Hariduse Edendamise Sihtasutus

90014359

Company info

Hariduse Edendamise Sihtasutus

90014359

Avaleht - Tartu Erakoolhttps://tartuerakool.eeAvaleht - Tartu Erakool

Vastuvõtt TERA 1. klassidesse on avatud! INFO JA LIITUMINE TäheTERA 1.-6. klass LõunaTERA 1.-6. klass SädeTERA 1.-6. klass PeeduTERA 1.-9. klass Hariduse Edendamise SA ProTERA 7.-9. klass TERA gümnaasium 10.-12. klass Eel- ja lastekool 5-7-aastased Lasteaed TERAKE 2-6-aastased HuviTERA Huviringid ja koolitused Hariduse edendamine Juhtiv haridusuuenduste ellukutsuja. Eesmärk tagada alus-, üld- ja huvihariduse integreeritud toimimine […]

General info

Name

Hariduse Edendamise Sihtasutus

Registry code

90014359

VAT number

EE102853634

Type

SA - Foundation

Status

Registered

Foundation date

11.06.2018 (7)

Financial year

01.08-31.07

Activity

85312 - Activities of basic schools 56401 - 85102 - Activities of nurseries 8552 - Cultural education

Revenue

-

Profit

-

Profit margin

-

Gross salary

631 €

(estimate is approximate)

Equity

-

Employees

146

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-

Return on assets

-

Related parties

Owner Representative Beneficial owner

Kristo Seli

- - Exerciser of founder's rights, member of the supervisory board, board member

Andrus Leppik

- - Exerciser of founder's rights, member of the supervisory board, board member

Liina Kersna

- - Exerciser of founder's rights, member of the supervisory board, board member

Omanikukonto: JAAK VILO

- - Exerciser of founder's rights, member of the supervisory board, board member

Omanikukonto: INGAR DUBOLAZOV

- - Exerciser of founder's rights, member of the supervisory board, board member

Tanel Paabut

- - Exerciser of founder's rights, member of the supervisory board, board member

Madis Nõmmik

- - Exerciser of founder's rights, member of the supervisory board, board member

Urmo Uiboleht

- Board member Exerciser of founder's rights, member of the supervisory board, board member

Financial info

2019
06.01.2022
2020
31.01.2022
2022
31.01.2023
2023
07.12.2023
2024
17.02.2025
Total Revenue - - - - -
Net profit (loss) for the period - - - - -
Profit Margin - - - - -
Current Assets 376 108 € 591 140 € 923 314 € 856 800 € 1 393 518 €
Fixed Assets 979 767 € 894 103 € 914 351 € 878 647 € 631 447 €
Total Assets 1 355 875 € 1 485 243 € 1 837 665 € 1 735 447 € 2 024 965 €
Current Liabilities 1 400 878 € 1 576 573 € 2 118 443 € 1 922 809 € 2 119 594 €
Non Current Liabilities 225 169 € 33 541 € 46 740 € 34 212 € 21 399 €
Total Liabilities 1 626 047 € 1 610 114 € 2 165 183 € 1 957 021 € 2 140 993 €
Share Capital - - - - -
Equity - - - - -
Employees 113 129 139 149 146

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2025 Q4 10 777 € 496 811 € 536 104 € 205
2025 Q3 1 655 € 456 185 € 493 541 € 205
2025 Q2 2 504 € 449 411 € 486 648 € 174
2025 Q1 - 439 427 € 474 966 € 196
2024 Q4 - 423 059 € 455 182 € 193
2024 Q3 - 415 930 € 447 245 € 193
2024 Q2 - 423 198 € 455 574 € 160
2024 Q1 - 398 251 € 428 976 € 181
2023 Q4 - 398 154 € 428 597 € 174
2023 Q3 - 393 514 € 424 198 € 174
2023 Q2 - 378 151 € 408 124 € 164
2023 Q1 - 348 027 € 375 049 € 178
2022 Q4 - 321 384 € 347 379 € 175
2022 Q3 - 300 149 € 324 157 € 175
2022 Q2 - 293 310 € 317 505 € 143
2022 Q1 - 309 603 € 333 704 € 166