Meeskonnatreeningud OÜ

12864711

Company info

Meeskonnatreeningud OÜ

12864711

PARIM SUVEPÄEVADE KOHT EESTIS | VALMA SEIKLUSPARKhttps://valma.eePARIM SUVEPÄEVADE KOHT EESTIS | VALMA SEIKLUSPARK

suvepäevad • perepäevad • laste- ja noortelaagrid • koolitused • seminarid • konverentsid • firmaüritused • meeskonnatreeningud • spordipäevad • päevane seikluspargi külastus Kõik vajalik selliste ürituse õnnestumiseks on kohapeal olemas: • majutus kuni 190-le inimesele• suure lavaga katusealune väliauditoorium / tantsuala 200-le• kaasaegse esitlustehnikaga 3 auditooriumiga konverentsikeskus• suur saunakompleks mullibasseiniga• väliujula 12 x 30

General info

Name

Meeskonnatreeningud OÜ

Registry code

12864711

VAT number

EE101821803

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

11.06.2015 (9)

Financial year

01.01-31.12

Capital

2 500.00 €

Activity

55203 - Holiday village and camp 93299 - Other amusement and recreation activities not classified elsewhere 56211 - Event catering activities 96041 - Activities of saunas, sunbeds and massage salons and other services related to physical well-being 82301 - Organisation of conventions and trade shows

Revenue

510 042 €

Profit

211 536 €

Profit margin

41%

Gross salary

972 €

(estimate is approximate)

Equity

1 331 162 €

Employees

4

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

16%

Return on assets

16%

Related parties

Owner Representative Beneficial owner Roles

Kalle Kütt

26.07.1972 (52)

- Board member Indirect ownership

Angela Aidla

22.04.1975 (49)

- - - Founder

Financial info

2019
10.05.2020
2020
21.06.2021
2021
10.06.2022
2022
23.05.2023
2023
05.06.2024
Total Revenue 272 998 € 241 530 € 421 726 € 645 582 € 510 042 €
Net profit (loss) for the period 124 242 € 140 285 € 235 531 € 415 780 € 211 536 €
Profit Margin 46% 58% 56% 64% 41%
Current Assets 212 572 € 234 488 € 241 741 € 541 075 € 655 802 €
Fixed Assets 251 231 € 362 680 € 474 589 € 587 440 € 706 641 €
Total Assets 463 803 € 597 168 € 716 330 € 1 128 515 € 1 362 443 €
Current Liabilities 68 106 € 31 186 € 12 483 € 8 888 € 31 281 €
Non Current Liabilities 67 666 € 97 666 € 0 € 0 € -
Total Liabilities 135 772 € 128 852 € - - -
Share Capital - - - - -
Equity 328 031 € 468 316 € 703 847 € 1 119 627 € 1 331 162 €
Employees 1 1 1 2 4

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 14 254.16 € - 6 082.37 € 2
2023 Q4 1 232.66 € - 5 942.66 € 4
2023 Q3 392 881.38 € 44 957.58 € 7 300.39 € 4
2023 Q2 103 405.33 € - 1 580.67 € 6
2023 Q1 10 915.83 € 1 544.44 € 1 582.48 € 2
2022 Q4 38 711.54 € - 6 259.57 € 2
2022 Q3 499 286.02 € 62 549.48 € 10 360.35 € 2
2022 Q2 77 000.66 € - 856.68 € 5
2022 Q1 11 669.68 € 700.92 € 746.52 € 1
2021 Q4 26 097.84 € - 3 533.56 € 1
2021 Q3 375 534.64 € 53 651.88 € 3 820.01 € 2
2021 Q2 19 547.58 € - 691.44 € 4
2021 Q1 - - 691.44 € 1
2020 Q4 12 253.33 € - 2 111.82 € 1
2020 Q3 193 308.57 € 14 770.12 € 1 801.1 € 1
2020 Q2 2 450.69 € - 514.06 € 1
2020 Q1 24 917.43 € 2 044.35 € 636.36 € 1