This website uses cookies to enhance the user experience.
V

VALDRES KOMMUNALE RENOVASJON IKS956 351 111

Waste and recycling
Inter-municipal company
Rebneskogen 2900 FAGERNES, Norge

VALDRES KOMMUNALE RENOVASJON IKS

Keywords

collectionnon-hazardous wastewastehouseholdswaste binscontainersremovaldemolition materialswaste products

Organization

Chairman of the board
Years since formation
29 years
since Mar 12, 1995
Type
Inter-municipal company
VAT registered
Yes
Number of employees
72

Financials

Total operating income 2023
118,826,644
NOK
Annual total result 2023
12,409,774
NOK
Total equity 2023
21,744,202
NOK
Last update: Oct 14, 2024

Management

Management / administration

NameRoleShares
Managing Director/CEO-

Board

NameRoleShares
S
SØR-AURDAL KOMMUNE
Participant with Pro Rata Liability (Shared Liability)-
N
NORD-AURDAL KOMMUNE
Participant with Pro Rata Liability (Shared Liability)-
V
VESTRE SLIDRE KOMMUNE
Participant with Pro Rata Liability (Shared Liability)-
Ø
ØYSTRE SLIDRE KOMMUNE
Participant with Pro Rata Liability (Shared Liability)-
V
VANG KOMMUNE
Participant with Pro Rata Liability (Shared Liability)-
E
ETNEDAL KOMMUNE
Participant with Pro Rata Liability (Shared Liability)-
Chairman-
Deputy Chair-
Board Member-
Board Member-
Board Member-
Alternate Member-
Board Member-
Alternate Member-
Alternate Member-
Board Member-
Alternate Member-

Others

NameRoleShares
I
INNLANDET REVISJON IKS
Auditor-
Last update: Jun 24, 2024

Ownership

Shares owned by the VALDRES KOMMUNALE RENOVASJON IKS

NameShare classNumber of sharesShare
R
RETURA VAL-HALL AS
Ordinary shares
500
50 %
Last update: May 24, 2024

Financials

in NOK

Summary

Year202320222021
Total operating income
118,826,644
100,512,475
95,907,988
Annual Total Result
12,409,774
-685,041
2,474,849
Total assets
142,419,775
107,952,802
110,026,969
Total liabilities
120,675,573
98,618,373
100,007,499
Total equity
21,744,202
9,334,428
10,019,470

P&L

Year202320222021
Total operating income
118,826,644
100,512,475
95,907,988
Total operating costs
103,191,891
99,647,736
92,837,152
Operating result
15,634,753
864,739
3,070,836
Financial income/costs
-3,224,979
-1,549,780
-595,987
Profit before tax
12,409,774
-685,041
2,474,849
Total tax & extraordinary income/cost
0
0
0
Annual Total Result
12,409,774
-685,041
2,474,849

Balance overview

Year202320222021
Total fixed assets
99,079,146
80,278,159
81,676,415
Total current assets
43,340,629
27,674,643
28,350,554
Total assets
142,419,775
107,952,802
110,026,969
Short term debt
10,023,420
8,810,969
9,144,938
Long term debt
110,652,153
89,807,404
90,862,561
Total liabilities
120,675,573
98,618,373
100,007,499
Contributed capital
5,782,940
5,544,738
5,355,372
Retained earnings
15,961,262
3,789,690
4,664,098
Total equity
21,744,202
9,334,428
10,019,470
Total equity and liabilities
142,419,775
107,952,801
110,026,969

Classification

Type of organization
Inter-municipal company
Standard industrial classification
E
Main industrial area
Water supply; sewerage, waste management and remediation activities
38
Activity
Waste collection, treatment and disposal activities, materials recovery
38.1
Main industrial group
Waste collection
38.11
Industrial group
Collection of non-hazardous waste
38.110
Industrial group
Collection of non-hazardous waste