Osaühing Siimel

10298236

General info

Name

Osaühing Siimel

Registry code

10298236

VAT number

EE100390021

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

15.10.1997 (26)

Financial year

01.01-31.12

Capital

24 084.00 €

Activity

45201 - Maintenance and repair of motor vehicles 68201 - Rental and operating of own or leased real estate

Revenue

17 233 €

Profit

8 333 €

Profit margin

48%

Gross salary

384 €

(estimate is approximate)

Equity

49 353 €

Employees

2

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

17%

Return on assets

16%

Related parties

Owner Representative Beneficial owner Roles

Heino Nigulas

26.02.1938 (86)

0% - 78.00 EUR - -

Urve Pütsep

22.02.1946 (78)

0% - 78.00 EUR - -

Jaanus Roose

10.07.1953 (71)

0% - 78.00 EUR - -

Helje Saul

25.03.1963 (61)

0% - 78.00 EUR - -

Hans-Valdeko Schasmin

03.05.1934 (90)

0% - 78.00 EUR - -

Vahur Tikan

14.12.1966 (57)

0% - 78.00 EUR - -

Vladimir Sumin

14.03.1941 (83)

0% - 78.00 EUR - -

Maret Vooder

28.02.1947 (77)

0% - 78.00 EUR - -

Vello Halliväli

10.02.1939 (85)

0% - 78.00 EUR - -

Ago Kuusk

05.05.1934 (90)

0% - 78.00 EUR - -

Taime Põld

14.08.1955 (69)

0% - 78.00 EUR - -

Tiit Tooming

20.10.1971 (52)

0% - 78.00 EUR - -

Vambola Paate

15.01.1956 (68)

3% - 708.00 EUR - -

Mall Paate

12.11.1933 (90)

3% - 708.00 EUR - -

Harri Paate

19.03.1957 (67)

3% - 708.00 EUR - -

Merelen Osaühing

10911375

91% - 21 960.00 EUR - -

Tiit Vaasma

05.05.1982 (42)

1% - 162.00 EUR - -

Anne Kriel

15.04.1962 (62)

1% - 162.00 EUR - -

Kaidi Kriel

18.09.1981 (42)

1% - 162.00 EUR - -

Katre Kriel

10.11.1983 (40)

1% - 162.00 EUR - -

Kaijo Kriel

18.05.1989 (35)

1% - 162.00 EUR - -

Ain Viik

30.06.1958 (66)

- Board member Direct ownership

Financial info

2019
09.07.2020
2020
30.06.2021
2021
30.06.2022
2022
29.06.2023
2023
29.06.2024
Total Revenue 77 723 € 29 890 € 31 006 € 13 712 € 17 233 €
Net profit (loss) for the period 9 997 € 1 562 € 7 081 € 4 289 € 8 333 €
Profit Margin 13% 5% 23% 31% 48%
Current Assets 33 247 € 31 338 € 22 581 € 29 895 € 25 000 €
Fixed Assets 83 263 € 59 993 € 52 197 € 36 793 € 26 483 €
Total Assets 116 510 € 91 331 € 74 778 € 66 688 € 51 483 €
Current Liabilities 88 422 € 61 681 € 38 047 € 25 668 € 2 130 €
Non Current Liabilities - - - - -
Total Liabilities - - - - -
Share Capital - - - - -
Equity 28 088 € 29 650 € 36 731 € 41 020 € 49 353 €
Employees 4 2 3 2 2

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 4 463.22 € 1 781.06 € 1 142.95 € 2
2023 Q4 4 154.25 € 2 033.03 € 1 318.1 € 2
2023 Q3 4 112.57 € 1 938.3 € 1 291.2 € 2
2023 Q2 4 621.78 € 1 989.69 € 1 291.2 € 2
2023 Q1 4 380.57 € 1 887.65 € 1 243.03 € 2
2022 Q4 3 933.67 € 1 865.26 € 1 173.58 € 2
2022 Q3 18 945.96 € 4 604.75 € 956 € 2
2022 Q2 2 714.08 € 1 031.56 € 639.71 € 2
2022 Q1 2 528.51 € 1 330.99 € 947.57 € 2
2021 Q4 2 146.29 € 1 377.2 € 956.65 € 2
2021 Q3 10 036.05 € 4 296.34 € 3 193.8 € 2
2021 Q2 10 388.54 € 3 495.43 € 2 218.61 € 3
2021 Q1 10 190.72 € 3 607.45 € 2 105.04 € 4
2020 Q4 10 707.22 € 3 845.96 € 2 225.32 € 4
2020 Q3 19 957.78 € 4 871.01 € 1 983.74 € 4
2020 Q2 8 325.6 € 2 795.41 € 1 775.11 € 4
2020 Q1 3 575.6 € 2 338.65 € 2 023.3 € 4