Finances and assets
The average monthly turnover is 7,870 EUR, the profit margin is 0%, the forecast turnover in 2025 will decrease by 250.8%. As of the property...
Turnover prognosis 2025
94,444 €
Increased
by 250.8 % compared to the last year
Average monthly turnover
7,870 €
Available credit: 1,700 €
Settlement dates: 30
Total profit 2025
28,028 €
Retained profits:
12,711 € (45 %)
Net profit:
15,317 € (55 %)
Estimated
balance 2025
52,426 €
Estimated profit
margin 2025
0 %
100 %
16%
1 € assets to cover short-term liabilities
1.71 €
REINIX PUIT OÜ
Credit score history and prognosisRecommended credit limit
200 €
Recommended payment term
30 days
Business risk classes:
Trustworthy Neutral
Borderline
Problematic
Risky
REINIX PUIT OÜ
Reports and assets-liabilities overview 25.04.2025?
Annual reports:
MET
Annual reports: Last submitted: 2023
Tax declarations:No unsubmitted tax declarations
Assets to cover liabilities (short-term)
Assets: 45 891 €1 EURO of assets to cover short-term debt obligations: 1,28 €
Liabilities: 35 895 €Net Working capital: 9 996 €
REINIX PUIT OÜ
Claims history?
1 month
6 months
Year
5 years
MAX
1 month
6 months
Year
5 years
MAX
Debt claims as of 25.04.2025