Overview
Status
Active
Registry date
2008-01-17
Share capital
3 260 000,00 PLN
Registered address
ul. Wierzbowa 74, 47-320 Gogolin, Poland
Electronic delivery address
AE:PL-49729-89063-GVIAU-19
Financials
Revenue history (in k)
Data and insights are generated automatically based on financial statements and may contain errors. This analysis is for informational purposes only and does not constitute an official assessment of the company's credibility or business advice.
Statistics
How the company ranks by revenue within its industry, region and across Poland in 2025.
Results vs industry
Revenue
This companyUSD 3.65mMedianUSD 1.06mAverageUSD 9.40m
Net profit
This companyUSD -2.40mMedianUSD 18.41kAverageUSD 379.86k
Operating costs
This companyUSD 5.77mMedianUSD 994.61kAverageUSD 8.78m
Assets
This companyUSD 14.06mMedianUSD 727.30kAverageUSD 7.00m
Industry
Bank accounts
Registered as a VAT taxpayer on 2008-03-01. Active
13 1050 1487 1000 0090 6050 6277
56 1050 1487 1000 0090 6971 0706
36 1050 1487 1000 0090 6185 7752
Debt
No entries in the National Debtors Register (KRZ). No proceedings in KRZ
Public aid
9 public aid cases recorded, with a total value of $26,555.
| Grant date | Purpose | Gross amount | Granting body | |
|---|---|---|---|---|
| Mar 16, 2026 | De minimis aid (in accordance with Commission Regulation 2023/2831) | $165$165 | Marszałek Województwa Opolskiego | |
| Mar 17, 2025 | De minimis aid (in accordance with Commission Regulation 2023/2831) | $35$35 | Marszałek Województwa Opolskiego | |
| Mar 15, 2024 | De minimis aid (in accordance with Commission Regulation No 1407/2013 or earlier) | $14$14 | Marszałek Województwa Opolskiego |
Tenders
No recorded participation in tenders.
Regulatory authorisations
| Authority | Type | Status | |
|---|---|---|---|
| Waste generation | Active |
Authorized Representatives
Mariusz Fryderyk Kiełbiński — Management Board Member
Johan Gerrit Hoorneman — Management Board Member
Manner of representation
Each member of the management board is entitled to make declarations of will on behalf of the company independently.
Ownership
| Owner | Shares | Share value | Stake |
|---|---|---|---|
Verder Liquids B.v. | 6,520 | $880,605.08 | 100% |
Beneficial owners
| Person | Rights | |
|---|---|---|
Andries Jan Maria Verder (60) | Posiada 99,98% udziałów w spółce verder investments gcv (brasschaat, belgium), która posiada 100% udziałów w spółce stichting administratiekantoor verder international (vleuten,netherlands), która posiada 100% udziałów w spółce verder international b.v. (vleuten, netherlands), która posiada 100% udziałów w spółce verder liquids bv, która posiada 100% udziałów w spółce |
Competitors
| Name | Revenue | Website | ||
|---|---|---|---|---|
| Wisensp. z o.o. | $6,097,517.94 | wisen.pl | ||
| Pakomsp. z o.o. | $4,148,997.28 | pakom.com.pl | ||
| EB Akcesoria Meblowesp. z o.o. | $3,957,802.18 | eb.net.pl | ||
| PTS Pordziksp. z o.o. | $3,707,763.66 | pordzik.pl | ||
| Beckersp. z o.o. | $3,645,737.89 | plastikowepalety.pl | ||
| Gondeksp. z o.o. | $3,521,065.30 | gondek.com.pl | ||
| Metrox-Plastsp. z o.o. | $3,485,852.57 | metrox-plast.pl | ||
| Florimex A. Więckowski, W. Okrzeja, A. Adamowicz, M. AdamowiczS.K.A. | $3,395,441.90 | florimex.pl | ||
| ICS Polandsp. z o.o. | $3,169,057.72 | ics-italy.it | ||
| Plastiflorasp. z o.o. + limited partnership | $3,003,552.66 | plastiflora.pl |
Change history
| Date | Event | |
|---|---|---|
| 2025-09-04 | Share capital change (3,257,500.00 PLN → 3,260,000.00 PLN) | |
| 2025-01-24 | Share capital change (3,255,000.00 PLN → 3,257,500.00 PLN) | |
| 2024-09-06 | Share capital change (3,252,500.00 PLN → 3,255,000.00 PLN) | |
| 2024-07-04 | Share capital change (3,250,000.00 PLN → 3,252,500.00 PLN) | |
| 2024-01-12 | Address change (Szkolna 25, 47-330, Dąbrówka → Ul. Wierzbowa 74, 47-320, Gogolin) |
FAQ
The main business activity of MTP Met-Plast focuses on manufacture of other plastic products.
The company was registered in the Polish National Court Register (KRS) on January 17, 2008.
The headquarters is located at: ul. Wierzbowa 74, 47-320 Gogolin.
The share capital of the company is PLN 3,260,000 (approx. $880,605).
The latest available financial statement covers the period from January 1, 2025 to December 31, 2025.
The company reported a revenue of $3,647,985 in 2025, which is an increase of 61.4% compared to 2024.
No, in 2025 the company was not profitable, reporting a net loss of $2,395,014. For comparison, in 2024 the loss was $2,002,238, meaning the company increased its loss by 19.3%.
The largest operating cost category falls under materials and energy. This category amounted to $2,339,641 in 2025, representing 41% of all operating expenses.
Last updated: 2026-06-19