Osaühing Tannenrode

10730231

Company info

Osaühing Tannenrode

10730231

Esileht - Koneskohttps://konesko.eeEsileht - Konesko

AS Konesko Konesko AS on Eestis tegutsev elektrimootorite, elektrikomponentide ja suurekabariidiliste metallkonstruktsioonide tootja. Koneskol on neli tehast, mis kõik asuvad Eestimaa südames - Koerus, Põltsamaal ja Türi-Allikul. Meist https://www.youtube.com/watch?v=kXkc91QIr9A&t=2s Tootmine Ettevõtte tootmistegevuse võib jagada kolmeks:Elektrimootorite valmistamineElektrikomponentide tootmineSuuregabariidiliste metallkonstruktsioonide tootmine Tehased Koeru tehas +372 38 38165 Paide tee 26, Koeru alevik, Järva vald, 73001 Järva maakond

General info

Name

Osaühing Tannenrode

Registry code

10730231

VAT number

EE100679179

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

28.02.2001 (23)

Financial year

01.01-31.12

Capital

2 556.00 €

Activity

68201 - Rental and operating of own or leased real estate 41201 - Construction of residential and non-residential buildings 70221 - Business and other management consultancy activities 47991 - Other retail sale not in stores, stalls or markets 49411 - Freight transport by road

Revenue

840 424 €

Profit

1 532 673 €

Profit margin

182%

Gross salary

2 351 €

(estimate is approximate)

Equity

8 832 622 €

Employees

3

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

17%

Return on assets

10%

Related parties

Owner Representative Beneficial owner Roles

Mart-Järvo Hirtentreu

05.02.1964 (60)

100% - 2 556.00 EUR Board member Direct ownership Founder

Rain Rõmmelgas

26.03.1975 (49)

- Board member -

Margus Säde

20.08.1967 (57)

- - - Founder

Financial info

2019
30.06.2020
2020
30.06.2021
2021
30.06.2022
2022
30.06.2023
2023
14.05.2024
Total Revenue 1 348 517 € 1 391 777 € 1 417 031 € 1 061 043 € 840 424 €
Net profit (loss) for the period 1 276 459 € 548 110 € 409 746 € 1 139 983 € 1 532 673 €
Profit Margin 95% 39% 29% 107% 182%
Current Assets 650 258 € 792 177 € 1 378 868 € 3 450 711 € 5 430 406 €
Fixed Assets 8 711 144 € 9 029 790 € 10 528 876 € 10 005 695 € 9 472 466 €
Total Assets 9 361 402 € 9 821 967 € 11 907 744 € 13 456 406 € 14 902 872 €
Current Liabilities 486 292 € 415 240 € 305 199 € 1 492 071 € 1 501 716 €
Non Current Liabilities 3 673 000 € 3 656 507 € 5 442 579 € 4 664 386 € 4 568 534 €
Total Liabilities 4 159 292 € 4 071 747 € 5 747 778 € 6 156 457 € 6 070 250 €
Share Capital - - - - -
Equity 5 202 110 € 5 750 220 € 6 159 966 € 7 299 949 € 8 832 622 €
Employees 10 10 9 3 3

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 143 216.89 € 36 566.51 € 12 894.29 € 3
2023 Q4 171 746.19 € 35 062.7 € 10 490.17 € 3
2023 Q3 168 502.39 € 38 475.36 € 10 703.59 € 3
2023 Q2 171 717.99 € 30 885.5 € 9 710.21 € 3
2023 Q1 1 143 548.16 € - 11 154.99 € 3
2022 Q4 330 185.53 € 15 011.12 € 9 511.63 € 3
2022 Q3 100 795.33 € - 10 145 € 3
2022 Q2 245 165.12 € 42 329.21 € 9 578.81 € 3
2022 Q1 703 780.49 € 87 449.04 € 25 008.4 € 3
2021 Q4 378 705.87 € 79 569.45 € 23 658.97 € 9
2021 Q3 4 963 833.06 € 71 659.76 € 24 711.04 € 8
2021 Q2 1 860 419.41 € 373 856.28 € 26 068.21 € 9
2021 Q1 245 369.46 € 58 837.15 € 26 650.45 € 10
2020 Q4 277 124.44 € 43 662.71 € 21 956.35 € 10
2020 Q3 302 314.51 € 77 191.49 € 26 077.5 € 9
2020 Q2 332 392.55 € 81 667.49 € 25 500.19 € 11
2020 Q1 369 061.75 € 72 249.38 € 27 005.04 € 10