BIZTRAC BETA
Rental and leasing of office machinery, equipment and computers

RICOH CAPITAL NORWAY AS

Org. no. 997597788 Limited company (AS) Oslo Incorporated 2011 Active
Ownership graph ↗
Revenue 2025 NOK 3.2m
Operating profit NOK 1.8m
Equity NOK 8.5m
Incorporated 2011
Share capital NOK 100,000
60
Credit score
Lav risiko
Operating margin
55.7%
Net margin
159.0%
Equity ratio
4.7%
Current ratio
0.41
Debt ratio
20.31
Audit
Audited

Analysis

  • Egenkapitalandelen er lav på 4.7%.
  • Kortsiktig gjeld overstiger omløpsmidlene – negativ likviditetsgrad.
  • Sterk driftsmargin på 55.7%.
  • Selskapet har ingen langsiktig gjeld.

Income statement

Periode: 2024-04-01 – 2025-03-31 · Alle tall i NOK

Total operating revenueNOK 3.2m
Total operating costsNOK 1.4m
Operating profit (EBIT)NOK 1.8m
Net financial itemsNOK 4.8m
Profit before taxNOK 6.6m
Profit for the yearNOK 5.2m

Balance sheet

Per 2025-03-31 · Alle tall i NOK

Assets

Non-current assetsNOK 109.7m
Current assetsNOK 71.6m
Total assetsNOK 181.3m

Equity and liabilities

Paid-in equityNOK 8.5m
Retained earningsNOK 0
Total equityNOK 8.5m
Current liabilitiesNOK 172.8m
Non-current liabilitiesNOK 0
Total equity and liabilitiesNOK 181.3m

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 59,000

Income statement

2025Previous year
Annen driftsinntektNOK 3.2mNOK 1.4m
Sum inntekterNOK 3.2mNOK 1.4m
Annen driftskostnadNOK 1.4mNOK 705,000
Sum kostnaderNOK 1.4mNOK 705,000
DriftsresultatNOK 1.8mNOK 674,000
Annen finansinntektNOK 13.2mNOK 10.1m
Sum finansinntekterNOK 13.2mNOK 10.1m
Annen finanskostnadNOK 8.4mNOK 5.3m
Sum finanskostnaderNOK 8.4mNOK 5.3m
Netto finansNOK 4.8mNOK 4.7m
Resultat før skattekostnadNOK 6.6mNOK 5.4m
SkattekostnadNOK 1.5mNOK 1.2m
ÅrsresultatNOK 5.2mNOK 4.2m
Avgitt konsernbidragNOK −5.1mNOK 2.1m
Sum overføringer og disponeringerNOK 5.2mNOK 4.2m

Balance sheet

2025Previous year
Avsatt til annen egenkapitalNOK 10.3mNOK 2.1m
Utsatt skattefordelNOK 463,000NOK 273,000
Sum immaterlelle elendelerNOK 463,000NOK 273,000
Andre fordringerNOK 109.2mNOK 100.6m
Sum finansielle anleggsmidlerNOK 109.2mNOK 100.6m
Sum anleggsmidlerNOK 109.7mNOK 100.9m
KundefordringerNOK 6.2mNOK 5.3m
Andre kortsiktige fordringerNOK 65.3mNOK 53.9m
Sum fordringerNOK 71.6mNOK 59.2m
Bankinnskudd, kontanter og lignendeNOK 59,000NOK 64,000
Sum bankinnskudd kontanter og lignendeNOK 59,000NOK 64,000
Sum omløpsmidlerNOK 71.6mNOK 59.3m
SUM EIENDELERNOK 181.3mNOK 160.2m
AksjekapitalNOK 100,000NOK 100,000
Annen innskutt egenkapitalNOK 8.4mNOK 8.4m
Sum innskutt egenkapitalNOK 8.5mNOK 8.5m
Sum egenkapitalNOK 8.5mNOK 8.5m
Sum langsiktig gjeldNOK 0NOK 0
LeverandørgjeldNOK 11.6mNOK 10.8m
Betalbar skattNOK 999,000NOK 1.2m
Annen kortsiktig gjeldNOK 160.1mNOK 139.6m
Sum kortsiktig gjeldNOK 172.8mNOK 151.7m
Sum gjeldNOK 172.8mNOK 151.7m
Sum egenkapital og gjeldNOK 181.3mNOK 160.2m

Cash flow

2025Previous year
Årsresultat før skattekostnadNOK 6.6m
Periodens betalte skattNOK −419,000NOK −1.0m
Endringer I konsernmellomværenderNOK −105,000NOK −1.2m
Endring i andre omløpsmidler og andreNOK −14.1mNOK −12.1m
Netto kontantstrømmer fra operasjonelleNOK −8.1mNOK −9.0m
Netto kontantstrøm fra investeringsaktiviteterNOK 0NOK 0
Endringer ved Cash PoolingNOK 153.0mNOK 0
Endringer ved finansiell leasingNOK −8.6mNOK −18.1m
Netto kontantstrøm fra finansieringsaktiviteterNOK 144.4mNOK −18.1m
Netto endring i bankinnskudd, kontanter ogNOK 136.4mNOK −27.1m
Beholdning av bankinnskudd, kontanter ogNOK −136.3mNOK −109.2m
Beholdning av bankinnskudd, kontanter ogNOK 29,000NOK 336,000

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: the Brønnøysund registers / the Register of Company Accounts. Credit score calculated by Biztrac.

Source: Biztrac.no · Data from the Brønnøysund Register Centre and the Norwegian Tax Administration · Last updated 15.06.2026.

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