Osaühing Jõgeva Veevärk

11541489

General info

Name

Osaühing Jõgeva Veevärk

Registry code

11541489

VAT number

EE101271097

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

17.12.2008 (15)

Financial year

01.01-31.12

Capital

2 272 205.00 €

Activity

37001 - Sewerage and wastewater management 36001 - Water collection, treatment and supply 39001 - Remediation activities and other waste management services 6832 - Management of real estate on a fee or contract basis

Revenue

1 048 338 €

Profit

9 723 €

Profit margin

1%

Gross salary

-

Equity

11 359 623 €

Employees

9

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

0%

Return on assets

0%

Related parties

Owner Representative Beneficial owner Roles

Jõgeva Vallavalitsus

77000401

100% - 2 272 205.00 EUR - -

Ando Veebel

19.12.1975 (48)

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

Riho Seppet

06.11.1968 (56)

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

Tiina Teppan

22.04.1970 (54)

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

Marek Mardimäe

04.02.1973 (51)

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

Taavi Aas

10.01.1966 (58)

- - Right to appoint or recall the majority of the executive management or higher management members

Financial info

2019
09.06.2020
2020
03.05.2021
2021
27.06.2022
2022
05.06.2023
2023
04.06.2024
Total Revenue 918 184 € 988 874 € 956 985 € 936 102 € 1 048 338 €
Net profit (loss) for the period -188 524 € -109 369 € -52 858 € -210 852 € 9 723 €
Profit Margin -21% -11% -6% -23% 1%
Current Assets 610 872 € 320 278 € 639 647 € 536 626 € 388 475 €
Fixed Assets 12 255 346 € 12 172 698 € 11 851 914 € 11 820 755 € 11 834 360 €
Total Assets 12 866 218 € 12 492 976 € 12 491 561 € 12 357 381 € 12 222 835 €
Current Liabilities 458 300 € 183 449 € 247 025 € 257 718 € 221 772 €
Non Current Liabilities 861 396 € 872 374 € 860 241 € 749 763 € 641 440 €
Total Liabilities 1 319 696 € 1 055 823 € 1 107 266 € 1 007 481 € 863 212 €
Share Capital - - - - -
Equity 11 546 522 € 11 437 153 € 11 384 295 € 11 349 900 € 11 359 623 €
Employees 9 9 9 9 9

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 306 506.9 € 61 353.8 € 24 527.57 € 10
2023 Q4 295 479.73 € 47 783.13 € 25 265.13 € 10
2023 Q3 283 812.39 € 50 714.5 € 29 179.54 € 8
2023 Q2 237 010.54 € 31 067.95 € 25 825.72 € 10
2023 Q1 237 899.31 € 42 975.25 € 25 836.16 € 9
2022 Q4 273 559.63 € 43 620.71 € 23 789.22 € 8
2022 Q3 245 289.05 € 46 083.65 € 24 832.55 € 9
2022 Q2 277 545.33 € 46 297.08 € 28 512.95 € 10
2022 Q1 232 670.3 € 48 151.14 € 26 558.38 € 10
2021 Q4 240 845.62 € 44 122.92 € 21 140.17 € 9
2021 Q3 251 861.14 € 51 265.46 € 23 092.12 € 9
2021 Q2 243 246.8 € 54 609.24 € 20 864.05 € 9
2021 Q1 240 833.39 € 59 162.77 € 27 181.61 € 11
2020 Q4 258 114.94 € 40 312.18 € 20 469.72 € 13
2020 Q3 254 398.93 € 34 705.69 € 26 083.72 € 13
2020 Q2 239 504.53 € 31 996.7 € 22 075.25 € 15
2020 Q1 398 046.42 € 38 315.62 € 22 426.9 € 14