AS Terminal

10171518

Company info

AS Terminal

10171518

Avaleht - Terminal - Meie perelt sinule!http://www.terminalenergia.eeAvaleht - Terminal - Meie perelt sinule!

Terminal tegutseb juba 1968. aastast, kui alustasime tegevust Tartu Naftabaasina. See teeb meist Eesti kõige vanema kütusemüüja. Tänaseks on meil nii vedelkütuseterminalid kui teenindus- ja automaatjaamad üle terve Eesti. Terminali teenindusjaamad on hinnatud sõbraliku teeninduse, kvaliteetse kütuse, isuäratavate burgerite, koduste kohvikutoitude ja maitsva kohvi poolest – kõik, mida kliendid vajavad, nii hea kvaliteediga kui võimalik, nii hea hinna eest kui võimalik!

General info

Name

AS Terminal

Registry code

10171518

VAT number

EE100286245

Type

AS - Joint Stock Company

Status

Registered

Foundation date

19.12.1996 (29)

Financial year

01.01-31.12

Capital

1 002 922.00 €

Activity

47301 - Retail sale of automotive fuel inc. activities of fuelling stations 46812 - 47111 - Retail sale in non-specialised stores with food, beverages or tobacco predominating 56112 - 82991 - Other business support service activities n.e.c. 52102 - Storage services of liquids and gases

Revenue

192 289 330 €

Profit

200 038 €

Profit margin

0%

Gross salary

2 083 €

(estimate is approximate)

Equity

12 577 952 €

Employees

245

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

2%

Return on assets

0%

Related parties

Owner Representative Beneficial owner

Malle Raudsepp

- - Direct ownership

Alan Vaht

- Board member -

Raido Raudsepp

- Board member Member of a higher management body, i.e. board member or supervisory board member

Rauno Raudsepp

- Board member Member of a higher management body, i.e. board member or supervisory board member

OÜ GALLUM KOMMERTS

10271846

100% - 1 002 922.00 EUR - -

Financial info

2019
30.06.2020
2020
28.06.2021
2021
30.06.2022
2022
30.06.2023
2023
26.09.2024
2024
30.06.2025
Total Revenue 137 951 490 € 130 994 344 € 169 862 700 € 295 096 480 € 235 065 940 € 192 289 330 €
Net profit (loss) for the period 1 027 583 € 2 116 428 € 1 016 177 € 3 416 221 € -508 638 € 200 038 €
Profit Margin 1% 2% 1% 1% -0% 0%
Current Assets 33 632 544 € 26 613 304 € 29 298 312 € 49 124 460 € 35 488 316 € 22 687 256 €
Fixed Assets 7 257 477 € 8 343 052 € 28 772 432 € 39 165 932 € 39 464 288 € 28 202 920 €
Total Assets 40 890 020 € 34 956 356 € 58 070 744 € 88 290 390 € 74 952 600 € 50 890 176 €
Current Liabilities 32 152 904 € 23 809 142 € 28 130 148 € 46 388 668 € 51 163 056 € 37 779 320 €
Non Current Liabilities 98 559 € 392 230 € 18 779 106 € 27 324 016 € 11 411 633 € 532 902 €
Total Liabilities 32 251 463 € 24 201 372 € 46 909 254 € 73 712 684 € 62 574 689 € 38 312 222 €
Share Capital 1 002 922 € 1 002 922 € 1 002 922 € 1 002 922 € 1 002 922 € 1 002 922 €
Equity 8 638 557 € 10 754 985 € 11 161 491 € 14 577 712 € 12 377 914 € 12 577 952 €
Employees 113 149 219 240 258 245

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2025 Q4 50 508 708 € 19 508 116 € 860 435 € 360
2025 Q3 53 686 808 € 20 186 080 € 892 693 € 360
2025 Q2 47 698 952 € 17 920 068 € 739 709 € 340
2025 Q1 50 004 216 € 17 438 770 € 763 292 € 295
2024 Q4 45 152 356 € 16 977 696 € 831 626 € 302
2024 Q3 52 261 280 € 18 664 142 € 846 098 € 302
2024 Q2 52 342 336 € 19 296 868 € 722 551 € 330
2024 Q1 45 188 388 € 14 829 754 € 732 219 € 301
2023 Q4 64 974 276 € 20 397 992 € 831 111 € 308
2023 Q3 66 166 504 € 21 101 156 € 848 209 € 308
2023 Q2 57 211 008 € 17 862 260 € 693 000 € 365
2023 Q1 57 781 792 € 17 263 260 € 694 884 € 307
2022 Q4 79 325 190 € 22 518 876 € 692 397 € 325
2022 Q3 87 571 904 € 26 462 550 € 701 680 € 325
2022 Q2 73 839 624 € 23 370 084 € 584 945 € 327
2022 Q1 47 968 968 € 17 212 652 € 521 619 € 286