aktsiaselts PÕLVA VESI

10151183

Company info

aktsiaselts PÕLVA VESI

10151183

Põlva Vesi - klientide varustamine joogi- ja tehnilise veegahttps://polvavesi.eePõlva Vesi - klientide varustamine joogi- ja tehnilise veega

Meie meeskonna tegutsemise nurgakiviks on tööde ja toodete kõrge kvaliteet, hea klienditeenindus ja ühiskonnavastutus.

General info

Name

aktsiaselts PÕLVA VESI

Registry code

10151183

VAT number

EE100004003

Type

AS - Joint Stock Company

Status

Registered

Foundation date

15.04.1997 (27)

Financial year

01.01-31.12

Capital

120 320.00 €

Activity

36001 - Water collection, treatment and supply 37001 - Sewerage and wastewater management

Revenue

1 570 483 €

Profit

143 155 €

Profit margin

9%

Gross salary

2 265 €

(estimate is approximate)

Equity

20 288 395 €

Employees

12

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

1%

Return on assets

1%

Related parties

Owner Representative Beneficial owner Roles

Räpina Vallavalitsus

75025503

15% - 18 496.00 EUR - - Shareholder

Põlva Vallavalitsus

75038581

85% - 101 824.00 EUR - - Shareholder

Kristo Kivisaar

21.08.1982 (42)

- Board member -

Martti Rõigas

27.02.1984 (40)

- - More than 50% ownership in the consolidated entity's voting rights

Riho Luht

09.09.1971 (53)

- - - Board member

Andres Vijar

09.02.1967 (57)

- - - Board member

Anne Nook

17.01.1962 (62)

- - - Board member

Arne Tilk

13.09.1969 (55)

- - - Board member

Rene Kintsiraud

24.08.1988 (36)

- - - Board member

Financial info

2019
30.06.2020
2020
07.06.2021
2021
28.06.2022
2022
26.06.2023
2023
26.06.2024
Total Revenue 980 285 € 1 008 441 € 1 056 789 € 1 229 042 € 1 570 483 €
Net profit (loss) for the period 1 594 598 € -251 104 € 1 220 638 € -684 008 € 143 155 €
Profit Margin 163% -25% 116% -56% 9%
Current Assets 959 267 € 1 233 749 € 1 335 790 € 619 983 € 1 265 486 €
Fixed Assets 21 454 609 € 21 347 650 € 23 580 452 € 23 037 676 € 23 932 626 €
Total Assets 22 413 876 € 22 581 399 € 24 916 242 € 23 657 659 € 25 198 112 €
Current Liabilities 480 300 € 738 816 € 1 068 525 € 491 418 € 1 510 160 €
Non Current Liabilities 2 251 899 € 2 418 578 € 3 203 074 € 3 021 001 € 3 399 557 €
Total Liabilities 2 732 199 € 3 157 394 € 4 271 599 € 3 512 419 € 4 909 717 €
Share Capital 120 192 € 120 192 € 120 192 € 120 256 € 120 256 €
Equity 19 681 677 € 19 424 005 € 20 644 643 € 20 145 240 € 20 288 395 €
Employees 13 13 13 12 12

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 396 747.58 € 49 603.23 € 53 340.73 € 12
2023 Q4 415 587.98 € - 40 220.07 € 11
2023 Q3 416 200.12 € - 40 642.72 € 11
2023 Q2 467 472.06 € 33 465.81 € 39 865.15 € 11
2023 Q1 437 787.93 € 81 791.35 € 44 640.22 € 11
2022 Q4 362 386.64 € 55 683.45 € 35 739.69 € 11
2022 Q3 341 472.91 € 56 951.57 € 36 382.42 € 10
2022 Q2 344 376.98 € 36 858.81 € 35 124.71 € 11
2022 Q1 291 452.51 € - 42 276.33 € 12
2021 Q4 285 557.44 € - 32 248.68 € 12
2021 Q3 298 690.76 € - 34 074.18 € 11
2021 Q2 277 985.05 € - 31 833.23 € 12
2021 Q1 322 235.57 € - 37 785.96 € 19
2020 Q4 276 208.67 € - 30 110.04 € 17
2020 Q3 287 502.66 € 43 803.18 € 30 269.91 € 18
2020 Q2 297 766.74 € 35 579.98 € 28 036.97 € 18
2020 Q1 358 457.17 € - 34 342.41 € 19