Aktsiaselts Viimsi Keevitus

10041320

Company info

Aktsiaselts Viimsi Keevitus

10041320

Vee- ja kanalisatsioonitööd | Viimsi Keevitushttps://viimsikeevitus.eeVee- ja kanalisatsioonitööd | Viimsi Keevitus

Viimsi Keevituse tegevusala on vee- ja kanalisatsiooni sise- ja välisvõrkude ehitus ning küttesüsteemide ehitus. ➤ Võta ühendust! ☎ (+372) 6090343

General info

Name

Aktsiaselts Viimsi Keevitus

Registry code

10041320

VAT number

EE100438433

Type

AS - Joint Stock Company

Status

Registered

Foundation date

06.06.1996 (28)

Financial year

01.01-31.12

Capital

25 728.00 €

Activity

71121 - Constructional engineering-technical designing and consulting 43222 - Installation of plumbing and sanitary equipment 4221 - Construction of utility projects for fluids

Revenue

11 793 782 €

Profit

112 041 €

Profit margin

1%

Gross salary

2 552 €

(estimate is approximate)

Equity

15 038 877 €

Employees

35

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

1%

Return on assets

1%

Related parties

Owner Representative Beneficial owner Roles

Jaak Ritso

01.05.1968 (56)

100% - 25 664.00 EUR Board member Direct ownership Shareholder

Diana Lemmik

04.09.1974 (50)

- Board member -

Urmas Kibe

08.12.1981 (42)

- - - Board member

Ago Rebane

19.04.1968 (56)

- - - Board member

Andres Saar

11.11.1970 (53)

- - - Board member

Related companies

Owner Representative Beneficial owner Roles

Osaühing Viimsi Keevitus Kinnisvara

12848600

100% - 2 500.00 EUR - - Founder

Financial info

2019
20.05.2020
2020
09.06.2021
2021
26.05.2022
2022
17.05.2023
2023
14.05.2024
Total Revenue 11 655 992 € 13 625 056 € 14 179 123 € 16 506 676 € 11 793 782 €
Net profit (loss) for the period 727 170 € 412 840 € 2 931 217 € 779 318 € 112 041 €
Profit Margin 6% 3% 21% 5% 1%
Current Assets 12 022 671 € 12 723 794 € 15 116 521 € 15 877 543 € 15 449 055 €
Fixed Assets 1 051 491 € 1 133 844 € 1 128 984 € 956 932 € 932 513 €
Total Assets 13 074 162 € 13 857 638 € 16 245 505 € 16 747 040 € 16 381 568 €
Current Liabilities 2 139 202 € 2 509 837 € 1 966 487 € 1 757 639 € 1 342 691 €
Non Current Liabilities - - - - -
Total Liabilities - - - - -
Share Capital 25 728 € 25 728 € 25 728 € 25 728 € 25 728 €
Equity 10 934 960 € 11 347 801 € 14 279 018 € 15 076 836 € 15 038 877 €
Employees 36 35 35 36 35

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 2 928 362.81 € 385 890.67 € 168 457.87 € 33
2023 Q4 3 639 706.18 € 265 840.98 € 138 861.02 € 34
2023 Q3 3 240 693.04 € 287 881.86 € 158 751.34 € 34
2023 Q2 2 538 095.09 € 205 950.05 € 135 753.33 € 38
2023 Q1 3 497 273.35 € 427 635.95 € 135 555.35 € 36
2022 Q4 4 365 700.56 € 283 598.3 € 124 260.22 € 36
2022 Q3 4 346 896.26 € 224 378.84 € 144 000.42 € 35
2022 Q2 3 734 796.72 € 255 371.21 € 131 553.81 € 37
2022 Q1 3 952 840.67 € 411 312.05 € 127 477.31 € 35
2021 Q4 3 991 194.43 € 306 061.25 € 113 235.11 € 34
2021 Q3 4 099 122.52 € 234 445.23 € 128 362.64 € 34
2021 Q2 2 870 752.46 € 156 831.36 € 135 270.42 € 34
2021 Q1 3 252 092.11 € 342 735.97 € 115 147.99 € 33
2020 Q4 3 709 463.49 € 103 000.58 € 103 451.08 € 32
2020 Q3 4 248 318.13 € 246 525.8 € 107 061.91 € 33
2020 Q2 2 857 856.81 € 220 059.94 € 111 555.92 € 33
2020 Q1 1 605 038.92 € 160 224.92 € 124 736.87 € 33