CH Konsultatsioonid OÜ

11229059

Company info

CH Konsultatsioonid OÜ

11229059

Avaleht | Raamatupidamine äridele - CH Konsultatsioonidhttps://www.chk.eeAvaleht | Raamatupidamine äridele - CH Konsultatsioonid

CHK on rahvusvaheline raamatupidamis­teenust, äri- ja maksu­konsultatsioone ning ärianalüütikat pakkuv ettevõte. Võta ühendust ja leiame lahenduse!

General info

Name

CH Konsultatsioonid OÜ

Registry code

11229059

VAT number

EE101041214

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

22.02.2006 (18)

Financial year

01.01-31.12

Capital

24 925.00 €

Activity

66221 - Activities of insurance agents and brokers 66191 - Financial consulting 69202 - Bookkeeping, tax consulting

Revenue

1 881 146 €

Profit

179 245 €

Profit margin

10%

Gross salary

2 051 €

(estimate is approximate)

Equity

565 339 €

Employees

36

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

32%

Return on assets

19%

Related parties

Owner Representative Beneficial owner Roles

CHK OÜ

16486677

100% - 24 925.00 EUR - -

Christer Haimi

24.01.1977 (47)

- Board member Direct ownership

Francoberg OÜ

10607463

- - - Founder

Related companies

Owner Representative Beneficial owner Roles

CH Ühistud OÜ

16087256

100% - 2 500.00 EUR - - Founder

CH Raamatupidamine OÜ

12222131

100% - 2 500.00 EUR - - Founder

Abros OÜ

12459117

- Contact person -

Ajanco OÜ

12458170

- Contact person -

Aratrum OÜ

12457354

- Contact person -

Brands Up OÜ

12959742

- Contact person -

Jan Kalmar Beyond Adventure OÜ

14371390

- Contact person -

Kalmar Automotive OÜ

14371214

- Contact person -

Smec OÜ

12460439

- Contact person -

The Automotive Tribute Company OÜ

16566130

- Contact person -

CHK OÜ

16486677

- - - Founder

Kalmar Holding OÜ

14232027

- - - Founder

Financial info

2019
05.04.2020
2020
30.06.2021
2021
30.06.2022
2022
30.06.2023
2023
20.02.2024
Total Revenue 1 007 999 € 1 213 567 € 1 357 806 € 1 596 031 € 1 881 146 €
Net profit (loss) for the period 110 018 € 124 837 € 150 461 € 50 211 € 179 245 €
Profit Margin 11% 10% 11% 3% 10%
Current Assets 161 139 € 158 380 € 173 705 € 216 543 € 228 795 €
Fixed Assets 81 825 € 208 771 € 408 380 € 579 515 € 706 985 €
Total Assets 242 964 € 367 151 € 582 085 € 796 058 € 935 780 €
Current Liabilities 94 130 € 130 855 € 179 363 € 301 046 € 293 549 €
Non Current Liabilities 11 398 € 17 273 € 63 739 € 108 918 € 76 892 €
Total Liabilities 105 528 € 148 128 € 243 102 € 409 964 € 370 441 €
Share Capital - - - - -
Equity 137 436 € 219 023 € 338 983 € 386 094 € 565 339 €
Employees 24 28 34 39 36

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 478 127.74 € 154 441.24 € 118 616.07 € 34
2023 Q4 467 753.9 € 152 641.41 € 119 288.67 € 37
2023 Q3 490 227.43 € 159 546.1 € 123 667.4 € 36
2023 Q2 518 794.38 € 152 955.89 € 114 685.61 € 37
2023 Q1 446 665.22 € 139 714.36 € 114 015.95 € 36
2022 Q4 406 901.75 € 102 746.91 € 106 303.56 € 37
2022 Q3 421 361.49 € 126 415.1 € 132 659.83 € 38
2022 Q2 460 680.55 € 109 685.6 € 113 902.07 € 43
2022 Q1 444 935.06 € 95 428.2 € 100 534.65 € 39
2021 Q4 289 076.75 € 82 653.43 € 85 754.39 € 41
2021 Q3 226 637.38 € 79 690.63 € 82 591.2 € 35
2021 Q2 240 225.47 € 84 799.72 € 87 125.84 € 30
2021 Q1 278 151.49 € 74 998.17 € 77 631.08 € 33
2020 Q4 260 824.08 € 74 412.4 € 76 382.32 € 36
2020 Q3 202 087.01 € 72 500.76 € 74 653 € 36
2020 Q2 207 488.69 € 71 645.75 € 73 074.57 € 31
2020 Q1 321 427.51 € 58 284.51 € 61 352.94 € 30