Osaühing KEK Elekter

10001383

Company info

Osaühing KEK Elekter

10001383

KEK Elekter- Elektritööd, elektriprojekteerimine, nõrkvoolutöödhttp://kekelekter.eeKEK Elekter- Elektritööd, elektriprojekteerimine, nõrkvoolutööd

Elektritööd, elektriprojekteerimine, elektripaigaldise mõõte- ja teimitööd, elektrikilpide koostamine, elektripaigaldiste käit ja hooldus, nõrkvoolutööd, elektrikaupade müük

General info

Name

Osaühing KEK Elekter

Registry code

10001383

VAT number

EE100461264

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

16.02.1996 (28)

Financial year

01.01-31.12

Capital

20 064.00 €

Activity

4321 - Electrical installation

Revenue

2 527 805 €

Profit

7 848 €

Profit margin

0%

Gross salary

1 358 €

(estimate is approximate)

Equity

62 423 €

Employees

20

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

13%

Return on assets

1%

Related parties

Owner Representative Beneficial owner Roles

Ester Sepp

29.12.1946 (77)

25% - 5 026.00 EUR - Direct ownership Board member

Sten Kisand

30.01.1991 (33)

20% - 4 026.00 EUR Board member -

Raili Klaas

10.04.1955 (69)

20% - 4 026.00 EUR - - Board member

Rein Mark

28.04.1939 (85)

20% - 4 026.00 EUR - -

Osaühing KEK Elekter

10001383

15% - 2 960.00 EUR - -

Alar Kivistik

16.02.1944 (80)

- Board member -

Tõnis Kurepalu

25.01.1979 (45)

- - - Chairman of the board

Related companies

Owner Representative Beneficial owner Roles

Osaühing KEK Elekter

10001383

15% - 2 960.00 EUR - -

Financial info

2019
30.09.2020
2020
16.06.2021
2021
05.05.2022
2022
05.05.2023
2023
06.05.2024
Total Revenue 1 295 927 € 2 229 021 € 1 399 818 € 1 620 722 € 2 527 805 €
Net profit (loss) for the period -76 867 € -441 519 € 61 037 € 371 952 € 7 848 €
Profit Margin -6% -20% 4% 23% 0%
Current Assets 418 667 € 437 224 € 436 115 € 722 476 € 748 965 €
Fixed Assets 71 318 € 65 707 € 27 132 € 29 424 € 50 106 €
Total Assets 489 985 € 502 931 € 463 247 € 751 900 € 799 071 €
Current Liabilities 467 809 € 745 498 € 487 624 € 423 325 € 530 648 €
Non Current Liabilities 0 € 176 776 € 293 000 € 274 000 € 206 000 €
Total Liabilities - 922 274 € 780 624 € 697 325 € 736 648 €
Share Capital - - - - -
Equity 22 176 € -419 343 € -317 377 € 54 575 € 62 423 €
Employees 30 36 24 17 20

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 579 652.38 € 39 009.15 € 28 766.89 € 21
2023 Q4 692 746.6 € 117 896.78 € 53 913.87 € 20
2023 Q3 634 728.57 € 41 594.93 € 35 888.09 € 20
2023 Q2 856 183.76 € 97 246.15 € 46 082.1 € 20
2023 Q1 424 323.67 € 63 714.52 € 44 313.86 € 18
2022 Q4 732 694.56 € 99 321.14 € 39 329.31 € 17
2022 Q3 285 819.55 € 65 269.43 € 48 371.91 € 21
2022 Q2 240 510.05 € 35 410.69 € 22 525.44 € 22
2022 Q1 306 323.83 € 85 851.55 € 48 982.26 € 24
2021 Q4 293 849.34 € 69 881.92 € 57 437.44 € 24
2021 Q3 273 886.99 € 70 221.07 € 49 925.53 € 27
2021 Q2 265 266.18 € 89 823.32 € 61 896.17 € 29
2021 Q1 493 611.67 € 87 623.93 € 60 918.69 € 34
2020 Q4 504 585.74 € 109 989.49 € 80 352.84 € 38
2020 Q3 453 394.17 € 75 007.71 € 79 326.55 € 37
2020 Q2 642 653.14 € 78 765.41 € 59 669.95 € 35
2020 Q1 312 232.98 € 78 503.01 € 56 314.52 € 38