Kassariotsa Osaühing

10819576

Company info

Kassariotsa Osaühing

10819576

Tule ja naudi põnevaid tegemisi Hiiumaal - Hiiumaale.eehttps://hiiumaale.eeTule ja naudi põnevaid tegemisi Hiiumaal - Hiiumaale.ee

Hiiu kala ja õlle festival toimub 17. augustil 2024 Kassari Puhkekeskuses! Festivali fookuses on Hiiumaa kala ja õlu. Hiiumaa kalurid pakuvad festivali külalistele kala räimest angerjani.

General info

Name

Kassariotsa Osaühing

Registry code

10819576

VAT number

EE101025049

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

28.11.2001 (22)

Financial year

01.01-31.12

Capital

5 112.00 €

Activity

56101 - Restaurants, cafeterias and other catering places 02101 - Silviculture and other forestry activities 9609 - Other personal service activities n.e.c. 11051 - Manufacture of beer 03111 - Marine fishing 01451 - Raising of sheep and goats 81101 - Combined facilities support activities

Revenue

162 874 €

Profit

-93 517 €

Profit margin

-57%

Gross salary

1 378 €

(estimate is approximate)

Equity

208 016 €

Employees

2

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-45%

Return on assets

-4%

Related parties

Owner Representative Beneficial owner Roles

Sander Kopli

31.05.1973 (51)

50% - 2 556.00 EUR Board member Direct ownership

Tiit Kopli

31.12.1962 (61)

50% - 2 556.00 EUR - Direct ownership

Related companies

Owner Representative Beneficial owner Roles

MTÜ Hiiu Lained

80414980

- - - Founder (without contribution)

Financial info

2019
27.03.2020
2020
15.02.2021
2021
28.04.2022
2022
16.04.2023
2023
26.06.2024
Total Revenue 137 460 € 92 551 € 136 933 € 115 484 € 162 874 €
Net profit (loss) for the period 44 864 € 1 887 € 11 721 € 7 535 € -93 517 €
Profit Margin 33% 2% 9% 7% -57%
Current Assets 24 724 € 37 706 € 15 546 € 85 180 € 52 236 €
Fixed Assets 853 351 € 878 937 € 885 284 € 1 422 455 € 2 072 795 €
Total Assets 878 075 € 916 643 € 900 830 € 1 507 635 € 2 125 031 €
Current Liabilities 57 290 € 112 068 € 40 621 € 136 328 € 48 996 €
Non Current Liabilities 540 395 € 522 298 € 566 211 € 1 069 774 € 1 868 019 €
Total Liabilities 597 685 € 634 366 € 606 832 € 1 206 102 € 1 917 015 €
Share Capital - - - - -
Equity 280 390 € 282 277 € 293 998 € 301 533 € 208 016 €
Employees 3 2 1 1 2

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 27 009.48 € 5 198.15 € 2 083.34 € 1
2023 Q4 27 352.88 € 2 797.63 € 4 015.92 € 2
2023 Q3 86 238.8 € 10 908.52 € 6 046.74 € 2
2023 Q2 23 953.51 € - 2 902.57 € 2
2023 Q1 28 364.53 € - 2 132.53 € 2
2022 Q4 34 761.69 € - 2 009.08 € 2
2022 Q3 37 440.65 € 5 998.77 € 1 093.88 € 2
2022 Q2 22 076.2 € - 979.64 € 3
2022 Q1 38 819.43 € 2 376.01 € 729.13 € 2
2021 Q4 81 914.36 € 10 795.57 € 1 343.69 € 1
2021 Q3 21 404.1 € 2 985.17 € 1 332.53 € 1
2021 Q2 7 844.1 € - 458.65 € 1
2021 Q1 18 140 € 2 347.55 € 795.95 € 1
2020 Q4 56 818.7 € - - 1
2020 Q3 23 139.1 € 3 369.21 € 1 707.19 € 1
2020 Q2 6 279.05 € 1 545.04 € 1 321.52 € 2
2020 Q1 9 363.66 € 651.21 € 1 789.29 € 2