osaühing Varola

10150099

Company info

osaühing Varola

10150099

Varola puitmajadhttps://varola.eeVarola puitmajad

OÜ Varola toodab juba üle kümne aasta palkmaju, freesprussidest suvemaju, lehtlaid, saunu jne. Pakume ruumilisi lahendusi just kliendi soovidest lähtuvalt.

General info

Name

osaühing Varola

Registry code

10150099

VAT number

EE100003981

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

04.04.1997 (27)

Financial year

01.01-31.12

Capital

15 625.00 €

Activity

68201 - Rental and operating of own or leased real estate 3514 - Trade of electricity 16232 - Manufacture of prefabricated wooden buildings (e.g. saunas, summerhouses, houses) or elements thereof 1629 - Manufacture of other products of wood, manufacture of articles of cork, straw and plaiting materials 16109 - Manufacture of other wood treatment articles, inc chips, particles, wood wool etc 3109 - Manufacture of other furniture

Revenue

3 688 016 €

Profit

-91 817 €

Profit margin

-2%

Gross salary

1 764 €

(estimate is approximate)

Equity

1 389 249 €

Employees

35

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-7%

Return on assets

-4%

Related parties

Owner Representative Beneficial owner Roles

Toomas Heering

30.06.1967 (57)

58% - 9 050.00 EUR Board member -

Artur Poltan

01.05.1980 (44)

42% - 6 575.00 EUR Board member Direct ownership

Laura Hiis

10.05.1974 (50)

42% - 6 575.00 EUR - Direct ownership

Lilia Poltan

18.12.1953 (70)

42% - 6 575.00 EUR - Direct ownership

Financial info

2019
08.07.2020
2020
28.06.2021
2021
13.06.2022
2022
26.06.2023
2023
27.06.2024
Total Revenue 3 344 689 € 3 984 016 € 6 021 143 € 6 091 627 € 3 688 016 €
Net profit (loss) for the period 47 014 € 122 972 € 300 401 € 284 290 € -91 817 €
Profit Margin 1% 3% 5% 5% -2%
Current Assets 516 664 € 490 640 € 1 227 405 € 821 972 € 644 027 €
Fixed Assets 1 106 093 € 1 170 759 € 1 169 967 € 1 676 862 € 1 629 895 €
Total Assets 1 622 757 € 1 661 399 € 2 397 372 € 2 498 834 € 2 273 922 €
Current Liabilities 578 350 € 471 973 € 1 058 726 € 492 137 € 491 115 €
Non Current Liabilities 271 004 € 293 051 € 141 870 € 525 631 € 393 558 €
Total Liabilities 849 354 € 765 024 € 1 200 596 € 1 017 768 € 884 673 €
Share Capital - - - - -
Equity 773 403 € 896 375 € 1 196 776 € 1 481 066 € 1 389 249 €
Employees 53 53 57 52 35

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 741 837.36 € 98 987.47 € 85 669.77 € 44
2023 Q4 701 580.88 € 102 062.89 € 105 875.73 € 38
2023 Q3 1 225 591.11 € 96 923.68 € 102 618.75 € 39
2023 Q2 1 106 791.67 € 23 885.35 € 81 329.09 € 49
2023 Q1 992 535.12 € 74 361.47 € 76 735.89 € 38
2022 Q4 999 487.15 € 100 235.31 € 101 131.42 € 44
2022 Q3 2 016 924.13 € 9 696.22 € 121 682.5 € 48
2022 Q2 2 003 859.29 € - 97 247.47 € 62
2022 Q1 1 610 466.46 € 103 263.71 € 98 411.25 € 56
2021 Q4 1 561 672.45 € 16 460.11 € 101 386.21 € 54
2021 Q3 1 881 963 € 49 323.52 € 124 413.58 € 56
2021 Q2 1 812 765.29 € 77 012.04 € 115 335.64 € 60
2021 Q1 1 141 522.21 € 85 038.49 € 89 858.64 € 63
2020 Q4 1 134 965.22 € 91 063.52 € 97 817.66 € 51
2020 Q3 1 303 877.15 € 99 606.89 € 107 364.7 € 52
2020 Q2 1 121 880.34 € 76 871.51 € 82 531.08 € 56
2020 Q1 585 931.62 € 60 027.88 € 66 612.01 € 49