Kütioru puhkekeskuse OÜ

14496499

Company info

Kütioru puhkekeskuse OÜ

14496499

Ränduri pubi ja külalistemajaRändur Ränduri külalistemaja pubihttps://randur.eeRänduri pubi ja külalistemajaRändur Ränduri külalistemaja pubi

Hubane majutus, maitsvad toidud ja meeldiv teenindus ootavad Teid Võru kesklinnas. Privaatse peosaali rent koos toitlustusega kuni 30-le külalisele.

General info

Name

Kütioru puhkekeskuse OÜ

Registry code

14496499

VAT number

EE102075519

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

28.05.2018 (6)

Financial year

01.01-31.12

Capital

24 000.00 €

Activity

55203 - Holiday village and camp

Revenue

506 518 €

Profit

18 653 €

Profit margin

4%

Gross salary

1 461 €

(estimate is approximate)

Equity

1 411 231 €

Employees

5

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

1%

Return on assets

1%

Related parties

Owner Representative Beneficial owner Roles

Omanikukonto: IMRE VIILUKAS

20.02.1976 (48)

16% - 3 840.00 EUR Board member Member of a higher management body, i.e. board member or supervisory board member

Ivo Viilukas

12.06.1974 (50)

16% - 3 840.00 EUR - -

Karmo Kase

01.02.1981 (43)

10% - 2 400.00 EUR Board member Member of a higher management body, i.e. board member or supervisory board member

Taimar Timmi

16.02.1977 (47)

10% - 2 400.00 EUR - -

Osaühing Ordesall Group

11174051

10% - 2 400.00 EUR - -

Avo Kons

09.06.1973 (51)

10% - 2 400.00 EUR - -

Meelis Kibena

03.12.1969 (54)

10% - 2 400.00 EUR - -

Virgo Eiche

28.03.1974 (50)

8% - 1 920.00 EUR - -

Timo Tammik

17.09.1976 (48)

5% - 1 200.00 EUR - -

OÜ Pruulisõbrad

12777521

5% - 1 200.00 EUR - -

Andres Heliste

19.04.1971 (53)

- - Indirect ownership

Tõnis Talv

30.10.1988 (36)

- - - Founder

Financial info

2019
27.08.2020
2020
26.03.2021
2021
19.09.2022
2022
21.06.2023
2023
28.06.2024
Total Revenue 49 222 € 22 787 € 396 126 € 379 755 € 506 518 €
Net profit (loss) for the period 26 134 € 1 312 € 183 024 € 154 928 € 18 653 €
Profit Margin 53% 6% 46% 41% 4%
Current Assets 60 338 € 139 657 € 62 459 € 91 110 € 221 490 €
Fixed Assets 330 218 € 566 809 € 878 930 € 1 257 098 € 1 435 591 €
Total Assets 390 556 € 706 466 € 941 389 € 1 348 208 € 1 657 081 €
Current Liabilities 32 242 € 121 240 € 61 139 € 84 686 € 213 056 €
Non Current Liabilities 46 000 € 34 000 € 34 000 € 65 594 € 32 794 €
Total Liabilities 78 242 € 155 240 € 95 139 € 150 280 € 245 850 €
Share Capital - - - - -
Equity 312 314 € 551 226 € 846 250 € 1 197 928 € 1 411 231 €
Employees 1 2 4 4 5

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 405 674.74 € 49 464.83 € 20 072.34 € 5
2023 Q4 40 159.59 € - 13 396.91 € 7
2023 Q3 65 964.89 € - 7 766.49 € 5
2023 Q2 92 676.84 € 13 690.3 € 6 098.35 € 5
2023 Q1 294 681.78 € 33 966.59 € 5 290.63 € 6
2022 Q4 34 987.23 € - 4 600.09 € 5
2022 Q3 41 931.58 € 3 984.65 € 4 267.13 € 5
2022 Q2 61 661.71 € - 5 237.87 € 5
2022 Q1 255 335 € 25 664.89 € 5 329.13 € 5
2021 Q4 10 410.49 € - 4 101.32 € 6
2021 Q3 21 153.24 € 4 691.78 € 5 024.67 € 4
2021 Q2 54 119.68 € 5 740.12 € 5 155.77 € 4
2021 Q1 334 608.09 € 12 914.38 € 2 728.1 € 5
2020 Q4 91.24 € - 1 490.71 € 2
2020 Q3 1 981 € - 2 523.05 € 3
2020 Q2 615.7 € 1 773.6 € 1 986.62 € 3
2020 Q1 34 071.7 € 3 496.86 € 1 246.3 € 3