OÜ Katriito

11500071

Company info

OÜ Katriito

11500071

Avaleht - Katriitohttps://katriito.eeAvaleht - Katriito

Katriito aitab sind Tartus ja Tallinnas Katriito Kliinik pakub psühholoogia ja psühhiaatria teenuseid. Meie kliinikus võtavad vastu kliinilised psühholoogid, psühholoog-nõustajad, spordipsühholoog, psühhiaater ja kogemusnõustaja. Osutame teenuseid nii lastele kui täiskasvanutele. Aitame erinevate murede korral, nagu raskused igapäevaelus, motivatsioonipuudus, tööstress, läbipõlemine, meeleolu- ja ärevushäired, krooniline valu, traumajärgsed seisundid ning muud vaimse ja kehalise tervisega seotud mured. Katriito

General info

Name

OÜ Katriito

Registry code

11500071

VAT number

EE101313528

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

07.08.2008 (16)

Financial year

01.01-31.12

Capital

2 877.00 €

Activity

86909 - Other healthcare activities not classified elsewhere 85599 - Other education not classified elsewhere

Revenue

679 536 €

Profit

-40 129 €

Profit margin

-6%

Gross salary

1 715 €

(estimate is approximate)

Equity

3 767 €

Employees

22

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-1065%

Return on assets

-27%

Related parties

Owner Representative Beneficial owner Roles

Triinu Niiberg-Pikksööt

19.09.1982 (42)

100% - 2 877.00 EUR Board member Direct ownership Founder

Anna Helena Ursula Allvee

15.06.1998 (26)

- Board member -

Kaia Kastepõld-Tõrs

24.10.1972 (52)

- - - Founder

Toivo Niiberg

12.03.1954 (70)

- - - Founder

Related companies

Owner Representative Beneficial owner Roles

Eesti Vaimse Tervise ja Heaolu Koalitsioon VATEK

80587083

- - - Founder (without contribution)

Financial info

2019
02.06.2020
2020
29.06.2021
2021
27.06.2022
2022
20.06.2023
2023
27.06.2024
Total Revenue 247 785 € 274 602 € 366 798 € 488 898 € 679 536 €
Net profit (loss) for the period 19 709 € -16 254 € -2 493 € 2 451 € -40 129 €
Profit Margin 8% -6% -1% 1% -6%
Current Assets 31 469 € 28 722 € 36 600 € 68 171 € 128 425 €
Fixed Assets 5 623 € 12 417 € 10 236 € 21 549 € 22 430 €
Total Assets 37 092 € 41 139 € 46 836 € 89 720 € 150 855 €
Current Liabilities 36 500 € 51 858 € 61 614 € 83 466 € 144 566 €
Non Current Liabilities 0 € 4 943 € 3 377 € 3 358 € 2 522 €
Total Liabilities - 56 801 € 64 991 € 86 824 € 147 088 €
Share Capital - - - - -
Equity 592 € -15 662 € -18 155 € 2 896 € 3 767 €
Employees 17 17 17 19 22

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 13 578.68 € 69 865.97 € 74 915.35 € 33
2023 Q4 12 497.56 € 53 822.04 € 57 558.37 € 35
2023 Q3 28 256.29 € 61 820.68 € 61 571.31 € 33
2023 Q2 25 669.24 € 41 009.85 € 40 942.67 € 29
2023 Q1 22 934.43 € 41 492.7 € 41 546.85 € 29
2022 Q4 28 662.7 € 47 828.1 € 46 819.85 € 29
2022 Q3 1 519.56 € 32 859.73 € 35 414.48 € 29
2022 Q2 6 244.12 € 31 593.19 € 32 887.64 € 29
2022 Q1 2 193.67 € 30 423.79 € 32 306.88 € 25
2021 Q4 5 235.39 € 29 334.85 € 30 574.25 € 25
2021 Q3 902.69 € 18 923 € 20 771.58 € 24
2021 Q2 2 910.3 € 26 953.58 € 28 463.97 € 23
2021 Q1 1 425.04 € 21 032.62 € 22 646.93 € 22
2020 Q4 7 056.32 € 20 712.69 € 21 156.16 € 20
2020 Q3 3 357.51 € 16 589.59 € 17 543.71 € 31
2020 Q2 1 702.16 € 18 148.6 € 19 419.4 € 36
2020 Q1 3 915.67 € 19 764.91 € 20 695.59 € 35