Osaühing Callefiks

10708912

Company info

Osaühing Callefiks

10708912

Meist - Callefikshttps://callefiks.eeMeist - Callefiks

Veefiltrite müük ja paigaldus Oleme tuhandetesse kodudesse taganud  puhta joogivee!   Callefiks OÜ on tegelenud veefiltrite müügiga 20 aastat. Seetõttu tunneme oma valdkonda hästi kuna oleme veefiltreid paigaldanud  tuhandetesse kodudesse ja taganud nii oma klientidele puhta joogivee. Lisaks veefiltrite ja veetöötlusseadmete müügile ka paigaldame kõiki oma seadmeid ning teostame müüdud seadmetele hooldust. Suurtarbijatele pakume tööstuslike lahendusi.  Ehitame linnade ja asulate veetöötlusjaama ja [...]

General info

Name

Osaühing Callefiks

Registry code

10708912

VAT number

EE100653001

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

07.11.2000 (24)

Financial year

01.03-28.02

Capital

3 194.00 €

Activity

43222 - Installation of plumbing and sanitary equipment

Revenue

472 076 €

Profit

-2 169 €

Profit margin

-0%

Gross salary

2 452 €

(estimate is approximate)

Equity

94 294 €

Employees

3

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-2%

Return on assets

-1%

Related parties

Owner Representative Beneficial owner Roles

Tarmo Veski

14.07.1969 (55)

30% - 958.00 EUR Board member Direct ownership

Ari Kalevi Lempiäinen

12.02.1969 (55)

- Board member Member of a higher management body, i.e. board member or supervisory board member

Jouni Veli Samuli Lehtinen

18.06.1981 (43)

- Board member -

Peedo Fiks

23.12.1952 (71)

- - - Founder

Financial info

2019
30.06.2020
2020
07.06.2021
2021
16.06.2022
2022
29.06.2023
2023
13.06.2024
Total Revenue 386 389 € 402 801 € 437 318 € 496 942 € 472 076 €
Net profit (loss) for the period 21 234 € 11 013 € 1 785 € 2 374 € -2 169 €
Profit Margin 5% 3% 0% 0% -0%
Current Assets 147 652 € 150 208 € 144 437 € 134 388 € 161 540 €
Fixed Assets 4 343 € 3 625 € 7 443 € 8 140 € 14 544 €
Total Assets 151 995 € 153 833 € 151 880 € 142 528 € 176 084 €
Current Liabilities 50 704 € 41 529 € 47 791 € 46 065 € 81 790 €
Non Current Liabilities - - - - -
Total Liabilities - - - - -
Share Capital - - - - -
Equity 101 291 € 112 304 € 104 089 € 96 463 € 94 294 €
Employees 3 3 4 3 3

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 183 900.17 € 27 959.81 € 13 416.14 € 3
2023 Q4 153 603.9 € 22 582.31 € 12 978.29 € 3
2023 Q3 154 331.42 € 20 387.32 € 9 491.94 € 3
2023 Q2 128 540.67 € 20 922.77 € 9 411.42 € 2
2023 Q1 148 586.06 € 22 028.28 € 8 825.99 € 3
2022 Q4 194 893.95 € 25 001.61 € 11 640.92 € 3
2022 Q3 161 445.33 € 22 819.27 € 10 304.98 € 4
2022 Q2 181 562.05 € 26 613.34 € 8 771.34 € 4
2022 Q1 144 480.29 € 17 088.9 € 6 844.61 € 4
2021 Q4 162 967.2 € 24 990.5 € 11 179.25 € 3
2021 Q3 143 215.42 € 19 622.12 € 9 342.65 € 3
2021 Q2 129 818.78 € 20 029.96 € 10 892.36 € 4
2021 Q1 126 906.6 € 20 415.36 € 8 383.02 € 4
2020 Q4 133 264.34 € 16 718.48 € 9 216.13 € 3
2020 Q3 123 080.33 € 14 672.71 € 6 058.06 € 3
2020 Q2 117 783.77 € 14 498.23 € 5 918.19 € 3
2020 Q1 160 429.37 € 19 390.81 € 6 391.87 € 3