/A | 98,269,000.00 | 97,046,000.00 | 167,559,000.00 |
Noncurrent Liabilities | N/A | 10,680,000.00 | 27,992,000.00 | 49,300,000.00 |
Noncurrent Provisions | N/A | 481,000.00 | 852,000.00 | 543,000.00 |
Noncurrent Provisions For Employee Benefits | N/A | 435,000.00 | 545,000.00 | 381,000.00 |
Noncurrent Payables | N/A | 12,000.00 | 2,206,000.00 | 550,000.00 |
Deferred Tax Liabilities | N/A | 0.00 | 1,469,000.00 | 6,630,000.00 |
Longterm Borrowings | N/A | 3,717,000.00 | 10,095,000.00 | 30,458,000.00 |
Current Liabilities | N/A | 87,589,000.00 | 69,054,000.00 | 118,258,000.00 |
Current Provisions | N/A | 1,592,000.00 | 618,000.00 | 1,119,000.00 |
Trade And Other Current Payables | N/A | 16,530,000.00 | 14,758,000.00 | 36,271,000.00 |
Current Advances | N/A | 3,607,000.00 | 7,203,000.00 | 12,637,000.00 |
Current Tax Liabilities Current | N/A | 257,000.00 | 28,000.00 | 2,990,000.00 |
Other Current Liabilities | N/A | 45,980,000.00 | 37,985,000.00 | 55,835,000.00 |
Line item in (eur) | 01.01.2020/ 01.01.2021 |
01.01.2021/ 01.01.2022 |
01.01.2022/ 01.01.2023 |
---|---|---|---|
Revenue | 147,460,000.00 | 239,110,000.00 | 268,037,000.00 |
Other Income | 1,804,000.00 | 10,514,000.00 | 18,793,000.00 |
Changes In Inventories Of Finished Goods And Work In Progress | -302,000.00 | -2,060,000.00 | -5,267,000.00 |
Other Work Performed By Entity And Capitalised | 461,000.00 | -35,000.00 | -3,000.00 |
Employee Benefits Expense | 69,973,000.00 | 97,898,000.00 | 97,733,000.00 |
Depreciation Amortisation And Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss | 4,995,000.00 | 9,806,000.00 | 8,731,000.00 |
Other Expense By Nature | 11,019,000.00 | 22,196,000.00 | 29,147,000.00 |
Profit Loss From Operating Activities | 4,780,000.00 | 6,834,000.00 | 3,479,000.00 |
Finance Income | 50,000.00 | 41,000.00 | 476,000.00 |
Finance Costs | 1,972,000.00 | 3,334,000.00 | 3,577,000.00 |
Share Of Profit Loss Of Associates And Joint Ventures Accounted For Using Equity Method | 67,000.00 | 95,000.00 | -189,000.00 |
Profit Loss Before Tax | 2,859,000.00 | 3,540,000.00 | 378,000.00 |
Income Tax Expense Continuing Operations | 480,000.00 | -433,000.00 | 2,807,000.00 |
Profit (loss) | 2,379,000.00 | 3,973,000.00 | -2,429,000.00 |
Profit Loss Attributable To Owners Of Parent | 2,039,000.00 | 4,301,000.00 | -1,768,000.00 |
Profit Loss Attributable To Noncontrolling Interests | 340,000.00 | -328,000.00 | -661,000.00 |
Line item in (eur) | 01.01.2020 | 01.01.2021 | 01.01.2022 | 01.01.2023 |
---|---|---|---|---|
Profit (loss) | N/A | 2,379,000.00 | 3,973,000.00 | -2,429,000.00 |
Adjustments For Reconcile Profit Loss | N/A | 6,905,000.00 | -1,169,000.00 | 12,915,000.00 |
Adjustments For Income Tax Expense | N/A | 480,000.00 | -433,000.00 | 2,807,000.00 |
Adjustments For Decrease Increase In Inventories | N/A | -873,000.00 | -2,615,000.00 | -6,356,000.00 |
Adjustments For Increase Decrease In Trade Account Payable | N/A | -956,000.00 | -9,050,000.00 | 35,795,000.00 |
Adjustments For Depreciation And Amortisation Expense | N/A | 4,995,000.00 | 9,806,000.00 | 8,731,000.00 |
Adjustments For Provisions | N/A | -950,000.00 | 0.00 | 0.00 |
Adjustments For Undistributed Profits Of Associates | N/A | 67,000.00 | 95,000.00 | -189,000.00 |
Other Adjustments To Reconcile Profit Loss | N/A | -129,000.00 | -11,758,000.00 | -1,064,000.00 |
Adjustments For Reconcile Profit Loss | N/A | 6,905,000.00 | -1,169,000.00 | 12,915,000.00 |
Interest Paid Classified As Operating Activities | N/A | 871,000.00 | 1,379,000.00 | 1,205,000.00 |
Interest Received Classified As Operating Activities | N/A | 50,000.00 | 43,000.00 | 52,000.00 |
Income Taxes Paid Refund Classified As Operating Activities | N/A | 258,000.00 | -1,376,000.00 | 102,000.00 |
Other Inflows Outflows Of Cash Classified As Operating Activities | N/A | -932,000.00 | -1,957,000.00 | -1,919,000.00 |
Cash Flows From Used In Operating Activities | N/A | 1,866,000.00 | -15,608,000.00 | 4,409,000.00 |
Cash Flows From Losing Control Of Subsidiaries Or Other Businesses Classified As Investing Activities | N/A | 0.00 | 281,000.00 | 0.00 |
Cash Flows Used In Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities | N/A | -12,966,000.00 | 151,000.00 | 0.00 |
Cash Advances And Loans Made To Other Parties Classified As Investing Activities | N/A | 150,000.00 | -100,000.00 | 0.00 |
Cash Receipts From Repayment Of Advances And Loans Made To Other Parties Classified As Investing Activities | N/A | 443,000.00 | 0.00 | 566,000.00 |
Dividends Received Classified As Investing Activities | N/A | 0.00 | 102,000.00 | 93,000.00 |
Cash Flows From Used In Investing Activities | N/A | 12,075,000.00 | 11,539,000.00 | -8,430,000.00 |
Payments From Changes In Ownership Interests In Subsidiaries | N/A | 0.00 | 257,000.00 | 192,000.00 |
Proceeds From Issuing Shares | N/A | 7,312,000.00 | 28,218,000.00 | 2,200,000.00 |
Proceeds From Borrowings Classified As Financing Activities | N/A | 1,539,000.00 | 14,964,000.00 | 26,460,000.00 |
Repayments Of Borrowings Classified As Financing Activities | N/A | 4,288,000.00 | 22,898,000.00 | 3,466,000.00 |
Payments Of Lease Liabilities Classified As Financing Activities | N/A | 2,112,000.00 | 4,485,000.00 | 6,481,000.00 |
Cash Flows From Used In Financing Activities | N/A | 2,451,000.00 | 15,542,000.00 | 13,559,000.00 |
Increase (decrease) in cash and cash equivalents before effect of exchange rate changes | N/A | 16,391,000.00 | 11,472,000.00 | 9,538,000.00 |
Effect Of Exchange Rate Changes On Cash And Cash Equivalents | N/A | 26,000.00 | 0.00 | 0.00 |
Cash and cash equivalents | 1,276,000.00 | 17,694,000.00 | 29,166,000.00 | 38,704,000.00 |
Please note that some sums might not add up.
FI4000301585
LEI743700XSMVPR48XIML56
SectorCommercial & Professional Services
IndustryResearch & Consulting Services
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