Combimill Reopalu OÜ

10282560

Company info

Combimill Reopalu OÜ

10282560

Combimill Sakala | Saeveski Viljandimaalhttps://combimill.eeCombimill Sakala | Saeveski Viljandimaal

Kaasaegne saematerjali tootmisüksus Viljandimaal. 125K+ m³ toodangut aastas.

General info

Name

Combimill Reopalu OÜ

Registry code

10282560

VAT number

EE100233492

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

08.10.1997 (28)

Financial year

01.01-31.12

Capital

630 000.00 €

Activity

16111 - 46831 - 35301 - Steam and air conditioning supply

Revenue

29 448 734 €

Profit

3 879 033 €

Profit margin

13%

Gross salary

3 106 €

(estimate is approximate)

Equity

5 160 693 €

Employees

57

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

75%

Return on assets

36%

Related parties

Owner Representative Beneficial owner

Marek Moorits

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

Ullabritt Murumaa

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

Janek Antipin

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

Combimill Sakala OÜ

12216538

100% - 630 000.00 EUR - -

Related companies

Owner Representative Beneficial owner

Iriscorp Transport OÜ

10210046

13% - 3 196.00 EUR - -

Vaidawood OÜ

12765423

50% - 1 250.00 EUR - -

Cmtinvest OÜ

17261064

50% - 0.01 EUR - -

Financial info

2019
07.07.2020
2020
18.10.2021
2021
31.12.2022
2022
30.06.2023
2023
01.07.2024
2024
30.06.2025
Total Revenue 21 448 140 € 23 475 768 € 32 436 708 € 34 100 020 € 28 742 212 € 29 448 734 €
Net profit (loss) for the period -489 428 € 3 329 257 € 7 310 939 € 5 202 454 € 1 482 885 € 3 879 033 €
Profit Margin -2% 14% 23% 15% 5% 13%
Current Assets 3 957 755 € 4 033 310 € 9 055 596 € 7 080 445 € 5 005 626 € 6 304 698 €
Fixed Assets 8 866 236 € 8 194 462 € 7 197 662 € 6 272 164 € 5 533 831 € 4 595 671 €
Total Assets 12 823 991 € 12 227 772 € 16 253 258 € 13 352 609 € 10 539 457 € 10 900 369 €
Current Liabilities 3 881 916 € 3 300 529 € 3 031 098 € 4 154 044 € 3 596 628 € 3 395 404 €
Non Current Liabilities 4 152 618 € 2 308 529 € 2 292 506 € 1 566 457 € 827 836 € 2 344 272 €
Total Liabilities 8 034 534 € 5 609 058 € 5 323 604 € 5 720 501 € 4 424 464 € 5 739 676 €
Share Capital - - - - - -
Equity 4 789 457 € 6 618 714 € 10 929 654 € 7 632 108 € 6 114 993 € 5 160 693 €
Employees 57 58 59 59 58 57

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2025 Q4 8 500 467 € 393 750 € 295 602 € 58
2025 Q3 4 798 609 € 634 329 € 336 495 € 58
2025 Q2 8 690 580 € 542 674 € 291 276 € 59
2025 Q1 6 664 084 € 1 055 243 € 281 539 € 58
2024 Q4 7 896 698 € 579 346 € 278 169 € 58
2024 Q3 5 996 715 € 807 422 € 312 270 € 58
2024 Q2 8 735 105 € 597 588 € 277 998 € 59
2024 Q1 7 517 363 € 815 606 € 244 156 € 58
2023 Q4 7 801 179 € 238 864 € 244 337 € 58
2023 Q3 5 475 606 € 457 289 € 273 936 € 58
2023 Q2 8 006 523 € 369 161 € 242 026 € 59
2023 Q1 7 989 671 € 1 320 691 € 260 040 € 59
2022 Q4 6 847 648 € 1 441 318 € 241 219 € 60
2022 Q3 8 084 429 € 946 237 € 303 512 € 60
2022 Q2 11 943 076 € 863 669 € 222 816 € 62
2022 Q1 7 552 075 € 716 722 € 226 244 € 62