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DEMOLIT OÜ

DEMOLIT OÜ

General Info

Demolit OÜ
14828843
17.10.2019
6 years 5 months
01.01 - 31.12
2 500 €

Quick overview

  • CREDITWORTHINESS
    Prepayment advisable *
    Payment disorder, tax debt, declarations not submitted, claims in public announcements, missing report
    • * Limit for turnover credit without warranties per creditor
    • Good
    • Satisfactory
    • Poor

Activities

Construction, building materials production
43111 Demolition

Contact

Viljakuivati, 72614, Paide, Järva maakond, Eesti Vabariik

Business events

10.03.2026
DEMOLIT OÜ võlg suurenes
25.09.2025
DEMOLIT OÜ võlg suurenes
22.08.2025
DEMOLIT OÜ maksuvõlg suurenes
24.07.2025
DEMOLIT OÜ võlg suurenes
17.07.2025
DEMOLIT OÜ maksuvõlg suurenes

Business Relations

Business network

  • Members of the management board
  • Member of supervisory board
  • Owners
  • Infopank beneficiaries
  • Beneficiaries of business register
  • Ownership
  • Other persons outside the registry card
  • Key employees
  • Historical relations
  • Show second stage relations

The graph shows owners with at least 1% stake. All owners can be seen below in the owners list.

  • Members of the management board
  • Member of supervisory board
  • Owners
  • Infopank beneficiaries
  • Beneficiaries of business register
  • Ownership
  • Other persons outside the registry card
  • Key employees
  • Historical relations
  • Current relation

Members of the management board

Every member of the Management Board may represent the private limited company in concluding all transactions.

NameRelation startRelation with companyProfessionField of responsibility
Aavo Ametmaa
24.04.2025Management board member--
Show history

Owners

NameRelation startPercentageOwnershipOwnership type
Tarmo Oks
17.04.2025
100%
2 500 €ainuomand
Show history

Infopank beneficiaries

Infopank beneficiaries have been found through official business relationships. We show individuals who directly or indirectly control 10% or more of the business.

NamePercentageRelation with company
Tarmo Oks
100%
Owner

Beneficiaries of business register

Business Register Beneficiary is a person submitted to the business register who owns at least 25% plus one part or share in the company directly or through other entities.

NameVerification method
Aavo Ametmaa

Other persons outside the registry card

NameRelation startRelation with companyProfession
Madlin Eiskop
17.10.2019Founder-

Group

Business Analytics

Quarterly financial results

Quarterly data shows all payees. Annual data presents the number of full-time employees of fixed-term contracts. The quarterly turnover is for the parent company and does not reflect the result of the consolidation group. The quarterly turnover is based on declarations of VAT submitted in the quarter and is thus offset by one month. Source: Tax and Customs Board

Quarterly turnover

2024
537 459 €224 695 €79 723 €425 440 €
2025
430 982 €484 220 €7 680 €-
2026
----

Number of employees

2024
20131910
2025
17555
2026
5---

Efficiency indicators

  • Quarterly turnover per employee
  • Average gross salary
26 87317 2844 19642 54425 35296 8441 536----- 
621 61570361164------- 

Financial report

  • Revenue
  • Profit (loss)
  • Profit before income tax
  • Assets
  • Total equity
  • Workers
  • Operating margin (%)
  • Employee expense
  • Current assets
  • Non-current assets
  • Total liabilities
  • Average monthly salary
  • Income per employee

Revenue

Analytical information

2023 2022
Workers14
40%
10
400%
Operating margin2,25%
889.2%
-0,29%
-101.7%
Profitability-0,10%
-106.2%
1,61%
-90.3%
Return on assets-0,08%
-102.4%
3,33%
-88.5%
Return on equity-1,27%
-106.3%
20,14%
-73.9%
Income per employee109 646
-28.5%
153 419
-32.6%
Average monthly salary per employee1 606
3.8%
1 548
-21.4%
Added value359 526
31.6%
273 182
97.2%
Added value per employee25 680
-6%
27 318
-60.6%
Debt multiplier0.94
12.3%
0.83
34%
Quick ratio0.92
3.2%
0.89
-13.1%
Total assets turnover1.15
-62.4%
3.07-
Non-current assets turnover1.98
-67.2%
6.03-

Statement of financial position

Assets

Current assets2023 2022
Cash and cash equivalents24 663
455%
4 444
-80.5%
Receivables and prepayments448 608
33.2%
336 885
167.1%
Inventories291 320
100%
0
-100%
Total current assets764 591
124%
341 329
129.1%
Non-current assets2023 2022
Receivables and prepayments369 461
245.4%
106 961
0%
Property, plant and equipment784 600
169.2%
291 503
8690.8%
Total non-current assets1 154 061
189.6%
398 464
261.3%
Total assets1 918 652
159.3%
739 793
185.4%

Liabilities and equity

Current liabilities2023 2022
Loan liablities158 607
357%
34 709
506.4%
Payables and prepayments675 621
93.2%
349 684
149.8%
Total current liabilities834 228
117%
384 393
163.8%
Non-current liabilities2023 2022
Loan liablities743 375
219.1%
232 985
1380.2%
Payables and prepayments220 170---
Total non-current liabilities963 545
313.6%
232 985
1380.2%
Total liabilities1 797 773
191.2%
617 378
282.3%
Equity2023 2022
Issued capital2 500
0%
2 500
0%
Retained earnings (loss)119 915
25.9%
95 259
378.6%
Annual period profit (loss)−1 536
-106.2%
24 656
-67.3%
Total equity120 879
-1.3%
122 415
25.2%
Total liabilities and equity1 918 652
159.3%
739 793
185.4%

Income statement

2023 2022
Revenue1 535 042
0.1%
1 534 190
237%
Other income79 204
25.1%
63 320
100%
Raw materials and consumables used−906 143
-29.2%
−1 280 291
325.4%
Other operating expense−128 194
118.3%
−58 717
286%
Employee expense−361 062
45.3%
−248 526
293.2%
Depreciation and impairment loss (reversal)−126 469
1468.5%
−8 063
2517.9%
Other expense−57 851
820.2%
−6 287
5228%
Profit (loss)34 527
889.4%
−4 374
-105.8%
Other financial income and expense−3 866
-112.9%
29 987
100%
Interest expenses−32 217
3266.5%
−957
963.3%
Profit (loss) before tax−1 536
-106.2%
24 656
-67.3%
Annual period profit (loss)−1 536
-106.2%
24 656
-67.3%

Annual reports

YearTime of submissionLink for the file
202313.11.2024View | Download
202207.07.2023View | Download
202125.07.2022View | Download
202020.07.2021View | Download

Company credit report

The credit report includes the following information and is printable:

  • Credit rating and recommended credit limit
  • Debt information: tax arrears, claims in the Infopank debt register, payment orders, enforcement notices, asset seizures
  • Company general information, contact details
  • Responsible persons (management board)
  • Other related persons (owners, supervisory board members, founder, auditor, key employees)
  • Balance sheet, income statement, and cash flow statement from the latest available annual report
  • Quarterly financial results: revenue, number of employees, taxes paid
  • Related news and inclusion in Äripäev rankings

The report is generated in real-time based on the latest data. Please be patient as creating the report in real-time may take a few seconds.

Tax Report

  • TAX ARREARS (15.04.2026)
    505 702 €
  • PAID TAXES
    Missing
  • VAT TAX RETURN DECLARATION
    Not submitted
  • INCOME AND SOCIAL TAX DECLARATION (TSD)
    Not submitted
  • INTRA-EU SALES REPORT (VD)
    Submitted

Tax debts

  • 1 year
  • 5 years

1 year

Type of claimTax debtincl Staggeredincl Disputed
Määramata589.10--
Corporation tax71 633.25--
Special Income Tax661.25--
Social tax141 580.81--
Savings pension payment1 417.71--
Unemployment insurance premium7 328.96--
VAT276 013.53--
Heavy duty tax544.80--
Interest5 933--
Total505 702.4100

Debt Registry

  • TOTAL DEBTS
    • Total debts in B2B
      39 622.63 €
    • Claims in Public Announcements
      2 576.36 €
  • TOTAL NUMBER OF DEBTS
    • Active debts in B2B
      4
    • Finished debts in B2B
      5
    • Amount of claims in Public Announcements
      2

Active debts

ClaimantRegistry codeDate of claimEnd date of claimFieldDebtStatus
Creditreform Eesti OÜ1088782014.08.2024 Other36 397 €Published
Creditreform Eesti OÜ1088782014.02.2025 Other1 395 €Published
Creditreform Eesti OÜ1088782014.04.2025 Other865 €Published
VRK Transporditeenused OÜ1118913025.07.2024 Other965.63 €Published

Expired debts

ClaimantRegistry codeDate of claimEnd date of claimFieldDebtStatus
Ramirent Baltic AS1019934929.04.202402.07.2024Other9 085 €Resolved after publication
Aktsiaselts EEMELI1017667415.07.202415.11.2024Other150.44 €Resolved after publication
Aktsiaselts EEMELI1017667426.02.202529.04.2025Other123.57 €Resolved after publication
Creditreform Eesti OÜ1088782027.05.202410.06.2025Other33 928 €Resolved after publication
Creditreform Eesti OÜ1088782031.03.202405.11.2025Other2 279 €Resolved after publication

Court payment orders

No court payment orders within then last year

Execution proceedings

Data providerDateClaimantClaim with expensesDeadline
Kohtutäitur Heimo Vilpuu28.04.2025EESTI ESM OÜ (10176697)2 472.36 €09.06.2025
Kohtutäitur Enno Kermik02.12.2025Politsei- ja Piirivalveamet (70008747)104 €22.12.2025

Seizures of property

No seized properties within the last year

Other info

Real estate

The company has no real estate

Procurements

Contracts in Public Procurement

Statistics

Note: The volumes of the framework agreements are indicative. In some contracts, there are multiple contractors, and the revenue earned from the contract is divided among them. Additionally, in the case of a framework procurement, the contracting authority may not order services for the full contract volume.

YearFramework agreementsSumProcurement contractsSum
202400110 900
20230010202 307
20220017160 087
202100340 788

Contracts

02.01.2024
Simuna alevikus Rakke mnt 3 hoonete lammutamine
15.11.2023
Lammutustööd
15.11.2023
Lammutustööd
17.10.2023
N-korpuse lammutustööd
16.10.2023
Hoone Pikk tn 18, Pärnu lammutustööd
23.08.2023
Hoonete lammutamine Mulgi vallas
21.08.2023
Lammutustööde teostamine Rapla vallas
21.08.2023
Lammutustööde teostamine Rapla vallas
08.08.2023
Risti endise rahvamaja lammutamine
14.06.2023
Vajangu külas Tamsalu 8 asuva hoone lammutamine

Organized Public Procurements

Note: The volumes of the framework agreements are indicative. In some contracts, there are multiple contractors, and the revenue earned from the contract is divided among them. Additionally, in the case of a framework procurement, the contracting authority may not order services for the full contract volume.

No procurements related to the company/organization found

Transactions with government agencies

Overview

YearNumber of transactionsTransaction value% of revenue
20249234 982 €
2023875 436 €4,91%
202222170 405 €11,11%
2021782 930 €18,22%

Transactions

DateCounterpartyAmountClassification
29.11.2024RIIGI KINNISVARA AS6 072 €OPERATING EXPENSES
Other general services
25.11.2024RIIGI KINNISVARA AS1 159 €OPERATING EXPENSES
Other general services
30.10.2024RAPLA VALLAVALITSUS4 709 €OPERATING EXPENSES
Other housing and communal economy activities
27.05.2024IDA-VIRU KESKHAIGLA SA15 427 €FIXED ASSETS
General hospital services
30.04.2024IDA-VIRU KESKHAIGLA SA18 855 €FIXED ASSETS
General hospital services
30.01.2024RIIGI KINNISVARA AS12 828 €FIXED ASSETS
Other general services
26.01.2024PÕLLUMAJANDUSE REGISTRITE JA INFORMATSIOONI AMET115 800 €OTHER SUBSIDIES
Agriculture
22.01.2024RIIGI KINNISVARA AS20 047 €FIXED ASSETS
Other general services
03.01.2024RIIGI KINNISVARA AS40 085 €FIXED ASSETS
Other general services
01.12.2023RAPLA VALLAVALITSUS12 789 €OPERATING EXPENSES
Other housing and communal economy activities

Court decisions

28.06.2023
2-23-7262/3 - Tartu Maakohus Tartu kohtumaja
22.11.2023
2-23-919/20 - Tallinna ringkonnakohtu tsiviilkolleegium
28.11.2024
2-24-16597/4 - Harju Maakohus Tallinna kohtumaja
22.01.2025
2-24-15167/8 - Pärnu Maakohus Rapla kohtumaja
04.03.2025
2-25-1400/9 - Harju Maakohus Tallinna kohtumaja
01.04.2025
2-24-17922/4 - Pärnu Maakohus Pärnu kohtumaja Rüütli tänaval
21.10.2025
2-24-129868/19 - Pärnu Maakohus Haapsalu kohtumaja Kärdlas
25.11.2025
2-25-15615/3 - Harju Maakohus Tallinna kohtumaja

Consumer Disputes Committee information

  • COMPANY ON THE BLACKLIST
    No
  • DECISIONS OF THE CONSUMER DISPUTES COMMITTEE
    • Decisions in favor of the company
      0
    • Decisions against the company
      0

Official announcements

02.12.2025
Täitmisteade
03.09.2025
Menetlusdokumendi tsiviilkohtumenetluses kättetoimetamise teade
28.04.2025
Täitmisteade
24.03.2025
Täitmisteade
29.01.2025
Täitmisteade
24.01.2025
Täitmisteade
02.12.2024
Täitmisteade
19.08.2024
Täitmisteade
03.06.2024
Täitmisteade

Estonian Domains

NameStatusStart DateCurrently Active
demolit.eeregistered04.11.2019Yes
drock.eeregistered06.06.2023Yes

News

The company has not appeared in Äripäev news

Belonging to Äripäev TOP-rankings

Category202620252024202320222021
Järvamaa TOP---85-86--