Overview
Status
Active
Registry date
2016-03-25
Share capital
11 450,00 PLN
Registered address
ul. Lubicz 17F, 31-503 Kraków, Poland
Electronic delivery address
AE:PL-21505-68461-RIWWI-32
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 1.46mMedianUSD 113.52kAverageUSD 3.61m
Net profit
This companyUSD 244.99kMedianUSD 1.03kAverageUSD 538.21k
Operating costs
This companyUSD 1.09mMedianUSD 140.78kAverageUSD 2.53m
Assets
This companyUSD 874.02kMedianUSD 97.95kAverageUSD 3.64m
Industry
Bank accounts
Registered as a VAT taxpayer on 2016-05-17. Active
26 1030 1508 0000 0000 0016 0233
21 1140 1010 0000 4207 0700 1002
48 1140 1010 0000 4207 0700 1001
Debt
No entries in the National Debtors Register (KRZ). No proceedings in KRZ
Public aid
8 public aid cases recorded, with a total value of $249,272.
| Grant date | Purpose | Gross amount | Granting body | |
|---|---|---|---|---|
| Dec 19, 2022 | De minimis aid (in accordance with Commission Regulation No 1407/2013 or earlier) | — | Krakowski Park Technologiczny sp. z o.o. | |
| Jun 30, 2022 | De minimis aid (in accordance with Commission Regulation No 1407/2013 or earlier) | — | Krakowski Park Technologiczny sp. z o.o. | |
| May 31, 2021 | De minimis aid (in accordance with Commission Regulation No 1407/2013 or earlier) | — | Krakowski Park Technologiczny sp. z o.o. |
Tenders
No recorded participation in tenders.
Authorized Representatives
Adam Komarnicki — Vice President of the Management Board
Julita Szczycińska — President of the Management Board
Mateusz Przyborski — Management Board Member
Manner of representation
Each member of the management board is authorized to make declarations on behalf of the company independently and without limitation.
Ownership
| Owner | Shares | Share value | Stake |
|---|---|---|---|
Everfield Uk Limited | 229 | $3,092.92 | 100% |
Beneficial owners
| Person | Rights |
|---|---|
Vincenzo La Ruffa (46) | Sprawuje znaczącą kontrolę nad całą strukturą grupy spółek, w tym pośrednio nad podmiotem zgłaszającym |
Ignace Louis Ghislain Van Waesberghe (47) | Sprawuje znaczącą kontrolę nad całą strukturą grupy spółek, w tym pośrednio nad podmiotem zgłaszającym |
Competitors
| Name | Revenue | Website | |
|---|---|---|---|
| CashdirectorS.A. | $11,958,892.87 | cashdirector.com | |
| Kliniki.Plsp. z o.o. | $1,668,392.59 | tourmedica.pl | |
| Easy Ozesp. z o.o. | $1,372,692.57 | easyoze.pl | |
| Workconnectsp. z o.o. | $1,072,478.63 | workconnect.app | |
| Dobrymechanik.Pl Społka z Ograniczoną Odpowiedzialnościąsp. z o.o. | $832,808.81 | dobrymechanik.pl | |
| Sporticossp. z o.o. | $746,747.51 | sporticos.com | |
| Next Leapsp. z o.o. | $278,575.92 | studionext.pl | |
| Pracownia Warszawskasp. z o.o. | $240,602.78 | cowzdrowiu.pl |
Change history
| Date | Event |
|---|---|
| 2026-06-19 | Address change (Ul. Krakusa 11, 30-535, Kraków → Ul. Lubicz 17a, 31-503, Kraków) |
| 2025-11-03 | Address change (Ul. Święty Marcin 11/8, 61-803, Poznań → Ul. Krakusa 11, 30-535, Kraków) |
| 2025-11-03 | PKD change (Removed: 62.01.Z, 62.02.Z, 62.03.Z, 62.09.Z, 63.11.Z, 63.12.Z, 63.91.Z, 63.99.Z, 82.99.Z; Added: 60.31.Z, 60.39.Z, 62.10.B, 62.20.B, 62.90.Z, 63.10.D, 63.92.Z, 82.99) |
| 2019-06-26 | Share capital change (10,000.00 PLN → 11,450.00 PLN) |
| 2019-04-25 | Address change (Ul. Obornicka 330, 60-689, Poznań → Ul. Święty Marcin 11/8, 61-803, Poznań) |
FAQ
The main business activity of Grafik Optymalny focuses on other content distribution activities.
The company was registered in the Polish National Court Register (KRS) on March 25, 2016.
The headquarters is located at: ul. Lubicz 17F, 31-503 Kraków.
The share capital of the company is PLN 11,450 (approx. $3,093).
The latest available financial statement covers the period from January 1, 2025 to December 31, 2025.
In 2025, the company generated total revenue of USD 1,455,024, representing an increase of 15.8% compared to 2024.
Yes, the company recorded a net profit of USD 244,991 in 2025, meaning the company increased its profit by 175.2%.
The largest operating cost category falls under external services. This category amounted to USD 696,899 in 2025, representing 64% of all operating expenses.
Last updated: 2026-10-02