Sihtasutus Rakvere Teatrimaja

90003491

Company info

Sihtasutus Rakvere Teatrimaja

90003491

Rakvere Teaterhttp://www.rakvereteater.eeRakvere Teater

Rakvere Teater on 1940. aastal Virumaale loodud professionaalne teater, mille repertuaarist võib alati leida nii eesti kui maailmadramaturgiat, lastelavastusi ja kaasaegsemaid eksperimente. Rakvere Teater annab ligikaudu pooled etendustest väljaspool oma maja, tuues teatri koju kätte inimestele üle Eesti.

General info

Name

Sihtasutus Rakvere Teatrimaja

Registry code

90003491

VAT number

EE100934746

Type

SA - Foundation

Status

Registered

Foundation date

09.11.2004 (20)

Financial year

01.01-31.12

Activity

90011 - Production and presentation of live theatrical and dance performances

Revenue

-

Profit

-

Profit margin

-

Gross salary

1 766 €

(estimate is approximate)

Equity

-

Employees

83

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-

Return on assets

-

Related parties

Owner Representative Beneficial owner Roles

Velvo Väli

01.04.1974 (50)

- Board member Exerciser of founder's rights, member of the supervisory board, board member

Viivika Roostar

23.07.1973 (51)

- - Exerciser of founder's rights, member of the supervisory board, board member Board member

Üllar Saaremäe

23.11.1969 (54)

- - Exerciser of founder's rights, member of the supervisory board, board member Board member

Heidi Aadma

07.01.1976 (48)

- - Exerciser of founder's rights, member of the supervisory board, board member Board member

Kersti Sannik

27.10.1960 (64)

- - Exerciser of founder's rights, member of the supervisory board, board member Board member

Katre Väli

13.02.1984 (40)

- - Exerciser of founder's rights, member of the supervisory board, board member Chairman of the board

Kultuuriministeerium

70000941

- - - Founder

Rakvere Linnavalitsus

75025064

- - - Founder

Financial info

2019
06.05.2020
2020
14.04.2021
2021
21.04.2022
2022
02.05.2023
2023
27.03.2024
Total Revenue - - - - -
Net profit (loss) for the period - - - - -
Profit Margin - - - - -
Current Assets 2 015 315 € 2 393 663 € 2 242 378 € 2 103 556 € 2 063 641 €
Fixed Assets 4 495 518 € 4 342 366 € 4 682 794 € 4 525 940 € 4 887 969 €
Total Assets 6 510 833 € 6 736 029 € 6 925 172 € 6 629 496 € 6 951 610 €
Current Liabilities 496 690 € 454 567 € 409 250 € 465 266 € 573 619 €
Non Current Liabilities - - - - -
Total Liabilities - - - - -
Share Capital - - - - -
Equity - - - - -
Employees 83 83 83 83 83

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 595 173.44 € 326 087.64 € 283 944.23 € 120
2023 Q4 646 187.15 € 228 805.22 € 201 204.89 € 118
2023 Q3 264 314.21 € 195 784.19 € 209 794.63 € 118
2023 Q2 427 054.15 € 235 687.83 € 214 894.88 € 106
2023 Q1 596 843.23 € 231 798.82 € 194 925.17 € 132
2022 Q4 475 992.98 € 203 342.62 € 186 520.67 € 133
2022 Q3 254 482.1 € 182 963.93 € 194 059.77 € 125
2022 Q2 367 394 € 201 451.52 € 187 732.14 € 129
2022 Q1 288 413.26 € 228 502.21 € 240 492.16 € 123
2021 Q4 397 466.85 € 164 862.18 € 173 355.78 € 121
2021 Q3 188 393.44 € 138 461.83 € 144 906.34 € 116
2021 Q2 77 425.24 € 95 763.78 € 99 039.01 € 116
2021 Q1 141 553.15 € 206 809.17 € 220 936.28 € 120
2020 Q4 382 763.87 € 203 531.87 € 179 219.67 € 126
2020 Q3 154 384.45 € 104 239.93 € 104 179.76 € 120
2020 Q2 -7 190.41 € 123 672.64 € 133 349.13 € 124
2020 Q1 472 910.4 € 257 278.72 € 232 413.79 € 121