Reimax Electronics OÜ

11112067

Company info

Reimax Electronics OÜ

11112067

Unique combination of skills in electronics and mechanics - Reimaxhttps://reimax.netUnique combination of skills in electronics and mechanics - Reimax

SPIRAL CABLES FOR FLEXIBLE POWER CONNECTIONS Spiral cable is the best choice for moving applications and objects. We provide high-quality and durable spiral cables from many different colors and for different conditions. Let us find the best possible solution for You. Read more Tailored solutions, starting from the design phase We serve our customers from…

General info

Name

Reimax Electronics OÜ

Registry code

11112067

VAT number

EE100953028

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

17.02.2005 (21)

Financial year

01.04-31.03

Capital

2 556.00 €

Activity

27321 - Manufacture of other electronic and electric wires and cables

Revenue

9 939 095 €

Profit

-752 713 €

Profit margin

-8%

Gross salary

1 684 €

(estimate is approximate)

Equity

4 285 248 €

Employees

107

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-18%

Return on assets

-11%

Related parties

Owner Representative Beneficial owner

Urmo Sisask

- Board member -

Madis Tarvas

- Board member -

Reijo Juhani Laine

- Board member Indirect ownership

Financial info

2019
12.06.2020
2020
16.06.2021
2021
19.07.2022
2022
02.08.2023
2023
29.08.2024
2024
05.08.2025
Total Revenue 7 100 481 € 5 928 335 € 7 391 064 € 9 163 929 € 7 406 295 € 9 939 095 €
Net profit (loss) for the period 381 649 € 89 854 € 169 957 € 563 044 € -1 217 552 € -752 713 €
Profit Margin 5% 2% 2% 6% -16% -8%
Current Assets 5 273 426 € 5 156 005 € 5 513 951 € 6 130 013 € 5 360 238 € 5 128 158 €
Fixed Assets 1 819 424 € 1 619 285 € 1 533 535 € 1 477 532 € 1 596 110 € 1 544 702 €
Total Assets 7 092 850 € 6 775 290 € 7 047 486 € 7 607 545 € 6 956 348 € 6 672 860 €
Current Liabilities 760 192 € 652 778 € 1 055 017 € 1 352 032 € 1 118 387 € 1 467 612 €
Non Current Liabilities - - - - 800 000 € 920 000 €
Total Liabilities - - - - 1 918 387 € 2 387 612 €
Share Capital - - - - - -
Equity 6 332 658 € 6 122 512 € 5 992 469 € 6 255 513 € 5 037 961 € 4 285 248 €
Employees 83 77 91 88 94 107

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2025 Q4 2 957 534 € 279 749 € 260 551 € 91
2025 Q3 2 193 552 € 297 330 € 253 285 € 91
2025 Q2 3 189 702 € 298 287 € 268 539 € 95
2025 Q1 2 765 439 € 251 737 € 251 904 € 95
2024 Q4 3 490 461 € 288 116 € 279 146 € 99
2024 Q3 3 224 851 € 278 809 € 280 289 € 99
2024 Q2 3 379 124 € 254 477 € 262 732 € 107
2024 Q1 2 699 522 € 266 412 € 277 994 € 101
2023 Q4 2 621 865 € 202 304 € 211 963 € 90
2023 Q3 2 723 513 € 213 551 € 219 904 € 90
2023 Q2 3 421 013 € 207 871 € 200 293 € 88
2023 Q1 3 169 380 € 203 433 € 203 613 € 90
2022 Q4 3 108 081 € 205 611 € 196 796 € 83
2022 Q3 2 957 028 € 316 863 € 208 994 € 83
2022 Q2 3 280 288 € 177 626 € 185 882 € 87
2022 Q1 2 653 606 € 175 587 € 182 028 € 85