MRPEasy OÜRegistered

12617332Private limited company (OÜ)Founded 2014
Qualified audit opinion. 2023 report: Qualified.

Key figures

6 841 955 €+25,9%
Revenue 2025
+37,5%
Average annual growth 2019–2025
02 m4 m6 m8 m2019202020212022202320242025

Ratios

2025
Balance sheet structure
Current assetsNon-current assetsLiabilitiesEquity
01 m2 m3 m2019202020212022202320242025
Quarterly figures
QuarterRevenueNumber of employeesLabour taxes
Q2 20262 500 381 €34262 568 €
Q1 20262 288 326 €35271 930 €
Q4 20252 344 196 €35258 052 €
Q3 20252 159 883 €34253 159 €
Q2 20252 169 112 €32242 084 €
Q1 20252 089 728 €30248 394 €

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

Dividends

calculated
2025

Distributed as dividends 1 200 000 €.

Low confidence: the amount exceeds retained earnings from previous years, from which dividends can be paid by law — probably a merger, an opening balance adjustment or a reporting error.

History
2025 ~1 200 000 €
20241 756 000 €
2023708 366 €
2022992 778 €
2021855 515 €
2020165 000 €

Previous year's retained earnings + previous year's profit − current retained earnings.

Summary of financial statements2019–2025
2019202020212022202320242025
Balance sheet — assets
Total current assets355 116908 9901 278 9651 553 2572 120 4931 939 9932 824 884
Total non-current assets39 58531 70035 94528 05628 053133 428113 697
Total assets394 701940 6901 314 9101 581 3132 148 5462 073 4212 938 581
Balance sheet — liabilities and equity
Current liabilities62 71182 397175 387449 138382 152984 7811 126 803
Non-current liabilities———————
Total liabilities62 71182 397175 387449 138382 152984 7811 126 803
Share capital27772777277710 00010 00010 00010 000
Retained earnings of previous periods31 621164 2131136 745413 809394−121 360
Profit for the year297 592691 3031 136 745985 4301 342 5851 078 2461 923 138
Total equity331 990858 2931 139 5231 132 1751 766 3941 088 6401 811 778
Income statement
Sales revenue1 011 4531 592 2562 504 9193 621 6824 698 9185 432 6116 841 955
Operating profit322 409771 8701 317 7321 233 7401 528 1761 407 7292 328 729
EBITDA331 715784 3441 332 1191 250 9771 539 5741 417 5992 354 112
Profit before income tax316 545729 1811 342 4551 203 4381 498 8491 438 3072 261 600
Profit for the reporting year297 592691 3031 136 745985 4301 342 5851 078 2461 923 138
Labour costs444 085584 233918 1171 515 8661 838 7982 015 0852 310 849
Depreciation of non-current assets930612 47414 38717 23711 398987025 383
Other indicators
Employees7101523252730
Calculated dividend—165 000855 515992 778708 3661 756 0001 200 000

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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39,89%39,89%9,22%8%3%MRPEasy OÜKonstantin Klugman1Aleksandr Klugman3Mait Mikelsaar6Omanikukonto: Wise Gu…Capitex Invest OÜ
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MRPEasy OÜ — 2025 revenue 6 841 955 €, profit 1 923 138 €, 30 employees | entity.ee