Q2715058 (Q2715058): Difference between revisions
Jump to navigation
Jump to search
(Changed an Item: Edited by the materialized bot - inferring region from the coordinates) |
(Created claim: summary (P836): The project concerns support to the company to provide liquidity and to support its day-to-day operations in view of the financial difficulties that have occurred in the company as a result of the COVID-19 outbreak. Financial aid under scheme SA.57015. Due to the epidemiological situation, my company has suffered significant financial losses. As a transport company we have high fixed costs resulting from the current service of the company: wages...) |
||||||||||||||
Property / summary | |||||||||||||||
The project concerns support to the company to provide liquidity and to support its day-to-day operations in view of the financial difficulties that have occurred in the company as a result of the COVID-19 outbreak. Financial aid under scheme SA.57015. Due to the epidemiological situation, my company has suffered significant financial losses. As a transport company we have high fixed costs resulting from the current service of the company: wages, vehicle leasing, maintenance, etc. In the pre-Covid-19 conditions, we were able to secure these costs, unfortunately the significant decrease in the number of orders between March and the current period causes difficulties in maintaining the company’s financial liquidity. Additional costs arising from sanitary restrictions – protection measures, extended execution time, which translates into a reduction in their number, etc. We will need resources for working capital in order to improve the financial liquidity of the company and maintain the position. The decline in transport procurement, due to the numerous restrictions linked to COVID-19, is in a significant organic way for us to quickly return to normal working conditions. The capital raised will enable me to get out of the difficult situation faster and more efficiently. (English) | |||||||||||||||
Property / summary: The project concerns support to the company to provide liquidity and to support its day-to-day operations in view of the financial difficulties that have occurred in the company as a result of the COVID-19 outbreak. Financial aid under scheme SA.57015. Due to the epidemiological situation, my company has suffered significant financial losses. As a transport company we have high fixed costs resulting from the current service of the company: wages, vehicle leasing, maintenance, etc. In the pre-Covid-19 conditions, we were able to secure these costs, unfortunately the significant decrease in the number of orders between March and the current period causes difficulties in maintaining the company’s financial liquidity. Additional costs arising from sanitary restrictions – protection measures, extended execution time, which translates into a reduction in their number, etc. We will need resources for working capital in order to improve the financial liquidity of the company and maintain the position. The decline in transport procurement, due to the numerous restrictions linked to COVID-19, is in a significant organic way for us to quickly return to normal working conditions. The capital raised will enable me to get out of the difficult situation faster and more efficiently. (English) / rank | |||||||||||||||
Normal rank | |||||||||||||||
Property / summary: The project concerns support to the company to provide liquidity and to support its day-to-day operations in view of the financial difficulties that have occurred in the company as a result of the COVID-19 outbreak. Financial aid under scheme SA.57015. Due to the epidemiological situation, my company has suffered significant financial losses. As a transport company we have high fixed costs resulting from the current service of the company: wages, vehicle leasing, maintenance, etc. In the pre-Covid-19 conditions, we were able to secure these costs, unfortunately the significant decrease in the number of orders between March and the current period causes difficulties in maintaining the company’s financial liquidity. Additional costs arising from sanitary restrictions – protection measures, extended execution time, which translates into a reduction in their number, etc. We will need resources for working capital in order to improve the financial liquidity of the company and maintain the position. The decline in transport procurement, due to the numerous restrictions linked to COVID-19, is in a significant organic way for us to quickly return to normal working conditions. The capital raised will enable me to get out of the difficult situation faster and more efficiently. (English) / qualifier | |||||||||||||||
point in time: 8 July 2021
|
Revision as of 00:30, 8 July 2021
Project Q2715058 in Poland
Language | Label | Description | Also known as |
---|---|---|---|
English | No label defined |
Project Q2715058 in Poland |
Statements
23,535.33 zloty
0 references
23,535.33 zloty
0 references
100.0 percent
0 references
1 September 2020
0 references
30 November 2020
0 references
TRANSPORT SPEDYCJA DUSZYŃSKI DIONIZY
0 references
Projekt dotyczy wsparcia przedsiębiorstwa w zakresie zapewnienia płynności finansowej oraz wsparcia bieżącej działalności w związku z trudnościami finansowymi, które wystąpiły w przedsiębiorstwie wskutek epidemii COVID-19. Pomoc finansowa udzielana na podstawie programu nr SA.57015. W związku z zaistniałą sytuacją epidemiologiczną moja firma odnotowała znaczne straty finansowe. Jako firma transportowa mamy wysokie koszty stałe wynikające z bieżącej obsługi firmy: wynagrodzenia, leasingi pojazdów, obsługa techniczna itp. W warunkach przed Covid-19 byliśmy w stanie zabezpieczyć te koszty, niestety znaczny spadek liczby zamówień w okresie od marca aż do bieżącego okresu powoduje trudności w utrzymaniu płynności finansowej firmy. Powstały dodatkowe koszty wynikające z obostrzeń sanitarnych- środki ochrony, wydłużony czas realizacji zleceń co przekłada się na zmniejszenie ich ilości itd Środki na kapitał obrotowy będą nam niezbędne w celu poprawy płynności finansowej firmy i utrzymania stanowiska pracy. Spadek zamówień transportowych związany z licznymi ograniczeniami związanymi z Covid-19 w znaczący sposób organiczna nam możliwości szybkiego powrotu na normalny tryb pracy. Pozyskany kapitał umożliwi mi szybsze i sprawniejsze wyjście z trudnej sytuacji. (Polish)
0 references
The project concerns support to the company to provide liquidity and to support its day-to-day operations in view of the financial difficulties that have occurred in the company as a result of the COVID-19 outbreak. Financial aid under scheme SA.57015. Due to the epidemiological situation, my company has suffered significant financial losses. As a transport company we have high fixed costs resulting from the current service of the company: wages, vehicle leasing, maintenance, etc. In the pre-Covid-19 conditions, we were able to secure these costs, unfortunately the significant decrease in the number of orders between March and the current period causes difficulties in maintaining the company’s financial liquidity. Additional costs arising from sanitary restrictions – protection measures, extended execution time, which translates into a reduction in their number, etc. We will need resources for working capital in order to improve the financial liquidity of the company and maintain the position. The decline in transport procurement, due to the numerous restrictions linked to COVID-19, is in a significant organic way for us to quickly return to normal working conditions. The capital raised will enable me to get out of the difficult situation faster and more efficiently. (English)
8 July 2021
0 references
Identifiers
RPSW.02.05.00-26-0580/20
0 references