Tartu Koolitervishoiu OÜ

10945948

Company info

Tartu Koolitervishoiu OÜ

10945948

Raidman Võlgade sissenõudmisagentuur | OÜ Raidmanhttps://raidman.eeRaidman Võlgade sissenõudmisagentuur | OÜ Raidman

Võlgnevuste kohtuväline sissenõudmine. Kohtuväline võlgade sissenõudmine ehk inkasso on kõige kiireim ning tõhusaim variant võlgade sissenõudmiseks. OÜ Raidman'i näol on tegemist õigusbürooga, oleme spetsialiseerunud debitoorsete võlgnevuste sissenõudmisele.

General info

Name

Tartu Koolitervishoiu OÜ

Registry code

10945948

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

28.08.2003 (21)

Financial year

01.01-31.12

Capital

40 000.00 €

Activity

86211 - Provision of general medical treatment

Revenue

1 172 349 €

Profit

195 975 €

Profit margin

17%

Gross salary

2 581 €

(estimate is approximate)

Equity

826 984 €

Employees

23

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

24%

Return on assets

21%

Related parties

Owner Representative Beneficial owner Roles

Eve Männik

09.06.1952 (72)

20% - 8 000.00 EEK Board member Member of a higher management body, i.e. board member or supervisory board member Founder

Kristin Mäger

16.07.1965 (59)

20% - 8 000.00 EEK Board member Member of a higher management body, i.e. board member or supervisory board member Founder

Riina Unt

26.01.1958 (66)

20% - 8 000.00 EEK Board member Member of a higher management body, i.e. board member or supervisory board member Founder

Hipp Kikkul

03.02.1957 (67)

20% - 8 000.00 EEK - - Founder

Marika Kirss

07.03.1955 (69)

20% - 8 000.00 EEK - - Founder

Financial info

2019
12.05.2020
2020
23.04.2021
2021
06.07.2022
2022
07.06.2023
2023
03.06.2024
Total Revenue 684 747 € 869 430 € 862 855 € 936 425 € 1 172 349 €
Net profit (loss) for the period 47 048 € 178 121 € 118 985 € 149 876 € 195 975 €
Profit Margin 7% 20% 14% 16% 17%
Current Assets 274 317 € 464 581 € 594 116 € 731 997 € 945 616 €
Fixed Assets - - - - -
Total Assets 274 317 € 464 581 € 594 116 € 731 997 € 945 616 €
Current Liabilities 90 290 € 102 433 € 112 983 € 100 988 € 118 632 €
Non Current Liabilities - - - - -
Total Liabilities - - - - -
Share Capital - - - - -
Equity 184 027 € 362 148 € 481 133 € 631 009 € 826 984 €
Employees 28 29 28 27 23

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 - 91 323.75 € 97 630.48 € 33
2023 Q4 - 100 409.24 € 107 406.2 € 34
2023 Q3 - 84 840.5 € 90 937.16 € 34
2023 Q2 - 76 207.94 € 81 699.58 € 35
2023 Q1 - 74 089.59 € 79 381.27 € 35
2022 Q4 - 68 322.28 € 73 164.82 € 34
2022 Q3 - 70 780.44 € 75 603.92 € 33
2022 Q2 - 66 849.57 € 71 474.07 € 34
2022 Q1 - 74 619.03 € 79 803.38 € 35
2021 Q4 - 72 891.76 € 77 668.85 € 35
2021 Q3 - 64 803.02 € 69 439.89 € 34
2021 Q2 - 59 513.61 € 63 836.93 € 37
2021 Q1 - 63 836.15 € 68 261.67 € 37
2020 Q4 - 59 379.62 € 63 533.92 € 39
2020 Q3 - 57 961.95 € 61 774.09 € 40
2020 Q2 - 55 879.85 € 59 584.35 € 36
2020 Q1 - 58 688.23 € 62 595.19 € 36