KRC Ehitus OÜ

12395854

Company info

KRC Ehitus OÜ

12395854

Hoonete ehitus, peatöövõtt, projektijuhtimine, projekteerimine, kinnisvara arendushttp://www.krc.eeHoonete ehitus, peatöövõtt, projektijuhtimine, projekteerimine, kinnisvara arendus

Hoonete ehitus, peatöövõtt, projektijuhtimine, projekteerimine, kinnisvara arendus

General info

Name

KRC Ehitus OÜ

Registry code

12395854

VAT number

EE101662253

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

20.12.2012 (11)

Financial year

01.01-31.12

Capital

112 500.00 €

Activity

41201 - Construction of residential and non-residential buildings

Revenue

20 646 281 €

Profit

1 192 286 €

Profit margin

6%

Gross salary

-

Equity

3 753 269 €

Employees

29

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

32%

Return on assets

11%

Related parties

Owner Representative Beneficial owner Roles

Toomas Taros

18.12.1965 (58)

7% - 7 900.00 EUR - -

KRC OÜ

16838656

41% - 46 225.00 EUR - -

Aimar Kongi

01.12.1983 (40)

4% - 4 500.00 EUR - -

Indrek Muhhin

30.05.1979 (45)

4% - 4 500.00 EUR - -

Jegor Šurmin

10.08.1983 (41)

4% - 4 500.00 EUR - -

Taavi Sinijärv

27.11.1982 (41)

15% - 16 900.00 EUR Board member -

Tähevara OÜ

16930356

14% - 15 600.00 EUR - -

Siim Kroodo

24.04.1983 (41)

11% - 12 375.00 EUR Board member Direct ownership Founder

ASM Investments OÜ

11137239

- - - Founder

Related companies

Owner Representative Beneficial owner Roles

Majahaldjas OÜ

14916429

100% - 2 600.00 EUR - - Founder

Allikametsa Elamud OÜ

14842470

55% - 1 650.00 EUR - -

Multiladu OÜ

16147231

60% - 1 560.00 EUR - - Founder

Financial info

2019
30.06.2020
2020
28.06.2021
2021
30.06.2022
2022
28.06.2023
2023
14.06.2024
Total Revenue 9 808 618 € 18 556 568 € 15 458 354 € 22 746 012 € 20 646 281 €
Net profit (loss) for the period 217 185 € 654 110 € 229 450 € 433 459 € 1 192 286 €
Profit Margin 2% 4% 1% 2% 6%
Current Assets 1 848 607 € 2 889 253 € 3 599 592 € 5 532 458 € 6 399 090 €
Fixed Assets 3 606 148 € 3 500 224 € 3 837 589 € 4 115 648 € 4 732 403 €
Total Assets 5 454 755 € 6 389 477 € 7 437 181 € 9 648 106 € 11 131 493 €
Current Liabilities 1 876 854 € 2 045 234 € 2 813 971 € 4 278 881 € 4 612 019 €
Non Current Liabilities 1 984 028 € 2 096 199 € 2 271 716 € 2 679 772 € 2 766 205 €
Total Liabilities 3 860 882 € 4 141 433 € 5 085 687 € 6 958 653 € 7 378 224 €
Share Capital - - - - -
Equity 1 593 873 € 2 248 044 € 2 351 494 € 2 689 453 € 3 753 269 €
Employees 20 24 24 26 29

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 5 340 383.66 € 314 046.97 € 180 734.58 € 28
2023 Q4 6 572 083.23 € 374 097.5 € 193 824.97 € 29
2023 Q3 6 348 518.45 € 371 161.89 € 153 753.56 € 28
2023 Q2 4 852 730.63 € 387 326.11 € 115 089.81 € 26
2023 Q1 4 402 704.53 € 224 204.59 € 145 747.41 € 24
2022 Q4 7 325 073.04 € 399 834.26 € 101 871.95 € 24
2022 Q3 6 036 501.93 € 284 616.11 € 131 898.17 € 24
2022 Q2 5 906 014.46 € 182 134.58 € 92 615.1 € 25
2022 Q1 3 939 100.9 € 158 302.98 € 114 070.71 € 24
2021 Q4 5 464 583.96 € 203 205.19 € 95 305.88 € 25
2021 Q3 3 725 977.99 € 187 011.91 € 121 476.17 € 23
2021 Q2 3 329 048.34 € 181 199.97 € 90 644.86 € 21
2021 Q1 2 043 271.58 € 149 207.08 € 91 666.64 € 22
2020 Q4 4 775 473.56 € 330 436.17 € 123 748.72 € 24
2020 Q3 5 249 707.74 € 234 494.15 € 85 034.39 € 25
2020 Q2 5 268 282.82 € 241 684.81 € 68 841.54 € 27
2020 Q1 3 425 119.9 € 201 117.49 € 84 949.74 € 21