Inseneribüroo REIB OÜ

10434933

General info

Name

Inseneribüroo REIB OÜ

Registry code

10434933

VAT number

EE100230343

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

29.04.1998 (26)

Financial year

01.04-31.03

Capital

22 400.00 €

Activity

71122 - Construction geological and geodetic research

Revenue

-

Profit

-

Profit margin

-

Gross salary

-

Equity

-

Employees

-

Annual report

Not submitted

Tax arrears

No tax arrears

Return on equity

-

Return on assets

-

Related parties

Owner Representative Beneficial owner Roles

Mairolt Kakko

06.04.1968 (56)

36% - 8 000.00 EUR Board member Direct ownership

Margus Saavik

11.05.1955 (69)

33% - 7 360.00 EUR Board member Direct ownership

Leo Puudist

11.06.1941 (83)

1% - 320.00 EUR - -

Mairo Muidre

31.01.2005 (19)

1% - 320.00 EUR - -

Elmar Ney

30.10.1930 (94)

1% - 320.00 EUR - -

Tõnu Piits

04.09.1944 (80)

1% - 320.00 EUR - -

Valdur Väino

12.07.1960 (64)

1% - 320.00 EUR - -

Toomas Piir

24.04.1945 (79)

1% - 320.00 EUR - -

Mats Hunt

06.08.1959 (65)

1% - 320.00 EUR - -

Sirje Vaher

21.05.1946 (78)

1% - 320.00 EUR - -

Tiit Leinsalu

27.01.1954 (70)

1% - 320.00 EUR - -

Maimo Joala

11.05.1940 (84)

1% - 320.00 EUR - -

Maarja Lemberg

06.02.1982 (42)

1% - 320.00 EUR - -

Aso Allikmets

24.08.1962 (62)

1% - 320.00 EUR - -

Tiina Sleng

14.05.1955 (69)

1% - 320.00 EUR - -

Eimar Vallner

22.02.1958 (66)

1% - 320.00 EUR - -

Pille-Riin Pink

05.02.1993 (31)

1% - 320.00 EUR - -

Andres Kärk

17.09.1973 (51)

10% - 2 240.00 EUR - -

Indrek Heidemaa

13.05.1953 (71)

- Board member -

Financial info

2019
30.06.2021
2020
14.10.2021
2021
02.11.2022
2022
06.11.2023
Total Revenue 2 128 972 € 2 255 122 € 2 446 384 € 2 439 431 €
Net profit (loss) for the period 118 248 € 127 968 € 165 219 € 123 851 €
Profit Margin 6% 6% 7% 5%
Current Assets 1 199 265 € 1 331 457 € 1 564 726 € 1 704 950 €
Fixed Assets 663 495 € 665 579 € 671 724 € 625 321 €
Total Assets 1 862 760 € 1 997 036 € 2 236 450 € 2 330 271 €
Current Liabilities 308 383 € 335 918 € 334 591 € 311 691 €
Non Current Liabilities 21 227 € 0 € 0 € 0 €
Total Liabilities 329 610 € - - -
Share Capital - - - -
Equity 1 533 150 € 1 661 118 € 1 901 859 € 2 018 580 €
Employees 47 49 49 48

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 1 183 036.7 € 225 945.37 € 149 292.06 € 47
2023 Q4 697 156.75 € 237 495.82 € 135 002.78 € 48
2023 Q3 772 186.65 € 253 680.34 € 149 032.75 € 48
2023 Q2 460 827.64 € 192 079.73 € 134 638.22 € 48
2023 Q1 609 482.45 € 233 986.06 € 154 018.52 € 51
2022 Q4 584 772.81 € 211 380.33 € 145 348.66 € 54
2022 Q3 717 273.29 € 250 749.75 € 155 454.03 € 54
2022 Q2 637 941.89 € 218 421.04 € 140 101.63 € 56
2022 Q1 702 613.15 € 253 856.32 € 155 822.1 € 56
2021 Q4 632 612.81 € 230 606.94 € 146 396.5 € 56
2021 Q3 534 457.76 € 216 805.92 € 149 035.12 € 56
2021 Q2 552 915.11 € 185 903.49 € 125 353.26 € 58
2021 Q1 582 835.96 € 235 894.37 € 148 849.29 € 52
2020 Q4 633 319.87 € 220 110.23 € 141 511.46 € 51
2020 Q3 529 888.32 € 182 753.47 € 135 849.51 € 55
2020 Q2 639 969.96 € 220 617.91 € 129 994.07 € 55
2020 Q1 612 090.46 € 214 505.02 € 132 016.78 € 52