Fairmus Technologies OÜ

16115366

General info

Name

Fairmus Technologies OÜ

Registry code

16115366

VAT number

EE102337480

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

07.12.2020 (3)

Financial year

01.01-31.12

Capital

10 000.00 €

Activity

62091 - Other information technology and computer service activities

Revenue

16 389 €

Profit

-122 435 €

Profit margin

-747%

Gross salary

-

Equity

62 713 €

Employees

4

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-195%

Return on assets

-21%

Related parties

Owner Representative Beneficial owner Roles

Juko-Mart Kõlar

05.08.1983 (41)

8% - 800.00 EUR - Direct ownership Founder

Kristjan Ulst

18.12.1988 (35)

8% - 800.00 EUR - Direct ownership Founder

Mertino OÜ

14917222

1% - 74.00 EUR - -

Fairmus Technologies OÜ

16115366

7% - 656.00 EUR - -

Osaühing HANSA GRUPP

10923131

5% - 500.00 EUR - -

Secure Consent OÜ

14496677

1% - 50.00 EUR - -

Reigo Ahven

13.03.1982 (42)

49% - 4 900.00 EUR Board member Direct ownership Founder

Fanvestory OÜ

14221756

5% - 480.00 EUR - -

Marika Ahven

07.09.1973 (51)

4% - 400.00 EUR - Direct ownership Founder

Petteri Hasa OÜ

14759415

3% - 300.00 EUR - -

Concise Systems OÜ

11477998

3% - 300.00 EUR - -

Tehnopol Ventures OÜ

16135392

2% - 200.00 EUR - -

Intelware Invest OÜ

16784512

2% - 200.00 EUR - -

Tõnis Kivisild

29.01.1985 (39)

1% - 100.00 EUR - Direct ownership Founder

MGM Vara OÜ

11109349

1% - 100.00 EUR - -

OÜ Meriman

14197644

1% - 100.00 EUR - -

Lindermann, Birnbaum & Kasela OÜ

10687788

0% - 10.00 EUR - -

Ilves Consulting Group OÜ

14131823

0% - 10.00 EUR - -

Tanel Padar

27.10.1980 (43)

0% - 10.00 EUR - -

Uku Suviste

06.06.1982 (42)

0% - 10.00 EUR - -

Related companies

Owner Representative Beneficial owner Roles

Fairmus Technologies OÜ

16115366

7% - 656.00 EUR - -

Apptree OÜ

11917434

100% - 2 555.00 EUR - -

Financial info

2021
08.12.2023
2022
19.01.2024
2023
28.06.2024
Total Revenue 1 038 € 6 654 € 16 389 €
Net profit (loss) for the period -12 701 € -159 815 € -122 435 €
Profit Margin -1224% -2402% -747%
Current Assets 34 480 € 73 079 € 22 501 €
Fixed Assets 85 970 € 346 897 € 554 549 €
Total Assets 120 450 € 419 976 € 577 050 €
Current Liabilities 19 651 € 158 942 € 134 337 €
Non Current Liabilities - 200 000 € 380 000 €
Total Liabilities - 358 942 € 514 337 €
Share Capital - - -
Equity 100 799 € 61 034 € 62 713 €
Employees 0 4 4

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 10 691.94 € 3 135.39 € 4 145.98 € 3
2023 Q4 2 677.46 € 3 102.6 € 3 378.18 € 2
2023 Q3 5 043.7 € 6 511.01 € 6 281.26 € 2
2023 Q2 6 686.3 € 12 560.88 € 20 555.61 € 3
2023 Q1 1 257.31 € 8 484.03 € 8 504.24 € 5
2022 Q4 1 697.45 € 5 606.32 € 10 503.05 € 4
2022 Q3 1 399.38 € - 2 286.72 € 1
2022 Q2 - - 125 € -
2022 Q1 - - - -
2021 Q4 -145.85 € 1 227.23 € 176.35 € -
2021 Q3 - - - -
2021 Q2 120 € - - -
2021 Q1 65 € - - -