Outfunnel OÜ

14469427

Company info

Outfunnel OÜ

14469427

Outfunnel - Sales & Marketing Workflow Platformhttps://outfunnel.comOutfunnel - Sales & Marketing Workflow Platform

Outfunnel is a sales and marketing workflow platform that combines data from different tools to help you score your leads and plan the next actions. Works with Pipedrive, Copper, HubSpot, Salesforce.

General info

Name

Outfunnel OÜ

Registry code

14469427

VAT number

EE102064517

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

13.04.2018 (7)

Financial year

01.01-31.12

Capital

3 254.00 €

Activity

58291 - Other software publishing

Revenue

661 514 €

Profit

40 682 €

Profit margin

6%

Gross salary

3 793 €

(estimate is approximate)

Equity

11 818 €

Employees

7

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

344%

Return on assets

3%

Related parties

Owner Representative Beneficial owner

Markus Frank Leming

- Board member -

Andrus Purde

- Board member Direct ownership

Mordor Management OÜ

14166520

0% - 8.00 EUR - -

Outfunnel OÜ

14469427

16% - 513.00 EUR - -

Oluwadamiloju Abraham Yusuf

0% - 4.00 EUR - -

Entourage Capital OÜ

14360736

12% - 375.00 EUR - -

OÜ LIFT99 ROCKETS

14508570

1% - 18.00 EUR - -

Vain & Partnerid OÜ

10324593

1% - 18.00 EUR - -

Lemonade Stand OÜ

14776371

0% - 16.00 EUR - -

OÜ Laughable Company

10857954

45% - 1 456.00 EUR - -

Andris Reinman

4% - 140.00 EUR - -

SEIKATSU OÜ

10921741

0% - 14.00 EUR - -

Slava Käsi OÜ

12217265

0% - 13.00 EUR - -

Raul Tammesalu

0% - 12.00 EUR - -

Quack Ventures OÜ

14510236

0% - 12.00 EUR - -

Proud Invest OÜ

14747760

0% - 10.00 EUR - -

Related companies

Owner Representative Beneficial owner

Outfunnel OÜ

14469427

16% - 513.00 EUR - -

Financial info

2019
28.08.2020
2020
18.05.2021
2021
17.06.2022
2022
26.05.2023
2023
08.07.2024
2024
24.09.2025
Total Revenue 62 313 € 168 603 € 400 200 € 545 554 € 621 456 € 661 514 €
Net profit (loss) for the period -355 245 € -491 309 € -508 776 € -728 955 € 950 758 € 40 682 €
Profit Margin -570% -291% -127% -134% 153% 6%
Current Assets 155 928 € 309 911 € 884 374 € 187 650 € 105 374 € 97 435 €
Fixed Assets 14 791 € 25 557 € 19 594 € 15 635 € 1 066 375 € 1 154 675 €
Total Assets 170 719 € 335 468 € 903 968 € 203 285 € 1 171 749 € 1 252 110 €
Current Liabilities 58 004 € 93 678 € 110 309 € 97 470 € 73 993 € 72 352 €
Non Current Liabilities - 620 384 € 1 044 205 € 1 085 412 € 1 126 620 € 1 167 940 €
Total Liabilities - 714 062 € 1 154 514 € 1 182 882 € 1 200 613 € 1 240 292 €
Share Capital - - - - - -
Equity 112 715 € -378 594 € -250 546 € -979 597 € -28 864 € 11 818 €
Employees 6 8 7 11 7 7

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2025 Q4 171 775 € 43 987 € 47 737 € 3
2025 Q3 179 862 € 43 509 € 47 237 € 3
2025 Q2 206 068 € 49 345 € 53 548 € 3
2025 Q1 210 532 € 41 245 € 44 511 € 4
2024 Q4 191 569 € 43 502 € 46 306 € 4
2024 Q3 190 275 € 42 301 € 44 710 € 4
2024 Q2 170 634 € 41 770 € 44 322 € 4
2024 Q1 181 202 € 34 032 € 35 901 € 5
2023 Q4 185 645 € 29 996 € 31 925 € 4
2023 Q3 175 313 € 35 863 € 38 145 € 4
2023 Q2 167 960 € 45 489 € 48 361 € 4
2023 Q1 177 588 € 52 221 € 55 783 € 4
2022 Q4 164 722 € 72 946 € 77 929 € 5
2022 Q3 187 140 € 76 739 € 82 280 € 5
2022 Q2 158 945 € 68 050 € 72 932 € 10
2022 Q1 183 029 € 59 131 € 62 560 € 10