Sihtasutus Valgehobusemäe Suusa- ja Puhkekeskus

90013615

Company info

Sihtasutus Valgehobusemäe Suusa- ja Puhkekeskus

90013615

Valgehobusemäe suusa- ja puhkekeskus - Eestimaa puhtad kopsud ootavad!https://valgehobuse.eeValgehobusemäe suusa- ja puhkekeskus - Eestimaa puhtad kopsud ootavad!

Valgehobusemäe suusa- ja puhkekeskus - Eestimaa puhtad kopsud ootavad! Toitlustus, majutus, seminarid, varustuse laenutus, koolitused

General info

Name

Sihtasutus Valgehobusemäe Suusa- ja Puhkekeskus

Registry code

90013615

VAT number

EE101941466

Type

SA - Foundation

Status

Registered

Foundation date

09.01.2017 (7)

Financial year

01.01-31.12

Activity

55201 - Hostels 55301 - Camping grounds, recreational vehicle parks and trailer parks 93199 - Other sprts activities not classified elsewhere 56101 - Restaurants, cafeterias and other catering places

Revenue

-

Profit

-

Profit margin

-

Gross salary

2 778 €

(estimate is approximate)

Equity

-

Employees

5

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-

Return on assets

-

Related parties

Owner Representative Beneficial owner Roles

Kalju Kertsmik

21.05.1960 (64)

- Board member -

Toomas Tammik

19.01.1990 (34)

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

Alari Teppan

03.11.1972 (51)

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

Siim Umerov

01.06.1998 (26)

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

Arvi Luuk

17.01.1968 (56)

- - - Board member

Kuldar Tammik

03.01.1969 (55)

- - - Board member

Mairold Niinsalu

18.01.1972 (52)

- - - Board member

Marti Lepik

21.01.1979 (45)

- - - Board member

Kristjan Koll

03.06.1995 (29)

- - - Chairman of the board

Financial info

2019
11.05.2020
2020
24.05.2021
2021
17.06.2022
2022
02.05.2023
2023
28.05.2024
Total Revenue - - - - -
Net profit (loss) for the period - - - - -
Profit Margin - - - - -
Current Assets 84 630 € 145 224 € 235 038 € 270 987 € 269 350 €
Fixed Assets 762 882 € 754 880 € 817 122 € 838 603 € 968 518 €
Total Assets 847 512 € 900 104 € 1 052 160 € 1 109 590 € 1 237 868 €
Current Liabilities 36 303 € 42 908 € 66 955 € 65 420 € 175 930 €
Non Current Liabilities 21 603 € 21 188 € 20 758 € 19 032 € 17 236 €
Total Liabilities 57 906 € 64 096 € 87 713 € 84 452 € 193 166 €
Share Capital - - - - -
Equity - - - - -
Employees 7 6 6 6 5

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 301 344.68 € 55 669.16 € 21 441.8 € 5
2023 Q4 32 161.21 € 19 895.61 € 21 146.87 € 6
2023 Q3 81 122.97 € 20 830.65 € 18 498.71 € 5
2023 Q2 122 398.19 € 28 859.13 € 22 328.41 € 3
2023 Q1 262 606.76 € 45 765.93 € 18 803.08 € 8
2022 Q4 48 776.65 € 18 969.2 € 19 925.01 € 9
2022 Q3 66 014.1 € 17 819.71 € 17 338.29 € 7
2022 Q2 72 324.53 € 24 704.2 € 21 258.59 € 7
2022 Q1 280 287.09 € 52 688.44 € 19 346.32 € 9
2021 Q4 35 888.99 € 16 776.89 € 17 534.84 € 9
2021 Q3 69 307.8 € 16 480.38 € 17 370.47 € 7
2021 Q2 64 957.75 € 30 102.13 € 23 146.82 € 7
2021 Q1 407 374.57 € 69 499.68 € 12 051.6 € 11
2020 Q4 53 443.02 € 13 746.8 € 14 010.66 € 11
2020 Q3 54 144.64 € 11 261.83 € 9 147.95 € 11
2020 Q2 21 549.14 € 9 607.77 € 9 040.23 € 11
2020 Q1 95 866.6 € 24 431.79 € 14 794.9 € 11