osaühing Rewilwerk

10448279

Company info

osaühing Rewilwerk

10448279

Rewillist - REWILLhttps://rewill.eeRewillist - REWILL

OÜ Rewilwerk tegutseb juba aastaid käsitöö valmistamise ja turustamise firmana (loodud 1989.a.) ja meil on alates 1994.aastast Tallinnas oma firma kauplus REWILL, aadressil Vene tn 7. kus on müügil erinevad käsitöötooted, mida on valmistanud eesti käsitöökunstnikud. Korraldame ka hooajalisi kunsti- ja käsitöölaatasid. Suveprojektidena oleme seni organiseerinud Tallinna Raekojaplatsil Nukulaatasid, Toompeal Patkuli platvormil, Taani kuninga aias,<div class="more-link"> <a href="https://www.rewill.ee/" class="btn btn-theme">Continue Reading<i class="fa fa-fw fa-long-arrow-right"></i></a> </div>

General info

Name

osaühing Rewilwerk

Registry code

10448279

VAT number

EE100357022

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

06.05.1998 (26)

Financial year

01.01-31.12

Capital

5 112.00 €

Activity

14391 - manufacture of knitted and crocheted pullovers, cardigans, etc. 47783 - Retail sale of souvenirs and craftwork articles in specialised stores 47511 - Retail sale of textiles in specialised stores

Revenue

8 169 €

Profit

-14 530 €

Profit margin

-178%

Gross salary

-

Equity

166 164 €

Employees

0

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-9%

Return on assets

-7%

Related parties

Owner Representative Beneficial owner Roles

Merle Lilje

18.05.1957 (67)

50% - 2 556.00 EUR Board member Direct ownership Founder

Ott Nool

02.12.1988 (35)

50% - 2 556.00 EUR - -

Kätta Nool

12.02.1990 (34)

50% - 2 556.00 EUR - -

Kärttu Kivinukk

22.11.1998 (26)

50% - 2 556.00 EUR - -

Alar Mändmets

18.09.1940 (84)

- - - Founder

Marit Nool

31.07.1968 (56)

- - - Founder

Financial info

2019
18.06.2020
2020
26.05.2021
2021
07.06.2022
2022
18.04.2023
2023
12.04.2024
Total Revenue 114 422 € 12 431 € 20 829 € 19 286 € 8 169 €
Net profit (loss) for the period 4 711 € -17 116 € 1 423 € 1 770 € -14 530 €
Profit Margin 4% -138% 7% 9% -178%
Current Assets 41 645 € 33 906 € 36 901 € 32 035 € 15 625 €
Fixed Assets 196 391 € 193 897 € 191 403 € 188 909 € 186 415 €
Total Assets 238 036 € 227 803 € 228 304 € 220 944 € 202 040 €
Current Liabilities 43 419 € 50 302 € 49 380 € 40 250 € 35 876 €
Non Current Liabilities - - - - -
Total Liabilities - - - - -
Share Capital - - - - -
Equity 194 617 € 177 501 € 178 924 € 180 694 € 166 164 €
Employees 3 2 1 1 0

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 15 230.64 € - - -
2023 Q4 1 413.7 € 154.32 € - -
2023 Q3 2 138.41 € 224.96 € - -
2023 Q2 1 754.59 € 178.26 € - -
2023 Q1 5 782.36 € 631.72 € - -
2022 Q4 6 674.48 € 766.22 € - -
2022 Q3 6 211.42 € 423.65 € - -
2022 Q2 2 903.55 € 319.71 € 22.44 € -
2022 Q1 4 857.68 € 731.69 € 86.02 € 1
2021 Q4 6 365.84 € 470.46 € - 1
2021 Q3 6 948.23 € 375.91 € 113.36 € -
2021 Q2 919.73 € - - 1
2021 Q1 2 500.85 € 265.44 € - -
2020 Q4 4 184.73 € 502 € - -
2020 Q3 1 477.56 € 888.84 € 968.52 € -
2020 Q2 1 037.02 € 1 518.36 € 1 924.96 € 2
2020 Q1 10 489.16 € 3 415.96 € 2 604.14 € 3