Address
Email address
Phone number
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Firmast Ettevõte on loodud mais 2007 eesmärgiga pakkuda omal alal parimat võimalikku teenust, kus lõpptulemuse saavutamisel jääksid rahule kõik osapooled. Meie poole võite julgelt pöörduda kõikide küsimustega, mis puudutavad projekteerimist, energiatõhusust, ehitusmaksumuse hindamist, ehitushanke koostamist, ehitamist ja ehituse omanikujärelevalvet. Teile annavad nõu oma ala professionaalid, kes leiavad lahenduse ka kõige raskematele ja keerukamatele ülesannetele. Meie
Name
TETRIS OÜ
Registry code
11385233
VAT number
EE101146520
Type
OÜ - Limited Liability Company
Status
Registered
Foundation date
04.05.2007 (17)
Financial year
01.01-31.12
Capital
2 556.00 €
Activity
96041 - Activities of saunas, sunbeds and massage salons and other services related to physical well-being 46131 - Agents involved in the sale of timber and building materials 53201 - Other postal and express service 82991 - Other business support service activities n.e.c. 68201 - Rental and operating of own or leased real estate 71121 - Constructional engineering-technical designing and consulting
688 756 €
4 620 €
1%
-
190 688 €
0
Submitted
No tax arrears
2%
2%
Owner | Representative | Beneficial owner | Roles | |
---|---|---|---|---|
Rain Aksiim 04.01.1978 (46) | 100% - 2 556.00 EUR | Board member | Direct ownership | Founder |
Owner | Representative | Beneficial owner | Roles | |
---|---|---|---|---|
OÜ Rootsi 7 14144369 | 50% - 1 250.00 EUR | - | - |
2019 03.03.2020 | 2020 04.03.2021 | 2021 08.05.2022 | 2022 08.04.2023 | 2023 05.04.2024 | |
---|---|---|---|---|---|
Total Revenue | 50 883 € | 14 236 € | 24 039 € | 203 335 € | 688 756 € |
Net profit (loss) for the period | 29 858 € | 5 977 € | 12 368 € | 80 903 € | 4 620 € |
Profit Margin | 59% | 42% | 51% | 40% | 1% |
Current Assets | 47 873 € | 16 463 € | 18 721 € | 129 199 € | 38 536 € |
Fixed Assets | 40 000 € | 88 620 € | 111 870 € | 144 950 € | 154 806 € |
Total Assets | 87 873 € | 105 083 € | 130 591 € | 274 149 € | 193 342 € |
Current Liabilities | 1 054 € | 12 286 € | 25 427 € | 88 081 € | 2 654 € |
Non Current Liabilities | - | - | - | - | - |
Total Liabilities | - | - | - | - | - |
Share Capital | - | - | - | - | - |
Equity | 86 819 € | 92 797 € | 105 164 € | 186 068 € | 190 688 € |
Employees | 0 | 0 | 0 | 0 | 0 |
Turnover | State taxes | Labor taxes and payments | Employees | |
---|---|---|---|---|
2024 Q1 | 615.83 € | - | - | - |
2023 Q4 | 1 650.49 € | 6.49 € | - | - |
2023 Q3 | 2 182.84 € | 219.89 € | 196 € | - |
2023 Q2 | 352 685.44 € | 3 651.21 € | - | - |
2023 Q1 | 423 558.81 € | 14 206.18 € | 17.7 € | - |
2022 Q4 | 54 946.24 € | 1 998.8 € | - | - |
2022 Q3 | 21 953.66 € | 1 299.25 € | - | - |
2022 Q2 | 4 067.85 € | 319.25 € | - | - |
2022 Q1 | 6 619.63 € | 789.3 € | - | - |
2021 Q4 | 6 619.91 € | 905.62 € | - | - |
2021 Q3 | 7 308.49 € | 1 208.68 € | - | - |
2021 Q2 | 6 276.27 € | 936.14 € | - | - |
2021 Q1 | 796.36 € | 73.66 € | - | - |
2020 Q4 | 1 350 € | - | - | - |
2020 Q3 | 2 955 € | 223.18 € | 15.1 € | - |
2020 Q2 | 1 260 € | 113.87 € | - | - |
2020 Q1 | 8 570 € | 1 122.08 € | - | - |