OÜ Tartu Veekeskus

10738741

Company info

OÜ Tartu Veekeskus

10738741

Aura Keskus - veekeskus kogu perelehttps://www.aurakeskus.eeAura Keskus - veekeskus kogu perele

Aura Keskus Tartus pakub unustamatuid vee- ja saunakogemusi kogu perele. Nautige basseine, liutorusid ja erinevaid lõõgastusvõimalusi.

General info

Name

OÜ Tartu Veekeskus

Registry code

10738741

VAT number

EE100684986

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

09.04.2001 (24)

Financial year

01.01-31.12

Capital

10 000.00 €

Activity

93111 - Operation of sports facilities 96231 - 93211 - Activities of amusement parks and theme parks 47789 - Retail sale of goods n.e.c.

Revenue

2 722 602 €

Profit

98 110 €

Profit margin

4%

Gross salary

1 866 €

(estimate is approximate)

Equity

3 447 810 €

Employees

36

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

3%

Return on assets

2%

Related parties

Owner Representative Beneficial owner

Urmas Klaas

- - Right to appoint or recall the majority of the executive management or higher management members

Martin Bek

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

Raimond Tamm

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

Arno Arukask

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

Lembit Kalev

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

Margus Hanson

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

Kairit Matto

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

Tartu Linnavalitsus

75006546

100% - 10 000.00 EUR - -

Financial info

2019
30.06.2020
2020
09.04.2021
2021
28.06.2022
2022
16.06.2023
2023
06.06.2024
2024
25.06.2025
Total Revenue 1 988 832 € 1 400 593 € 1 235 607 € 1 826 210 € 2 482 132 € 2 722 602 €
Net profit (loss) for the period 288 470 € 14 912 € 21 823 € -220 590 € 282 006 € 98 110 €
Profit Margin 15% 1% 2% -12% 11% 4%
Current Assets 1 064 545 € 1 070 312 € 1 215 644 € 982 783 € 548 750 € 616 739 €
Fixed Assets 1 176 975 € 1 083 933 € 953 343 € 4 610 891 € 5 404 876 € 5 251 186 €
Total Assets 2 241 520 € 2 154 245 € 2 168 987 € 5 593 674 € 5 953 626 € 5 867 925 €
Current Liabilities 261 549 € 219 206 € 212 125 € 313 751 € 367 167 € 368 222 €
Non Current Liabilities 59 844 € 0 € 0 € 2 212 229 € 2 236 759 € 2 051 893 €
Total Liabilities 321 393 € - - 2 525 980 € 2 603 926 € 2 420 115 €
Share Capital - - - - - -
Equity 1 920 127 € 1 935 039 € 1 956 862 € 3 067 694 € 3 349 700 € 3 447 810 €
Employees 32 32 30 28 32 36

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2025 Q4 827 549 € 239 975 € 117 439 € 55
2025 Q3 439 891 € 169 190 € 112 746 € 55
2025 Q2 748 156 € 230 059 € 115 177 € 46
2025 Q1 864 926 € 249 221 € 115 121 € 57
2024 Q4 847 979 € 221 375 € 104 596 € 56
2024 Q3 519 447 € 119 520 € 99 915 € 56
2024 Q2 729 091 € 193 139 € 100 052 € 45
2024 Q1 809 197 € 201 846 € 95 259 € 54
2023 Q4 793 974 € 187 355 € 87 981 € 52
2023 Q3 395 421 € 44 080 € 79 641 € 52
2023 Q2 537 720 € 61 681 € 80 049 € 36
2023 Q1 762 951 € 170 373 € 74 513 € 47
2022 Q4 584 008 € 18 375 € 73 274 € 50
2022 Q3 7 844 € 0 € 45 810 € 50
2022 Q2 680 677 € 19 591 € 68 804 € 31
2022 Q1 507 709 € 115 445 € 62 081 € 54