OÜ PR Betoon

11273416

Company info

OÜ PR Betoon

11273416

esileht - PR Betoon OÜhttps://www.prbetoon.eeesileht - PR Betoon OÜ

Võta ühendust Monoliit- Betoonitööd Monoliitbetoonitööd aastast 2006 PR Betoon OÜ on tegutsenud ehitusturul aastast 2006 ja on selle aja jooksul kujunenud edukaks ja usaldusväärseks koostööpartneriks betoonitööde alal. See on ka meie eesmärk tulevikus – olla Eesti betoonitööde turul kindel ja arvestatav koostööpartner. Meie meeskond koosneb pikaajaliste kogemustega oma ala spetsialistidest, kelle eemärgiks on kõrgendatud ootuste […]

General info

Name

OÜ PR Betoon

Registry code

11273416

VAT number

EE101065711

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

14.07.2006 (18)

Financial year

01.01-31.12

Capital

5 110.00 €

Activity

46771 - Wholesale of waste and scrap, buying up packaging and tare 68201 - Rental and operating of own or leased real estate 43991 - Ground works, concrete works and other bricklaying works

Revenue

2 680 681 €

Profit

-87 214 €

Profit margin

-3%

Gross salary

-

Equity

544 272 €

Employees

17

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-16%

Return on assets

-13%

Related parties

Owner Representative Beneficial owner Roles

PEEP ROOSMANN

28.01.1971 (53)

80% - 4 088.00 EUR Board member Direct ownership Founder

Arvo Kaljumäe

07.08.1977 (47)

20% - 1 022.00 EUR Board member Direct ownership

Priit Erikson

31.03.1957 (67)

- - - Auditor who has assessed non-monetary contribution

Ott Kikkas

19.08.1962 (62)

- - - Founder

Financial info

2019
24.04.2020
2020
13.05.2021
2021
23.05.2022
2022
10.05.2023
2023
10.04.2024
Total Revenue 3 025 217 € 2 571 464 € 2 436 871 € 4 489 420 € 2 680 681 €
Net profit (loss) for the period -148 143 € 52 804 € -9 783 € 189 004 € -87 214 €
Profit Margin -5% 2% -0% 4% -3%
Current Assets 629 858 € 813 769 € 766 489 € 1 040 709 € 594 966 €
Fixed Assets 360 461 € 121 849 € 110 090 € 109 287 € 97 437 €
Total Assets 990 319 € 935 618 € 876 579 € 1 149 996 € 692 403 €
Current Liabilities 382 431 € 348 673 € 351 839 € 493 468 € 147 649 €
Non Current Liabilities 22 868 € 0 € - 2 462 € 482 €
Total Liabilities 405 299 € - - 495 930 € 148 131 €
Share Capital - - - - -
Equity 585 020 € 586 945 € 524 740 € 654 066 € 544 272 €
Employees 17 21 17 16 17

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 320 756.4 € 50 826.69 € 47 205.57 € 16
2023 Q4 615 748.09 € 81 132.25 € 51 342.32 € 15
2023 Q3 1 362 671.1 € 142 022.33 € 53 721.77 € 16
2023 Q2 723 476.33 € 74 660.39 € 43 140.29 € 16
2023 Q1 465 990.87 € 58 182.08 € 48 591.9 € 13
2022 Q4 1 666 362.59 € 136 453.42 € 47 046.98 € 15
2022 Q3 936 595.3 € 82 057.75 € 51 747.14 € 15
2022 Q2 1 344 740.33 € 114 724.06 € 48 047.3 € 16
2022 Q1 976 325.74 € 95 030.22 € 43 395.57 € 16
2021 Q4 728 211.89 € 78 128.97 € 46 847.46 € 16
2021 Q3 609 141.42 € 65 725.21 € 42 286.14 € 17
2021 Q2 575 000.44 € 82 101.52 € 44 911.67 € 18
2021 Q1 537 240.19 € 86 647.31 € 48 600.45 € 17
2020 Q4 734 140.95 € 80 145.4 € 49 219.77 € 19
2020 Q3 782 309.92 € 102 012.77 € 49 238.5 € 20
2020 Q2 825 462.27 € 100 551.72 € 47 316.29 € 22
2020 Q1 520 929.36 € 77 070.66 € 46 707.67 € 20