ETENRU
RegisteredTartu County
Registry code
10385751
VAT number
EE100042104
Address
Tartu maakond, Tartu linn, Tartu linn, Tehnika tn 12, 51013
Registered
27.02.1998 · 28 yrs
Activity
Construction of utility projects for fluids 42211
Additional activities
Retail sale via mail order houses or via Internet, Other specialised construction activities n.e.c., Rental and leasing of trucks, Site preparation
Capital
63 912 €
Email
a•••@p•••.eeLog in to see
Business Register 06.10.2026
Sales revenue3,5 m €+37%2025 annual report
Profit520 k €2025 annual report
Employees21Tax Board 2026 Q2
Average gross salary2 036 €estimate, Tax Board 2026 Q2
Labour taxes per quarter65 413 €Tax Board 2026 Q2
Cash165 k €Cash 31.12.2025, annual report
Tax debt0 €Tax Board debtor list 06.10.2026
Revenue 12 months3,4 m €+18%Tax Board, last 4 quarters
State taxes 12 months629 k €Tax Board, last 4 quarters
Tax debt since 26.09.2026 · ✓ no debt
Details ↓
Turnover by quarter · latest 716 tuh €
705 k752 k614 k844 k1,1 M1,1 M577 k716 k
III 24IV 24I 25II 25III 25IV 25I 26II 26
Chart ↓
Firmo rating
AAA
Excellent, very low risk
88 / 100 points
CBBBBBBAAAAAA
View credit reportReport a debtHow the rating is calculatedCalculated 06.10.2026 · open data
Quick check
  • No tax debt
  • No enforcement proceedings (12 months)
  • No payment orders (12 months)
  • No bankruptcy or liquidation
  • No sanctions
  • Report filed (2025)
  • VAT registered
Stability
RatingAA → AAA
In tax debt0 days since 26.09.2026
Revenue 12 months▲ 18% vs a year earlier
Notification when something changes
Add the rating badge to your website

The badge code is available to this company's verified account: verification uses a code we send to the company email in the Business Register. The badge updates itself and cannot be bought. Read more

Data

Board and owners

2 persons
Number of active companies, tax debt and bankruptcy. Facts, not an assessment.
Board 2
Ranel Käsi4 companiesno tax debtPersonal ID ↗16.12.2015
Tamar Tenn3 companiesno tax debtPersonal ID ↗04.02.2013
Shareholders 1
Ahti Käsi100,0% 63 912 €01.09.2023
Beneficial owners 1
Ahti Käsidirect holding24.10.2018

Business Register open data

Quarterly taxes and revenue

2026 Q2
State taxes / revenue19,5%
Labour taxes / revenue9,1%
Revenue per employee per month11 358 €
Gross salary (estimate)2 036 €
Net salary (estimate)1 685 €

2026 Q2. Wage is estimated from employment taxes.

Build report

QuarterRevenueChange y/yLabour taxesState taxesEmployees
2026 Q2715 530 €▼ 15%65 413 €139 286 €21
2026 Q1576 758 €▼ 6%64 725 €198 918 €22
2025 Q41 104 047 €▲ 47%65 405 €198 062 €22
2025 Q31 050 277 €▲ 49%54 213 €93 117 €22
2025 Q2843 725 €▲ 42%46 980 €98 375 €19
2025 Q1613 780 €▼ 7%56 056 €159 872 €19
2024 Q4752 081 €▲ 30%52 602 €118 965 €22
2024 Q3705 321 €▼ 4%50 488 €112 483 €23
2024 Q2596 240 €▼ 10%51 460 €70 791 €21
2024 Q1658 096 €▲ 29%53 315 €180 905 €22
2023 Q4577 442 €▼ 11%54 646 €79 196 €22
2023 Q3730 938 €▼ 13%55 630 €99 836 €23
Show full history (18 quarters)
2023 Q2662 297 €▲ 66%46 245 €80 140 €23
2023 Q1510 294 €▼ 2%40 569 €83 414 €24
2022 Q4652 209 €35 219 €55 100 €25
2022 Q3842 843 €29 136 €93 284 €26
2022 Q2399 432 €36 083 €34 236 €28
2022 Q1520 344 €50 038 €129 820 €28

Tax and Customs Board, published on the 10th of the month following the quarter. State taxes include employment taxes. CC BY-SA 3.0

Annual reports

5 yr
Build report

20252024202320222021
Sales revenue3,5 m €▲ 37%2,6 m €▲ 9%2,4 m €▲ 8%2,2 m €▼ 19%2,7 m €
Profit520 k €▲ into profit-92 817 €▼ 115%-43 071 €▲ 74%-168 k €▼ into loss69 757 €
Profit margin14,8%-3,6%-1,8%-7,7%2,6%
Retained earnings906 k €▼ 19%1,1 m €▼ 18%1,4 m €▼ 17%1,6 m €▲ 4%1,6 m €
Cash165 k €▲ 25×6 533 €▲ 176%2 367 €▲ 21%1 950 €▼ 99%175 k €
Current assets599 k €▲ 315%144 k €▼ 67%440 k €▲ 53%288 k €▼ 50%578 k €
Fixed assets1,7 m €▲ 3%1,6 m €▼ 10%1,8 m €▼ 8%2,0 m €▼ 1%2,0 m €
Assets2,3 m €▲ 28%1,8 m €▼ 21%2,3 m €0%2,3 m €▼ 12%2,6 m €
Current liabilities615 k €▲ 14%541 k €▼ 8%590 k €▲ 36%435 k €▼ 19%538 k €
Long-term liabilities180 k €▲ 19%151 k €▼ 49%293 k €▼ 5%308 k €▼ 12%348 k €
Total liabilities795 k €▲ 15%692 k €▼ 22%883 k €▲ 19%743 k €▼ 16%886 k €
Equity1,5 m €▲ 36%1,1 m €▼ 21%1,4 m €▼ 10%1,5 m €▼ 10%1,7 m €
Labour costs-558 k €▼ 5%-530 k €▲ 1%-538 k €▼ 47%-365 k €▲ 41%-618 k €
Employees20▼ 9%22▼ 4%23▼ 18%28▲ 4%27
Filed28.05.202604.07.202506.06.202412.06.202314.06.2022
ReportPDF ↓PDF ↓PDF ↓PDF ↓PDF ↓

▲ growth, ▼ decline compared to the previous year (growth in liabilities is red). Business Register, annual reports. CC BY 4.0

Revenue by activity

2025
ActivityEMTAKSales revenueOsa
Construction of utility projects for fluids main activity422113 381 472 €96%
Retail sale via mail order houses or via Internet47911122 986 €3%
Other specialised construction activities n.e.c.439995 863 €0%
Site preparation431294 910 €0%
Rental and leasing of trucks771214 400 €0%

2025 annual report, RIK open data

Real estate

e-kinnistusraamat

Loading properties…

Source: e-kinnistusraamat (Centre of Registers and Information Systems), basic data

Debts and court cases

clean
No tax debt · Tax Board 06.10.2026

Tax Board debtor list (daily), Official Announcements, State Gazette. The Tax Board publishes only today's list; earlier history is collected by Firmo.

Enforcement, payment orders and notices

clean

Official Announcements contain no enforcement, payment order or tax authority notices about the company.

Official Announcements (CC BY-SA 4.0). Enforcement proceedings, payment orders or tax decisions are published there only if they cannot be delivered to the company otherwise. The enforcement register is not public, so the absence of a notice does not mean there are no claims.

State: transactions, tenders, grants

705 tuh € makseid · 5 tenders

Transactions with state institutions

2026220 k €
2025188 k €
202495 527 €
2023202 k €

Largest payers

Luunja Vallavalitsus395 035 €
Kambja Vallavalitsus182 120 €
Tartu Linnavalitsus127 028 €
Elva Vallavalitsus600 €
All payments by month
MonthPayerTypeFieldAmount
08.2026Luunja VallavalitsusFixed assetsWater supply1 250 €
07.2026Luunja VallavalitsusFixed assetsWater supply1 488 €
06.2026Luunja VallavalitsusFixed assetsWater supply29 618 €
06.2026Kambja VallavalitsusOperating costsRoad transport9 796 €
05.2026Luunja VallavalitsusFixed assetsWater supply56 810 €
04.2026Luunja VallavalitsusFixed assetsWater supply46 450 €
02.2026Luunja VallavalitsusFixed assetsWater supply32 153 €
01.2026Luunja VallavalitsusFixed assetsWater supply42 317 €
12.2025Luunja VallavalitsusFixed assetsWater supply65 443 €
11.2025Luunja VallavalitsusFixed assetsWater supply32 629 €
10.2025Luunja VallavalitsusFixed assetsWater supply70 380 €
10.2025Tartu LinnavalitsusOperating costsRoad transport372 €
09.2025Luunja VallavalitsusFixed assetsWater supply16 497 €
09.2025Tartu LinnavalitsusOperating costsStreet lighting2 435 €
08.2024Tartu LinnavalitsusFixed assetsGeneral economic development projects3 843 €
07.2024Tartu LinnavalitsusFixed assetsGeneral economic development projects11 719 €
05.2024Tartu LinnavalitsusFixed assetsGeneral economic development projects79 365 €
01.2024Elva VallavalitsusOperating costsPre-school education600 €
08.2023Tartu LinnavalitsusOperating costsRoad transport6 656 €
08.2023Kambja VallavalitsusFixed assetsRoad transport3 033 €
06.2023Tartu LinnavalitsusFixed assetsRoad transport19 239 €
06.2023Tartu LinnavalitsusOperating costsRoad transport3 398 €
05.2023Kambja VallavalitsusFixed assetsRoad transport29 041 €
04.2023Kambja VallavalitsusFixed assetsRoad transport140 250 €

Riigi Tugiteenuste Keskus, Saldo makseandmikud

Public procurement contracts

DateContracting authorityTenderAmount
06.08.2026Tartu LinnavalitsusSõpruse puiestee lahkvoolse sadeveesüsteemi rajamine1 297 008 €
02.07.2025Luunja VallavalitsusEHITUSTÖÖVÕTULEPING II948 964 €
11.04.2025aktsiaselts Tartu VeevärkSadamaraudtee piirkonna sademeveetorustiku rajamine1 394 661 €
02.04.2025Aktsiaselts Viljandi VeevärkContract for work146 166 €
27.02.2025aktsiaselts PÄRNU VESIEhituse töövõtuleping11 700 €

Public Procurement Register

Holdings in other companies

0

No holdings in other companies

Companies linked via the board

3

Top 20 in activity: Construction of utility projects for fluids

20

Revenue from the latest annual report, otherwise Tax Board revenue for 4 quarters. All companies in this activity

Tegevusload, pandid

6 records

Activity licences (MTR and environmental)

FieldLicence numberValid from
ProjekteerimineEEP00215125.04.2011
ElektritöödEL10385751-000117.01.2003
OmanikujärelevalveEO10385751-000109.01.2003
EhitamineEH10385751-000108.01.2003

Commercial pledges

NumberPandipidajaAmountSince
2Aktsiaselts DNB Pank90 000 €08.04.2013
1Aktsiaselts DNB Pank105 000 €08.03.2004

History and notices

23
DateTypeContent
03.12.2025Order to remedy deficiencies to correct non-entry data
21.12.2023EntryAmendment entry
21.12.2023Order to remedy deficienciesAmendment entry
01.09.2023EntryAmendment entry
26.07.2021Majandusaasta aruande puuduste kõrvaldamise määrus
07.06.2018EntryAmendment entry
13.02.2018EntryAmendment entry
17.01.2018EntryAmendment entry
03.12.2017EntryAmendment entry
10.05.2017EntryAmendment entry
08.11.2016EntryMuutmiskanne ÄS § 525 lg 2 alusel
16.12.2015EntryAmendment entry
25.04.2014EntryAmendment entry
08.04.2013EntryKommertspandi muutmiskanne
08.04.2013EntryKommertspandi avamiskanne
04.02.2013EntryAmendment entry
17.01.2013EntryAmendment entry
02.12.2011EntryAmendment entry
29.12.2008EntryAmendment entry
03.12.2008Tegevusalade kustutamine registrikaardiltAmendment entry
22.03.2005Jaatav kandeotsusKommertspandi muutmiskanne
23.11.2004Jaatav kandeotsusKommertspandi muutmiskanne
05.03.2004Jaatav kandeotsusKommertspandi avamiskanne