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MEIST SA Taheva Sanatooriumi põhitegevuseks on eakatele üldhooldusteenuse ja puuetega inimestele erihoolekandeteenuste osutamine. Asume looduskaunis kohas Tsirgumäe külas, Valgamaal, eemal saastest ja linnakärast. Peame oluliseks tervet ja sõbralikku elukeskkonda, koostöösuhteid partnerite ja kogukonnaga ning osutavate teenuste kvaliteeti.
Name
sihtasutus Taheva Sanatoorium
Registry code
90007632
VAT number
EE101044703
Type
SA - Foundation
Status
Registered
Foundation date
10.06.2004 (20)
Financial year
01.01-31.12
Activity
87101 - Residential nursing care activities 8720 - Residential care activities for mental retardation, mental health and substance abuse 87301 - Residential care activities for the elderly and disabled 87901 - Activity of institutions providing alternative care service 87909 - Activities of other residential care institutions not classified elsewhere
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-
-
989 €
(estimate is approximate)
-
45
Submitted
No tax arrears
-
-
Owner | Representative | Beneficial owner | Roles | |
---|---|---|---|---|
Eve Ilisson 02.01.1959 (65) | - | Board member | - | |
Ülla Kimmel 03.09.1975 (49) | - | - | Exerciser of founder's rights, member of the supervisory board, board member | Board member |
Rein Rätsepp 13.12.1956 (67) | - | - | Exerciser of founder's rights, member of the supervisory board, board member | Board member |
Maarja Mägi 03.11.1991 (33) | - | - | Exerciser of founder's rights, member of the supervisory board, board member | Chairman of the board |
2019 12.05.2020 | 2020 28.05.2021 | 2021 13.05.2022 | 2022 23.05.2023 | 2023 30.04.2024 | |
---|---|---|---|---|---|
Total Revenue | - | - | - | - | - |
Net profit (loss) for the period | - | - | - | - | - |
Profit Margin | - | - | - | - | - |
Current Assets | 109 314 € | 66 192 € | 109 986 € | 121 919 € | 204 213 € |
Fixed Assets | 1 184 466 € | 1 135 199 € | 1 093 477 € | 1 054 564 € | 1 015 164 € |
Total Assets | 1 293 780 € | 1 201 391 € | 1 203 463 € | 1 176 483 € | 1 219 377 € |
Current Liabilities | 109 872 € | 65 951 € | 86 493 € | 138 042 € | 77 027 € |
Non Current Liabilities | 90 764 € | 78 846 € | 67 221 € | 0 € | 24 230 € |
Total Liabilities | 200 636 € | 144 797 € | 153 714 € | - | 101 257 € |
Share Capital | - | - | - | - | - |
Equity | - | - | - | - | - |
Employees | 58 | 56 | 46 | 45 | 45 |
Turnover | State taxes | Labor taxes and payments | Employees | |
---|---|---|---|---|
2024 Q1 | 11 292.37 € | 68 183.46 € | 70 928.38 € | 51 |
2023 Q4 | 6 341.41 € | 54 042.48 € | 56 709.14 € | 54 |
2023 Q3 | 4 234.98 € | 54 136.7 € | 57 374.67 € | 52 |
2023 Q2 | 9 489.6 € | 46 282.25 € | 47 655.08 € | 46 |
2023 Q1 | 12 481.2 € | 46 134 € | 47 985.65 € | 45 |
2022 Q4 | 9 948 € | 45 860.58 € | 47 370.57 € | 51 |
2022 Q3 | 8 147.99 € | 62 573.83 € | 65 480.55 € | 51 |
2022 Q2 | 9 257.74 € | 56 374.5 € | 59 119.76 € | 53 |
2022 Q1 | 12 137.1 € | 57 641.13 € | 60 650.45 € | 48 |
2021 Q4 | 8 104.78 € | 51 555.78 € | 54 375.16 € | 57 |
2021 Q3 | 4 384.55 € | 59 096.7 € | 63 860.57 € | 54 |
2021 Q2 | 10 252.85 € | 58 722.91 € | 62 039.09 € | 57 |
2021 Q1 | 11 644.4 € | 58 011.46 € | 61 905.84 € | 61 |
2020 Q4 | 7 854.9 € | 53 994.89 € | 55 833.05 € | 63 |
2020 Q3 | 4 688.75 € | 65 672.32 € | 70 732.5 € | 61 |
2020 Q2 | 9 277 € | 62 988.48 € | 66 816.52 € | 65 |
2020 Q1 | 11 279.1 € | 66 175.59 € | 70 318.49 € | 59 |