Team Flow OÜ

16165890

General info

Name

Team Flow OÜ

Registry code

16165890

VAT number

EE102342624

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

19.02.2021 (3)

Financial year

01.01-31.12

Capital

2 782.31 €

Activity

62011 - Computer programming activities

Revenue

1 249 €

Profit

-26 583 €

Profit margin

-2128%

Gross salary

-

Equity

176 533 €

Employees

0

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-15%

Return on assets

-15%

Related parties

Owner Representative Beneficial owner Roles

Usaldusfond United Angels Fund I

14371639

3% - 70.23 EUR - -

osaühing L.T.Good

11300604

0% - 7.02 EUR - -

AUS RAHA OÜ

12141556

0% - 7.02 EUR - -

Pernimo Solutions OÜ

14146463

18% - 500.00 EUR - - Founder

Majime Services OÜ

12904296

1% - 35.11 EUR - -

Teresa-Katriin Liivak

11.10.1991 (33)

0% - 3.51 EUR - -

Portfellihaldus OÜ

11167418

0% - 3.51 EUR - -

Vennas OÜ

16275006

0% - 3.51 EUR - -

OÜ Nutrition Magician

14782064

0% - 3.51 EUR - -

Concise Systems OÜ

11477998

1% - 28.09 EUR - -

In Spire Management OÜ

11166428

1% - 28.09 EUR - -

José Eduardo De Barros Levenfeld

11.01.1985 (39)

9% - 250.00 EUR Board member - Founder

Veiko Aunapuu

26.05.1987 (37)

9% - 250.00 EUR Board member - Founder

OÜ Eduelamus

10913227

1% - 21.07 EUR - -

Bevoke Estonia OÜ

12844016

1% - 17.56 EUR - -

Mindly OÜ

14101153

54% - 1 500.00 EUR - - Founder

OÜ Elurõõm

14387095

1% - 15.45 EUR - -

OÜ Kinnisvarainvestor

16224635

1% - 14.05 EUR - -

Shuhari OÜ

14826465

0% - 10.53 EUR - -

Brave Tech OÜ

14407691

0% - 10.53 EUR - -

OÜ Lentivia

14407107

0% - 1.76 EUR - -

Janno Siilbek

26.03.1980 (44)

- Board member Indirect ownership

Kristo Peterson

03.10.1993 (31)

- Board member -

Financial info

2021
30.06.2022
2022
30.06.2023
2023
30.06.2024
Total Revenue - 996 € 1 249 €
Net profit (loss) for the period -148 973 € -190 294 € -26 583 €
Profit Margin - -19106% -2128%
Current Assets 260 695 € 1 107 € 221 €
Fixed Assets 174 555 € 203 691 € 180 931 €
Total Assets 435 250 € 204 798 € 181 152 €
Current Liabilities - 86 € 0 €
Non Current Liabilities 41 839 € 1 595 € 4 619 €
Total Liabilities - 1 681 € -
Share Capital - - -
Equity 393 411 € 203 117 € 176 533 €
Employees 5 5 0

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 - - - -
2023 Q4 - - - -
2023 Q3 1 061.17 € 26.21 € - 1
2023 Q2 687.46 € 18.33 € - 1
2023 Q1 1 374.79 € 152.7 € - 1
2022 Q4 632.34 € - - 1
2022 Q3 851.01 € 27 438.05 € 28 518.79 € 1
2022 Q2 1 880.93 € 27 644.64 € 27 108.85 € 1
2022 Q1 4 066.57 € 27 471.05 € 28 166.2 € 1
2021 Q4 2 103.12 € 28 669 € 27 491.52 € 1
2021 Q3 2 944.92 € 11 702.96 € 12 687.86 € 1
2021 Q2 386.78 € 3 603.21 € 3 906.46 € 2
2021 Q1 - - - 2