osaühing Hanken

10049148

Company info

osaühing Hanken

10049148

Sanitaartehnilised tööd, veevarustuse- ja kanalisatsioonitööd | Hanken OÜhttps://hanken.eeSanitaartehnilised tööd, veevarustuse- ja kanalisatsioonitööd | Hanken OÜ

Pakume sanitaartehnilisi töid "võtmed kätte põhimõttel" juba aastast 1993. Tänu kõrgelt kvalifitseeritud ja suurte kogemustega personalile, suudame lahendada ka kõige komplekssemaid hoonete tehnokommunikatsioonidega seonduvaid ülesandeid.

General info

Name

osaühing Hanken

Registry code

10049148

VAT number

EE100072381

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

05.07.1996 (28)

Financial year

01.01-31.12

Capital

103 280.00 €

Activity

43222 - Installation of plumbing and sanitary equipment

Revenue

3 348 213 €

Profit

14 866 €

Profit margin

0%

Gross salary

2 104 €

(estimate is approximate)

Equity

220 653 €

Employees

47

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

7%

Return on assets

2%

Related parties

Owner Representative Beneficial owner Roles

Mihkel Talts

13.08.1959 (65)

30% - 30 984.00 EUR Board member Direct ownership

Tiit Reissaar

21.05.1958 (66)

30% - 30 984.00 EUR Board member Direct ownership

Olav Hänilane

09.06.1955 (69)

30% - 30 984.00 EUR - Direct ownership

osaühing Hanken

10049148

10% - 10 328.00 EUR - -

Indrek Siigur

06.03.1962 (62)

- Board member -

Related companies

Owner Representative Beneficial owner Roles

osaühing Hanken

10049148

10% - 10 328.00 EUR - -

Financial info

2019
28.01.2020
2020
15.04.2021
2021
24.03.2022
2022
21.04.2023
2023
21.03.2024
Total Revenue 3 223 307 € 1 891 804 € 2 364 291 € 3 219 022 € 3 348 213 €
Net profit (loss) for the period 192 112 € -34 506 € -160 772 € 154 114 € 14 866 €
Profit Margin 6% -2% -7% 5% 0%
Current Assets 574 746 € 592 442 € 411 439 € 605 094 € 575 849 €
Fixed Assets 79 237 € 72 129 € 67 012 € 70 614 € 84 863 €
Total Assets 653 983 € 664 571 € 478 451 € 675 708 € 660 712 €
Current Liabilities 197 033 € 302 127 € 276 778 € 319 921 € 440 059 €
Non Current Liabilities 0 € 0 € - - -
Total Liabilities - - - - -
Share Capital - - - - -
Equity 456 950 € 362 444 € 201 673 € 355 787 € 220 653 €
Employees 45 42 44 48 47

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 736 169.99 € 217 426.39 € 161 641.55 € 49
2023 Q4 743 990.87 € 235 272.29 € 155 927.05 € 49
2023 Q3 920 001.01 € 267 426.35 € 171 714.23 € 48
2023 Q2 976 371.11 € 261 564.29 € 150 020.58 € 51
2023 Q1 739 369.95 € 215 745.96 € 146 429.82 € 54
2022 Q4 827 054.37 € 218 453.4 € 146 782.91 € 51
2022 Q3 865 699.6 € 238 868.9 € 162 080.49 € 47
2022 Q2 1 059 463.03 € 236 211.28 € 126 057.22 € 51
2022 Q1 478 663.37 € 180 338.02 € 129 935.93 € 49
2021 Q4 626 007.46 € 188 658.06 € 135 841.86 € 52
2021 Q3 754 774.07 € 217 123.47 € 146 712.69 € 54
2021 Q2 582 404.87 € 166 696.83 € 119 097.5 € 52
2021 Q1 509 359.29 € 171 666.32 € 118 806.57 € 50
2020 Q4 627 124.62 € 166 726.16 € 115 180.91 € 49
2020 Q3 338 470.14 € 103 164.81 € 74 482.86 € 49
2020 Q2 375 930.29 € 132 873.25 € 85 355.78 € 45
2020 Q1 570 740.54 € 158 715.88 € 108 078.12 € 45