Osaühing Sandla PuitRegistered

10690951Private limited company (OÜ)Founded 2000
Tax debt 10 657 € as of 30.09.2026 (incl. 10 657 € in a payment schedule).Source: Tax and Customs Board
Going concern uncertainty. In the 2023 report the auditor pointed to material uncertainty about the company's ability to continue as a going concern.
Qualified audit opinion. 2025 report: Disclaimer of opinion.

Key figures

7 002 168 €+9,9%
Revenue 2025
−1,3%
Average annual change 2019–2025
05 m10 m15 m2019202020212022202320242025

Ratios

2025
Balance sheet structure
Current assetsNon-current assetsLiabilitiesEquity
05 m10 m2019202020212022202320242025
Quarterly figures
QuarterRevenueNumber of employeesLabour taxes
Q2 20261 512 027 €51207 391 €
Q1 20261 104 797 €5462 997 €
Q4 20251 844 440 €55145 806 €
Q3 20251 699 514 €55173 888 €
Q2 20252 095 014 €58161 236 €
Q1 20251 473 274 €56181 226 €

Source: Tax Board open data — based on VAT returns, may not exactly match revenue in the annual report. Updated quarterly.

Summary of financial statements2019–2025
2019202020212022202320242025
Balance sheet — assets
Total current assets1 568 9672 070 2232 474 2281 896 3971 825 3122 175 4512 283 171
Total non-current assets3 014 5933 340 4735 603 0045 804 6046 322 8225 742 6474 990 232
Total assets4 583 5605 410 6968 077 2327 701 0018 148 1347 918 0987 273 403
Balance sheet — liabilities and equity
Current liabilities1 472 2931 610 5322 524 331855 726925 1581 665 0882 407 879
Non-current liabilities637 422582 4341 995 1012 939 1894 521 3744 988 6584 775 427
Total liabilities2 109 7152 192 9664 519 4323 794 9155 446 5326 653 7467 183 306
Share capital25 56425 56425 56425 56425 56425 56425 564
Retained earnings of previous periods2 144 5542 445 7253 189 6103 529 6803 877 9662 673 4821 236 232
Profit for the year301 171743 885340 070348 286−1 204 484−1 437 250−1 174 255
Reserves and other equity2556255625562556255625562556
Total equity2 473 8453 217 7303 557 8003 906 0862 701 6021 264 35290 097
Income statement
Sales revenue7 564 0478 691 14011 665 66110 228 1385 071 3356 369 6537 002 168
Operating profit415 728797 138264 726561 758−869 308−773 172−475 204
EBITDA683 7641 166 634743 5471 185 680−220 395−195 00268 719
Profit before income tax301 171743 885340 070348 286−1 204 484−1 437 250−1 174 255
Profit for the reporting year301 171743 885340 070348 286−1 204 484−1 437 250−1 174 255
Labour costs1 276 7781 352 1571 562 6981 551 0721 190 0481 596 2401 600 184
Depreciation of non-current assets268 036369 496478 821623 922648 913578 170543 923
Other indicators
Employees69667371536159
Calculated dividend—000000

A dash (—) means the report has not been filed or the line is not reported; 0 is a zero stated in the report.

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50%50%Osaühing Sandla Puit4Jaanus Põlluäär7Kalmer Põlluäär
CompanyPersonShareholderOther roleAdditional link
Annual reportsPDF, XBRL

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Source: e-Business Register (RIK). Files open/download directly from the official register.

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Osaühing Sandla Puit — 2025 revenue 7 002 168 €, profit −1 174 255 €, 59 employees | entity.ee