Remart Ehitus OÜRegistered

12269440Private limited company (OÜ)Founded 2012
Tax debt 13 045 € as of 30.09.2026 (incl. 10 756 € in a payment schedule).Source: Tax and Customs Board
Qualified audit opinion. 2025 report: Qualified.

Key figures

6 379 970 €+161,5%
Revenue 2025
+31,1%
Average annual growth 2019–2025
02 m4 m6 m8 m2019202020212022202320242025

Ratios

2025
Balance sheet structure
Current assetsNon-current assetsLiabilitiesEquity
0500 k1 m1,5 m2019202020212022202320242025
Quarterly figures
QuarterRevenueNumber of employeesLabour taxes
Q2 2026583 059 €1127 500 €
Q1 20261 384 418 €1246 190 €
Q4 20252 869 353 €1345 609 €
Q3 20251 537 641 €1246 514 €
Q2 20251 042 548 €1336 425 €
Q1 2025447 221 €1025 250 €

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 assets475 428589 104737 359762 508704 945728 1181 174 090
Total non-current assets74 13952 59649 20323 61590 756109 501234 029
Total assets549 567641 700786 562786 123795 701837 6191 408 119
Balance sheet — liabilities and equity
Current liabilities384 845402 076546 928617 671414 480479 9811 008 149
Non-current liabilities66 503115 100109 09485 963269 492235 008238 986
Total liabilities451 348517 176656 022703 634683 972714 9891 247 135
Share capital2500250050005000500050005000
Retained earnings of previous periods83 11195 469121 524125 04076 989106 229117 130
Profit for the year12 35826 3053516−48 05129 24010 90138 354
Reserves and other equity250250500500500500500
Total equity98 219124 524130 54082 489111 729122 630160 984
Income statement
Sales revenue1 257 5152 276 4662 478 4134 373 9854 482 6892 439 5886 379 970
Operating profit17 73734 0248024−41 87648 67634 77860 956
EBITDA36 26759 02036 429−14 78073 43160 04694 767
Profit before income tax12 35826 3053516−48 05129 24010 90138 354
Profit for the reporting year12 35826 3053516−48 05129 24010 90138 354
Labour costs199 057185 682279 730316 154210 945234 950412 069
Depreciation of non-current assets18 53024 99628 40527 09624 75525 26833 811
Other indicators
Employees141111139812
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%Remart Ehitus OÜ1Kristjan Türk3Reimo Tamm
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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Remart Ehitus OÜ — 2025 revenue 6 379 970 €, profit 38 354 €, 12 employees | entity.ee