This website uses cookies to enhance the user experience.
KOMPETANSESENTER FOR BRUKERERFARING OG TJENESTEUTVIKLING KBT

KOMPETANSESENTER FOR BRUKERERFARING OG TJENESTEUTVIKLING KBT998 336 759

Organizations
Foundation
Sorgenfriveien 9 7031 TRONDHEIM, Norge

KOMPETANSESENTER FOR BRUKERERFARING OG TJENESTEUTVIKLING KBT

Vi løfter brukerstemmen
KBT jobber for at brukeres stemme skal bli hørt i forskning og i utvikling av helse- og velferdstjenester, fag og utdanning. Brukeres erfaringskunnskap er like viktig som tradisjonell fagkunnskap. Ved å ha en likeverdig dialog mellom fag og erfaring kan vi skape bedre vilkår for mennesker med livsutfordringer

Keywords

civic initiativesprotest movementsenvironmental movementsecological movementsminority groupspatrioticassociationswar veteransconsumer organizationsautomobile associationsrotary clubslodgesyouth organizationsstudent associationsclubs and fraternitiesliterary associationshistorical associationsgarden societiesfilm clubsphotography clubsmusic associationsart associationscraft associationsstamp clubs

Links

Organization

Chairman of the board
Years since formation
12 years
since Jun 20, 2012
Type
Foundation
VAT registered
Yes
Number of employees
12

Financials

Total operating income 2023
7,637,322
NOK
Annual total result 2023
103,420
NOK
Total equity 2023
732,930
NOK
Last update: Aug 29, 2024

Management

Management / administration

NameRoleShares
Managing Director/CEO-

Board

NameRoleShares
Chairman-
Deputy Chair-
Board Member-
Board Member-
Board Member-
Board Member-
Alternate Member-
Board Member-

Others

NameRoleShares
B
BDO AS
Auditor-
E
EVER TRONDHEIM AS
Accountant-
Last update: Jul 25, 2024

Ownership

Shares owned by the KOMPETANSESENTER FOR BRUKERERFARING OG TJENESTEUTVIKLING KBT

NameShare classNumber of sharesShare
K
KBT KOMPETANSE AS
Ordinary shares
1,000
100 %
K
KBT FAGSKOLE AS
Ordinary shares
390
39 %
Last update: May 24, 2024

Group structure

Financials

in NOK

Summary

Year202320222021
Total operating income
7,637,322
9,929,760
11,064,793
Annual Total Result
103,420
-76,645
338,638
Total assets
2,386,634
3,394,253
4,986,290
Total liabilities
1,653,705
2,764,743
4,280,136
Total equity
732,930
629,509
706,154

P&L

Year202320222021
Total operating income
7,637,322
9,929,760
11,064,793
Total operating costs
7,554,116
10,019,048
10,738,705
Operating result
83,206
-89,288
326,089
Financial income/costs
20,214
12,643
12,549
Profit before tax
103,420
-76,645
338,638
Total tax & extraordinary income/cost
0
0
0
Annual Total Result
103,420
-76,645
338,638

Balance overview

Year202320222021
Total fixed assets
201,484
282,635
313,885
Total current assets
2,185,150
3,111,618
4,672,405
Total assets
2,386,634
3,394,253
4,986,290
Short term debt
1,653,705
2,764,743
4,280,136
Long term debt
0
0
0
Total liabilities
1,653,705
2,764,743
4,280,136
Contributed capital
100,000
100,000
100,000
Retained earnings
632,930
529,509
606,154
Total equity
732,930
629,509
706,154
Total equity and liabilities
2,386,634
3,394,253
4,986,290

Classification

Type of organization
Foundation
Standard industrial classification
S
Main industrial area
Other service activities
94
Activity
Activities of membership organisations
94.9
Main industrial group
Activities of other membership organisations
94.99
Industrial group
Activities of other membership organisations n.e.c.
94.991
Industrial group
Activities of other membership organisations