PTT Recycling OÜ

12973469

Company info

PTT Recycling OÜ

12973469

Ehitusprahi Ja Ehitusjäätmete Vastuvõtt Ning Käitlus – PTTRhttps://www.pttr.eeEhitusprahi Ja Ehitusjäätmete Vastuvõtt Ning Käitlus – PTTR

PTT Recyling - peamine ehitusprahi, ehitusjäätmete vastuvõtja, utiliseerija Tallinnas. Ehitusjäätmete, lammutusprahi, kipsi, pinnase, ehituspuidu jm vastuvõtt.

General info

Name

PTT Recycling OÜ

Registry code

12973469

VAT number

EE102071021

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

06.01.2016 (8)

Financial year

01.01-31.12

Capital

4 000.00 €

Activity

38321 - Recovery of sorted materials 08991 - Other mining and quarrying n.e.c. 96099 - Other service activities

Revenue

2 728 704 €

Profit

309 072 €

Profit margin

11%

Gross salary

2 186 €

(estimate is approximate)

Equity

983 609 €

Employees

24

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

31%

Return on assets

19%

Related parties

Owner Representative Beneficial owner Roles

Allan Suvi

28.11.1969 (54)

10% - 400.00 EUR Board member -

Kuldar Õunapuu

25.07.1983 (41)

10% - 400.00 EUR - - Founder

Marina Suvi

18.03.1972 (52)

10% - 400.00 EUR - -

Versus Holding OÜ

10807318

50% - 2 000.00 EUR - - Founder

Vladimir Libman

13.11.1955 (68)

30% - 1 200.00 EUR - Direct ownership Founder

Klavdia Libman

09.10.1955 (68)

30% - 1 200.00 EUR - -

Aap Mumme

31.12.1943 (80)

- - Direct ownership

Tarmo Kari

08.06.1966 (58)

- - - Founder

Triin Andresson

21.07.1981 (43)

- - - Founder

Related companies

Owner Representative Beneficial owner Roles

ATI Grupp osaühing

10508923

100% - 3 834.00 EUR - -

Financial info

2019
23.07.2020
2020
09.04.2021
2021
30.06.2022
2022
30.06.2023
2023
30.06.2024
Total Revenue 1 502 496 € 1 762 073 € 2 221 310 € 2 364 161 € 2 728 704 €
Net profit (loss) for the period 266 178 € 174 019 € 226 344 € 188 868 € 309 072 €
Profit Margin 18% 10% 10% 8% 11%
Current Assets 260 152 € 386 940 € 533 601 € 599 450 € 713 378 €
Fixed Assets 425 625 € 734 049 € 811 906 € 1 199 351 € 899 199 €
Total Assets 685 777 € 1 120 989 € 1 345 507 € 1 798 801 € 1 612 577 €
Current Liabilities 202 324 € 296 125 € 287 066 € 347 054 € 361 412 €
Non Current Liabilities 148 146 € 315 538 € 352 771 € 607 209 € 267 556 €
Total Liabilities 350 470 € 611 663 € 639 837 € 954 263 € 628 968 €
Share Capital - - - - -
Equity 335 307 € 509 326 € 705 670 € 844 538 € 983 609 €
Employees 15 19 23 24 24

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 598 703.46 € 209 536.86 € 98 709.25 € 26
2023 Q4 917 445.12 € 177 532 € 88 944.94 € 27
2023 Q3 778 933.94 € 155 832.07 € 76 090.69 € 26
2023 Q2 640 056.83 € 130 498.04 € 62 108.52 € 21
2023 Q1 398 851.65 € 147 706.9 € 74 203.23 € 18
2022 Q4 563 396.88 € 106 160.14 € 72 560 € 19
2022 Q3 630 927.89 € 133 909.74 € 70 409.17 € 25
2022 Q2 673 951.81 € 53 840.82 € 60 456.27 € 24
2022 Q1 472 762.79 € 128 963.52 € 72 333.95 € 24
2021 Q4 709 417.45 € 133 408.86 € 62 136.97 € 24
2021 Q3 590 534.67 € 105 997.11 € 60 313.9 € 25
2021 Q2 672 800.6 € 96 087.85 € 45 160.29 € 22
2021 Q1 506 659.48 € 40 758.1 € 53 180.13 € 21
2020 Q4 559 178.84 € 97 751.93 € 43 595.48 € 21
2020 Q3 399 382.94 € 80 753.51 € 47 063.62 € 17
2020 Q2 405 415.46 € 84 118.21 € 51 094.53 € 19
2020 Q1 375 717.21 € 71 917.43 € 58 593.39 € 19