Kindel Käsi OÜ

10911694

Company info

Kindel Käsi OÜ

10911694

website og imagehttp://eestimaasikas.eeKindel Käsi OÜ

Pakume maasikaid, m��me tarvikuid, rendime ja m��me tehnikat. Korraldame �ppep�evi ja teeme tootmisalaseid konsultatsioone.

General info

Name

Kindel Käsi OÜ

Registry code

10911694

VAT number

EE100798995

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

10.12.2002 (21)

Financial year

01.01-31.12

Capital

2 556.00 €

Activity

01251 - Growing of other tree and bush fruits and nuts 01301 - Plant propagation 7731 - Rental and leasing of agricultural machinery and equipment 01111 - Growing of cereals (except rice), leguminous crops and oil seeds 81301 - Landscape service activities 0161 - Support activities for crop production 68201 - Rental and operating of own or leased real estate 02301 - Gathering of wild growing non−wood products

Revenue

850 156 €

Profit

298 649 €

Profit margin

35%

Gross salary

844 €

(estimate is approximate)

Equity

1 476 978 €

Employees

10

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

20%

Return on assets

16%

Related parties

Owner Representative Beneficial owner Roles

Helen Kaskema

05.01.1971 (53)

100% - 2 556.00 EUR Board member Direct ownership

Johanna Eliise Kaskema

20.07.1998 (26)

100% - 2 556.00 EUR - Direct ownership

Joosep Kaskema

04.06.1996 (28)

100% - 2 556.00 EUR - Direct ownership

Valdis Kaskema

02.07.1969 (55)

- - - Founder

Financial info

2019
01.12.2020
2020
01.07.2021
2021
21.10.2022
2022
30.06.2023
2023
17.05.2024
Total Revenue 1 050 288 € 470 942 € 557 955 € 679 109 € 850 156 €
Net profit (loss) for the period 322 324 € -201 955 € -24 684 € 237 060 € 298 649 €
Profit Margin 31% -43% -4% 35% 35%
Current Assets 327 655 € 176 601 € 303 530 € 332 041 € 419 546 €
Fixed Assets 1 304 632 € 1 176 459 € 1 103 241 € 1 283 090 € 1 440 279 €
Total Assets 1 632 287 € 1 353 060 € 1 406 771 € 1 615 131 € 1 859 825 €
Current Liabilities 65 640 € 42 910 € 88 294 € 66 351 € 40 050 €
Non Current Liabilities 1 073 903 € 369 361 € 377 208 € 370 450 € 342 797 €
Total Liabilities 1 139 543 € 412 271 € 465 502 € 436 801 € 382 847 €
Share Capital - - - - -
Equity 492 744 € 940 789 € 941 269 € 1 178 330 € 1 476 978 €
Employees 3 8 12 7 10

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 89 433.7 € 8 035.79 € 3 239.01 € 2
2023 Q4 52 136.33 € 4 941.74 € 5 191.17 € 2
2023 Q3 778 368.66 € 142 940.57 € 34 454.45 € 2
2023 Q2 155 485.41 € 1 781.23 € 1 800.53 € 55
2023 Q1 56 555.64 € 1 643.29 € 1 584.46 € 1
2022 Q4 202 820.28 € 2 756.96 € 2 792.75 € 1
2022 Q3 645 503.02 € 116 750.54 € 20 332.37 € 1
2022 Q2 240 013.22 € 4 264.05 € 4 405.97 € 43
2022 Q1 80 942.82 € 25 897.61 € 17 449.54 € 1
2021 Q4 52 303.56 € 6 766.35 € 1 321.59 € 1
2021 Q3 399 922.95 € 64 265.99 € 9 569.37 € 1
2021 Q2 341 706.95 € 6 297.43 € 4 601.47 € 59
2021 Q1 25 451.45 € 1 391.43 € 605.24 € 1
2020 Q4 54 148.15 € 8 259.83 € 372.4 € 1
2020 Q3 471 593.81 € 61 025.29 € 18 370.92 € 1
2020 Q2 117 981.46 € 16 805.81 € 548.48 € 53
2020 Q1 73 124.66 € 10 631.53 € - -