OÜ Mehka Eesti

12777774

General info

Name

OÜ Mehka Eesti

Registry code

12777774

VAT number

EE101770268

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

06.01.2015 (9)

Financial year

01.01-31.12

Capital

20 000.00 €

Activity

47789 - Retail sale of goods n.e.c. 47521 - Retail sale of hardware and tools 45401 - Sale, maintenance and repair of motorcycles and related parts and accessories

Revenue

18 718 030 €

Profit

817 945 €

Profit margin

4%

Gross salary

2 040 €

(estimate is approximate)

Equity

5 454 702 €

Employees

76

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

15%

Return on assets

9%

Related parties

Owner Representative Beneficial owner Roles

Peep Raid

08.02.1959 (65)

17% - 3 350.00 EUR Board member Direct ownership

Kalle Käärik

18.01.1960 (64)

17% - 3 350.00 EUR - Direct ownership

Külli Küünal

05.01.1959 (65)

17% - 3 350.00 EUR - Direct ownership

Virve Tamm

24.11.1956 (68)

17% - 3 350.00 EUR - Direct ownership

Paap Raid

27.01.1984 (40)

17% - 3 300.00 EUR Board member Direct ownership Founder

Päärn Raid

22.11.1981 (43)

17% - 3 300.00 EUR Board member Direct ownership Founder

Peeter Tamm

28.06.1957 (67)

- - Other control or influence (contractual, family or other relationships)

Toomas Küünal

10.09.1958 (66)

- - Other control or influence (contractual, family or other relationships)

Related companies

Owner Representative Beneficial owner Roles

ForGarden OÜ

11294175

11% - 8 000.00 EUR - -

Financial info

2019
16.03.2020
2020
13.04.2021
2021
11.04.2022
2022
30.03.2023
2023
26.02.2024
Total Revenue 7 254 357 € 9 693 804 € 14 240 910 € 18 745 844 € 18 718 030 €
Net profit (loss) for the period 529 540 € 785 546 € 1 295 144 € 1 500 223 € 817 945 €
Profit Margin 7% 8% 9% 8% 4%
Current Assets 1 582 214 € 1 901 076 € 3 554 087 € 5 910 530 € 5 740 457 €
Fixed Assets 1 080 030 € 1 451 113 € 1 591 541 € 2 666 272 € 3 063 817 €
Total Assets 2 662 244 € 3 352 189 € 5 145 628 € 8 576 802 € 8 804 274 €
Current Liabilities 543 350 € 629 202 € 1 258 341 € 3 199 649 € 2 693 989 €
Non Current Liabilities 344 505 € 223 052 € 256 072 € 654 396 € 655 583 €
Total Liabilities 887 855 € 852 254 € 1 514 413 € 3 854 045 € 3 349 572 €
Share Capital - - - - -
Equity 1 774 389 € 2 499 935 € 3 631 215 € 4 722 757 € 5 454 702 €
Employees 34 44 57 70 76

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 3 599 865.89 € 107 975.27 € 212 919.38 € 73
2023 Q4 4 352 685.29 € 498 967.96 € 214 066.35 € 66
2023 Q3 4 688 924.58 € 751 995.59 € 305 917.5 € 68
2023 Q2 7 276 279.71 € 644 853.48 € 262 221.21 € 82
2023 Q1 4 052 934.7 € 20 253.78 € 218 004.75 € 84
2022 Q4 4 967 777.94 € 222 600.04 € 213 495.15 € 67
2022 Q3 5 672 665.31 € 453 300.18 € 253 534.4 € 72
2022 Q2 6 892 472.81 € 534 251.02 € 208 746.85 € 73
2022 Q1 2 602 121.68 € 256 629.34 € 150 049.02 € 73
2021 Q4 2 999 155.59 € 267 458.01 € 137 214.91 € 60
2021 Q3 3 532 952.07 € 288 111.74 € 167 160.93 € 58
2021 Q2 6 058 234.94 € 471 573.29 € 134 054.05 € 58
2021 Q1 1 870 584.06 € 168 932.39 € 106 909.24 € 55
2020 Q4 1 855 577.36 € 159 529.75 € 108 198.07 € 47
2020 Q3 3 273 802.67 € 295 625.83 € 127 908.58 € 46
2020 Q2 3 626 851.17 € 362 196.69 € 102 953.16 € 47
2020 Q1 1 167 906.77 € 17 848.49 € 81 827.04 € 46