Revala OÜ

10571028

Company info

Revala OÜ

10571028

Avaleht - Revala jäätisepulbridhttps://www.revala.eeAvaleht - Revala jäätisepulbrid

Revala jäätisepulbrid on valmistatud unikaalsete retseptide järgi nii kodutarbijale, kui ka kohvikutele ja restoranidele mõeldes. Meil on tooted mikseriga valmistamiseks, väikestes ja ka professionaalsetes jäätisemasinates kasutamiseks, rulljäätise valmistamiseks külamaalusel ja samuti tööstuslike seadmetega jäätise valmistamisel. Spetsiaalne tootevalik on mõeldud veganitele.

General info

Name

Revala OÜ

Registry code

10571028

VAT number

EE100562765

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

26.07.1999 (25)

Financial year

01.01-31.12

Capital

2 556.00 €

Activity

46141 - Agents involved in the sale of machinery, industrial equipment, ships and aircraft 10891 - Manufacture of other food products n.e.c. 46389 - Wholesale of food products n.e.c 46211 - Wholesale of grain, unmanufactured tobacco, seeds and animal feeds

Revenue

2 685 728 €

Profit

64 344 €

Profit margin

2%

Gross salary

-

Equity

461 523 €

Employees

4

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

14%

Return on assets

9%

Related parties

Owner Representative Beneficial owner Roles

Kert Lehe

18.03.1999 (25)

3% - 85.00 EUR - -

Kai Lehe

12.10.1972 (51)

30% - 767.00 EUR Board member Direct ownership

Rein Viilu

12.03.1957 (67)

67% - 1 704.00 EUR Board member Direct ownership

Larssen Legal OÜ

10167445

- - - Founder

Related companies

Owner Representative Beneficial owner Roles

Revala Investeeringud OÜ

11345021

- - - Founder

Revala REC OÜ

11330953

- - - Founder

Financial info

2019
13.08.2020
2020
10.07.2021
2021
30.06.2022
2022
13.07.2023
2023
30.06.2024
Total Revenue 2 841 411 € 3 257 503 € 2 261 088 € 2 349 829 € 2 685 728 €
Net profit (loss) for the period 34 608 € 4 874 € -37 631 € -610 800 € 64 344 €
Profit Margin 1% 0% -2% -26% 2%
Current Assets 1 072 333 € 992 182 € 685 664 € 304 139 € 322 979 €
Fixed Assets 766 307 € 798 473 € 834 618 € 333 081 € 408 228 €
Total Assets 1 838 640 € 1 790 655 € 1 520 282 € 637 220 € 731 207 €
Current Liabilities 791 503 € 738 644 € 505 902 € 233 640 € 269 684 €
Non Current Liabilities - - - - -
Total Liabilities - - - - -
Share Capital - - - - -
Equity 1 047 137 € 1 052 011 € 1 014 380 € 403 580 € 461 523 €
Employees 5 3 3 3 4

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 695 482.09 € 4 997.93 € 6 599.79 € 4
2023 Q4 472 417.83 € - 5 849.61 € 3
2023 Q3 1 278 365.24 € - 6 002.39 € 3
2023 Q2 1 027 034.8 € - 8 364.09 € 3
2023 Q1 410 044 € - 11 956.7 € 3
2022 Q4 776 846.05 € 12 476.84 € 9 340.79 € 3
2022 Q3 801 263.85 € - 9 266.37 € 3
2022 Q2 700 422.74 € 11 192.65 € 6 214.14 € 2
2022 Q1 656 310.7 € 36 611.9 € 6 844.13 € 2
2021 Q4 499 458.15 € 21 698.83 € 12 219.88 € 2
2021 Q3 772 870.89 € 26 518.9 € 13 094.27 € 2
2021 Q2 576 072.99 € 12 164.49 € 12 934.81 € 2
2021 Q1 797 150.36 € 43 108.68 € 13 647.42 € 3
2020 Q4 675 658.6 € 14 137.01 € 12 786.15 € 4
2020 Q3 644 163.1 € - 10 581.81 € 4
2020 Q2 1 348 606.6 € 18 420.11 € 10 922.44 € 4
2020 Q1 1 200 747 € 39 201.43 € 8 663.43 € 4