Repair and maintenance of electrical equipment
GENERATOR TECHNICIAN SERVICES AS
Revenue 2025
NOK 10.6m
Operating profit
NOK 732,000
Equity
NOK 835,000
Incorporated
2019
Employees
11
Share capital
NOK 100,000
Financials
Total operating revenue
Operating profit (EBIT)
Income statement
| Post | 2025 | Trend |
|---|---|---|
| Total operating revenue | 10.6m | |
| Total operating costs | 9.9m | |
| Operating profit (EBIT) | 732k | |
| Net financial items | −187k | |
| Profit for the year | 425k |
Balance sheet
| Post | 2025 | Trend |
|---|---|---|
| Total assets | 4.0m | |
| of which current assets | 2.7m | |
| Equity | 835k | |
| Total liabilities | 3.2m |
Full financial statements
Reconciled against the register
↓ Download annual report (PDF)
Financial year 2025 · NOK · read automatically from the filed annual report
Cash and bank deposits
NOK 1.0m
NOK 1.0m
Income statement
| 2025 | Previous year | |
|---|---|---|
| kRevenue | NOK 10.4m | NOK 5.8m |
| Other income | NOK 258,000 | – |
| Sum inntekter | NOK 10.6m | NOK 5.8m |
| Raw materials and consumables used | NOK 1.6m | NOK 101,000 |
| Emplovee benefits expense | NOK 5.9m | NOK 4.2m |
| Depreciation and amortisation expenses | NOK 324,000 | NOK 203,000 |
| Other expenses | NOK 2.0m | NOK 1.1m |
| Sum kostnader | NOK 9.9m | NOK 5.6m |
| Driftsresultat | NOK 732,000 | NOK 250,000 |
| Annen renteinntekt | NOK −2,000 | – |
| Other financial income | NOK 4,000 | NOK −78 |
| Sum finansinntekter | NOK 2,000 | NOK −78 |
| Annen rentekostnad | NOK 184,000 | NOK 112,000 |
| Other financial expenses | NOK 6,000 | NOK 6,000 |
| Sum finanskostnader | NOK 189,000 | NOK 118,000 |
| Netto finans | NOK −187,000 | NOK −118,000 |
| Resultat før skattekostnad | NOK 545,000 | NOK 132,000 |
| Income tax expense | NOK 120,000 | NOK 29,000 |
| Årsresultat | NOK 425,000 | NOK 103,000 |
| Årsresultat etter minoritetsinteresser | NOK 425,000 | NOK 103,000 |
| Totalresultat | NOK 425,000 | NOK 103,000 |
| Other equity | NOK 425,000 | NOK 103,000 |
| Sum overføringer og disponeringer | NOK 425,000 | NOK 103,000 |
Balance sheet
| 2025 | Previous year | |
|---|---|---|
| Machinery and equipment | NOK 58,000 | NOK 79,000 |
| Equipment and other movables | NOK 1.2m | NOK 1.1m |
| Sum varige driftsmidler | NOK 1.3m | NOK 1.2m |
| Other long-term receivables | NOK 24,000 | NOK 24,000 |
| Sum finansielle anleggsmidler | NOK 24,000 | NOK 24,000 |
| Sum anleggsmidler | NOK 1.3m | NOK 1.2m |
| Accounts receivables | NOK 1.6m | NOK 434,000 |
| Other short-term receivables | NOK 42,000 | NOK 29,000 |
| Sum fordringer | NOK 1.7m | NOK 464,000 |
| Cash and cash equivalents | NOK 1.0m | NOK 381,000 |
| Sum bankinnskudd kontanter og lignende | NOK 1.0m | NOK 381,000 |
| Sum omløpsmidler | NOK 2.7m | NOK 845,000 |
| SUM EIENDELER | NOK 4.0m | NOK 2.1m |
| Share capital | NOK 100,000 | NOK 30,000 |
| Annen innskutt egenkapital | – | NOK 70,000 |
| Sum innskutt egenkapital | NOK 100,000 | NOK 100,000 |
| Other equity | NOK 735,000 | NOK 310,000 |
| Sum opptjent egenkapital | NOK 735,000 | NOK 310,000 |
| Sum egenkapital | NOK 835,000 | NOK 410,000 |
| Utsatt skatt | NOK 30,000 | NOK 2,000 |
| Sum avsetninger for forpliktelser | NOK 30,000 | NOK 2,000 |
| Gjeld til kredittinstitusjoner | NOK 1.3m | NOK 1.4m |
| Langsiktig konserngjeld | NOK −109,000 | NOK −450,000 |
| Sum annen langsiktig gjeld | NOK 1.2m | NOK 994,000 |
| Sum langsiktig gjeld | NOK 1.2m | NOK 996,000 |
| Leverandørgjeld | NOK 68,000 | NOK −6,000 |
| Tax pavable | NOK 92,000 | – |
| Public duties pavable | NOK 1.2m | NOK 524,000 |
| Other current liabilities | NOK 555,000 | NOK 167,000 |
| Sum kortsiktig gjeld | NOK 1.9m | NOK 685,000 |
| Sum gjeld | NOK 3.2m | NOK 1.7m |
| SUM EGENKAPITAL OG GJELD | NOK 4.0m | NOK 2.1m |
The figures are read automatically from the filed annual report and may contain errors. Control figures are reconciled against the Register of Company Accounts.
Source: Biztrac.no · Data from the Brønnøysund Register Centre and the Norwegian Tax Administration · Last updated 15.06.2026.