OÜ Kemmerling

11139497

Company info

OÜ Kemmerling

11139497

Kemmerling OÜ - Välikäimlade, pissuaaride jms rent ja müükhttps://www.kemmerling.eeKemmerling OÜ - Välikäimlade, pissuaaride jms rent ja müük

Kemmerling OÜ - rendime mobiilseid välikäimlaid, pissuaare, kätepesujaamu, jne üle terve Eesti. Helista 1929 või tutvu toodetega: kemmerling.ee

General info

Name

OÜ Kemmerling

Registry code

11139497

VAT number

EE100991925

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

31.08.2005 (19)

Financial year

01.01-31.12

Capital

53 550.00 €

Activity

77399 - Renting and operational leasing of other machinery, equipment and tangible assets not classified elsewhere 47991 - Other retail sale not in stores, stalls or markets 49411 - Freight transport by road

Revenue

4 149 129 €

Profit

950 999 €

Profit margin

23%

Gross salary

2 121 €

(estimate is approximate)

Equity

4 812 639 €

Employees

39

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

20%

Return on assets

18%

Related parties

Owner Representative Beneficial owner Roles

Andrus Oraka

02.04.1981 (43)

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

Andrzej Smółko

02.09.1966 (58)

- Board member -

Jüri Kirss

26.05.1955 (69)

- - - Founder

Külli Ilves

11.04.1978 (46)

- - - Founder

Related companies

Owner Representative Beneficial owner Roles

OÜ Kendra Haldus

12562173

- - - Founder

Financial info

2019
10.08.2020
2020
04.03.2021
2021
04.04.2022
2022
21.03.2023
2023
12.03.2024
Total Revenue 3 044 689 € 2 906 855 € 3 730 354 € 4 341 767 € 4 149 129 €
Net profit (loss) for the period 747 682 € 581 265 € 889 625 € 1 081 887 € 950 999 €
Profit Margin 25% 20% 24% 25% 23%
Current Assets 598 559 € 504 314 € 885 167 € 1 446 903 € 2 500 523 €
Fixed Assets 2 922 011 € 3 814 246 € 4 498 591 € 3 210 915 € 2 823 291 €
Total Assets 3 520 570 € 4 318 560 € 5 383 758 € 4 657 818 € 5 323 814 €
Current Liabilities 880 501 € 679 374 € 772 387 € 600 544 € 485 312 €
Non Current Liabilities 474 625 € 892 477 € 985 038 € 195 635 € 25 863 €
Total Liabilities 1 355 126 € 1 571 851 € 1 757 425 € 796 179 € 511 175 €
Share Capital - - - - -
Equity 2 165 444 € 2 746 709 € 3 626 333 € 3 861 639 € 4 812 639 €
Employees 35 32 40 38 39

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 800 926.17 € 201 596.18 € 120 716.32 € 37
2023 Q4 1 098 019.35 € 263 237.76 € 138 670.15 € 38
2023 Q3 1 593 231.48 € 352 308.21 € 146 939.9 € 40
2023 Q2 985 671.34 € 211 152.43 € 107 438.73 € 44
2023 Q1 927 638.78 € 214 750.25 € 104 597.67 € 34
2022 Q4 1 221 756.54 € 266 797.66 € 137 061.92 € 33
2022 Q3 1 797 054.71 € 357 744.47 € 141 611.83 € 48
2022 Q2 1 176 515.5 € 189 708.4 € 88 199.77 € 44
2022 Q1 894 613.43 € 155 948.59 € 84 861.55 € 33
2021 Q4 1 385 711.23 € 197 743.39 € 110 828.53 € 32
2021 Q3 1 864 148.16 € 292 257.14 € 116 725.37 € 45
2021 Q2 1 280 468.7 € 157 672.97 € 75 375.24 € 49
2021 Q1 1 809 786.42 € 149 568.22 € 74 567.54 € 32
2020 Q4 1 021 723.89 € 170 079.94 € 75 281.33 € 30
2020 Q3 1 112 423.34 € 186 490.06 € 64 041 € 32
2020 Q2 727 277.06 € 139 410.82 € 64 456.88 € 35
2020 Q1 608 127.81 € 105 400.7 € 74 211.73 € 34