Modular Technologies OÜ

14655118

Company info

Modular Technologies OÜ

14655118

Homehttps://tuumplatform.comHome

Tuum’s cloud-native core banking platform frees financial institutions from legacy constraints—enabling faster launches, seamless modernization, and scalable growth.

General info

Name

Modular Technologies OÜ

Registry code

14655118

VAT number

EE102157796

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

05.02.2019 (7)

Financial year

01.01-31.12

Capital

24 373.52 €

Activity

62101 - Computer programming activities

Revenue

-

Profit

-

Profit margin

-

Gross salary

-

Equity

-

Employees

-

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-

Return on assets

-

Related parties

Owner Representative Beneficial owner

Myles Leo Bertrand

- Board member -

Ove Kreison

- Board member -

JKK Invest OÜ

14562670

3% - 849.22 EUR - -

Osaühing Wavefox

11163432

0% - 62.00 EUR - -

Icecold Solutions OÜ

14323758

2% - 592.50 EUR - -

Kersti Aruja

0% - 57.00 EUR - -

Krista Einola

0% - 47.00 EUR - -

Sander Laadi

0% - 47.00 EUR - -

Sven Meimer

0% - 47.00 EUR - -

Siim Valdaru

0% - 47.00 EUR - -

Sander Siniorg

0% - 47.00 EUR - -

Sander Aasaväli

0% - 47.00 EUR - -

Gregor Johannson

0% - 47.00 EUR - -

Andres Proode

0% - 47.00 EUR - -

Piia-Helin Kadajane

0% - 47.00 EUR - -

Siena Holding OÜ

12658992

0% - 41.68 EUR - -

Alina Desiatnikova

0% - 3.85 EUR - -

AS LHV Group

11098261

1% - 317.94 EUR - -

Rain Kivimägi

0% - 31.00 EUR - -

Tanel Suve

0% - 31.00 EUR - -

Jaan Angerpikk

0% - 31.00 EUR - -

Snowtoken OÜ

14628995

9% - 2 261.41 EUR - -

Pereshire OÜ

14627903

9% - 2 261.41 EUR - -

Basil Capital OÜ

14628713

8% - 1 908.36 EUR - -

Edgar Kivisild

0% - 15.00 EUR - -

Modular Technologies OÜ

14655118

5% - 1 126.58 EUR - -

Related companies

Owner Representative Beneficial owner

Modular Technologies OÜ

14655118

5% - 1 126.58 EUR - -

Financial info

2019
30.06.2020
2020
29.06.2021
2021
01.04.2022
2022
24.05.2023
2023
29.05.2024
2024
09.06.2025
Total Revenue 1 030 258 € 1 273 312 € - - - -
Net profit (loss) for the period 944 086 € -25 866 € - - - -
Profit Margin 92% -2% - - - -
Current Assets 602 588 € 4 335 677 € - - - -
Fixed Assets 740 432 € 1 327 634 € - - - -
Total Assets 1 343 020 € 5 663 311 € - - - -
Current Liabilities 345 104 € 691 257 € - - - -
Non Current Liabilities - - - - - -
Total Liabilities - - - - - -
Share Capital - - - - - -
Equity 997 916 € 4 972 054 € - - - -
Employees 0 - - - - -

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2025 Q4 2 774 223 € 736 331 € 791 858 € 81
2025 Q3 3 073 462 € 773 163 € 828 020 € 81
2025 Q2 3 303 871 € 766 311 € 824 571 € 78
2025 Q1 3 856 296 € 882 437 € 947 777 € 85
2024 Q4 3 223 603 € 708 491 € 740 179 € 85
2024 Q3 3 070 788 € 706 436 € 739 982 € 85
2024 Q2 3 154 808 € 748 880 € 780 444 € 80
2024 Q1 2 553 770 € 649 093 € 681 014 € 73
2023 Q4 3 346 413 € 586 520 € 587 661 € 70
2023 Q3 1 699 405 € 574 254 € 608 208 € 70
2023 Q2 1 609 111 € 737 347 € 780 187 € 70
2023 Q1 1 551 447 € 580 568 € 619 972 € 76
2022 Q4 1 236 618 € 565 418 € 602 556 € 78
2022 Q3 1 131 822 € 529 239 € 560 838 € 78
2022 Q2 996 470 € 395 293 € 421 999 € 74
2022 Q1 868 656 € 334 454 € 354 542 € 60