ETENRU
RegisteredVõru County
Registry code
12997228
VAT number
EE101884170
Address
Võru maakond, Võru linn, Koreli tn 81, 65604
Registered
17.02.2016 · 10 yrs
Activity
Manufacture of soft drinks; production of mineral waters and other bottled waters 11071
Capital
2 500 €
Email
s•••@g•••.comLog in to see
Phone
+372 5•• ••••Log in to see
Website
www.sasi.ee
Business Register 08.10.2026
Ajatatud maksuvõlg 1 520 €
Sales revenue55 874 €-13%2025 annual report
Profit7 988 €2025 annual report
Employees2Tax Board 2026 Q2
Average gross salary207 €estimate, Tax Board 2026 Q2
Labour taxes per quarter632 €Tax Board 2026 Q2
Cash2 854 €Cash 31.12.2025, annual report
Tax debt1 520 €kogu võlg ajatatudTax Board 08.10.2026 · details below
Revenue 12 months67 745 €-4%Tax Board, last 4 quarters
State taxes 12 months9 399 €Tax Board, last 4 quarters
Tax debt since 26.09.2026 · days in debt: 13
26.0929.0902.1005.1008.10
Total tax debtsellest ajatatudmax 1 720 €
Details ↓
Turnover by quarter · latest 11 826 €
21 k24 k13 k13 k21 k14 k20 k12 k
III 24IV 24I 25II 25III 25IV 25I 26II 26
Chart ↓
Firmo rating
BBB
Rahuldav, keskmine risk
55 / 100 points
CBBBBBBAAAAAA
View credit reportReport a debtHow the rating is calculatedCalculated 08.10.2026 · open data
Quick check
  • Tax debt 1 520 €
  • No enforcement proceedings (12 months)
  • No payment orders (12 months)
  • No bankruptcy or liquidation
  • No sanctions
  • Report filed (2025)
  • VAT registered
Stability
RatingBB → B → BBB
In tax debt13 days since 26.09.2026
Revenue 12 months▼ 4% vs a year earlier
Email right away on tax debt, bankruptcy or board change
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Data

Board and owners

1 persons
Number of active companies, tax debt and bankruptcy. Facts, not an assessment.
Board 1
Toomas Trommel4 companies3 with tax debtPersonal ID ↗11.12.2020
Shareholders 1
Toomas Trommel100,0% 2 500 €02.09.2023
Beneficial owners 1
Toomas Trommel4 companies3 with tax debtdirect holding14.12.2020

Business Register open data

Quarterly taxes and revenue

2026 Q2
State taxes / revenue16,9%
Labour taxes / revenue5,3%
Revenue per employee per month1 971 €
Gross salary (estimate)207 €
Net salary (estimate)199 €

2026 Q2. Wage is estimated from employment taxes.

Build report

QuarterRevenueChange y/yLabour taxesState taxesEmployees
2026 Q211 826 €▼ 12%632 €2 003 €2
2026 Q120 382 €▲ 62%1 115 €2 975 €2
2025 Q414 270 €▼ 40%2 230 €2 994 €2
2025 Q321 267 €▲ 4%557 €1 427 €2
2025 Q213 401 €▼ 17%1 238 €2 476 €2
2025 Q112 598 €▼ 31%1 309 €2 875 €2
2024 Q423 771 €▲ 69%1 854 €2 703 €2
2024 Q320 546 €▲ 34%3 623 €7 272 €2
2024 Q216 187 €▲ 29%1 511 €2 571 €2
2024 Q118 290 €▲ 28%3 858 €5 389 €2
2023 Q414 090 €▼ 3%1 227 €1 748 €2
2023 Q315 303 €▲ 9%4 207 €5 174 €3
Show full history (18 quarters)
2023 Q212 561 €▲ 19%1 399 €1 757 €2
2023 Q114 325 €▲ 97%2 099 €3 515 €2
2022 Q414 487 €714 €2 028 €2
2022 Q313 997 €476 €2 147 €2
2022 Q210 568 €0 €1 282 €2
2022 Q17 254 €0 €1 052 €—

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 revenue55 874 €▼ 13%64 091 €▲ 20%53 256 €▲ 9%48 805 €▲ 174%17 838 €
Profit7 988 €▲ into profit-785 €▲ 95%-15 269 €▼ into loss15 280 €▲ 43×358 €
Profit margin14,3%-1,2%-28,7%31,3%2,0%
Retained earnings-812 €▼ 74×-11 €▼ into loss15 280 €▲ into profit-133 €▲ 73%-491 €
Cash2 854 €▲ 14%2 498 €———
Current assets26 851 €▲ 173%9 824 €▼ 29%13 793 €▼ 30%19 608 €▲ 237%5 817 €
Fixed assets30 144 €▲ 46×650 €▼ 76%2 747 €▲ 225%845 €▼ 19%1 040 €
Assets56 995 €▲ 444%10 474 €▼ 37%16 540 €▼ 19%20 453 €▲ 198%6 857 €
Current liabilities28 433 €▲ 225%8 748 €▼ 38%14 029 €▲ 425%2 673 €▼ 37%4 239 €
Long-term liabilities18 886 €————
Total liabilities47 319 €▲ 441%8 748 €▼ 38%14 029 €▲ 425%2 673 €▼ 37%4 239 €
Equity9 676 €▲ 461%1 726 €▼ 31%2 511 €▼ 86%17 780 €▲ 579%2 618 €
Labour costs-12 996 €▲ 10%-14 447 €▲ 56%-33 085 €▼ 746%-3 909 €▲ 46%-7 287 €
Employees10%1▼ 50%2▲ 100%10%1
Filed01.07.202630.06.202529.06.202429.06.202304.07.2022
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
Manufacture of soft drinks; production of mineral waters and other bottled waters main activity1107155 874 €100%

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

1 records
Tax debt 1 520 € · as of 08.10.2026
Ajatatud (tasumisgraafik)
1 520 € · kuni 30.06.2027
Ajatamata osa
0 €, kogu võlg on ajatatud
Debt arose
10.06.2026 · oldest unpaid claim, 120 days
Consecutively on the list
since 26.09.2026 (13 days) · Firmo data starts 26.09.2026

Tax debt change 26.09.2026 to 08.10.2026 · days in debt: 13

26.0929.0902.1005.1008.10
Total tax debtsellest ajatatudmax 1 720 €

Tax debt history over 5 years

StartEndDaysLargest debtStatus
26.09.2026ongoing131 720 €unpaid

Paid tax debt stays visible for 5 years. Only tax debt from the last 2 years affects the rating.

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

avalikke teateid pole

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

204 € makseid

Transactions with state institutions

2025204 €

Largest payers

Tallinna Pelgulinna Riigigümnaasium204 €
All payments by month
MonthPayerTypeFieldAmount
11.2025Tallinna Pelgulinna RiigigümnaasiumOperating costsBasic and general secondary education204 €

Riigi Tugiteenuste Keskus, Saldo makseandmikud

Holdings in other companies

0

No holdings in other companies

Companies linked via the board

3

Top 20 in activity: Manufacture of soft drinks; production of mineral waters and other bottled waters

20
#CompanyRevenue
1Värska Originaal AS17,7 m €
2Saku Läte Osaühing9,0 m €
3osaühing Saaremaa Vesi3,1 m €
4YOOK Production AS1,5 m €
5VERSKA MINERAALVEE osaühing1,5 m €
6Öun Drinks OÜ1,2 m €
7CANNERY OÜ842 k €
8Haage Joogid OÜ716 k €
9Öselwise OÜ552 k €
10Osaühing Hea vesi438 k €
11Osaühing KEISRI KÖÖK157 k €
12KARU KOMBUCHA OÜ71 245 €
13Realist Joogid OÜ65 537 €
14Säsi Pruulikoda OÜ55 874 €
15Ingel Drinks OÜ54 387 €
16TIIDU OÜ37 474 €
17Tagametsa Mahe OÜ31 179 €
18Tee Veel OÜ29 388 €
19Kasari Spring Water OÜ22 610 €
20Lahhentagge OÜ20 072 €

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

Domains

1 records

Domains

DomainSource
sasi.eeBusiness Register

History and notices

13
DateTypeContent
02.09.2023EntryAmendment entry
11.05.2021EntryMuutmiskanne ÄS § 525 lg 2 alusel
11.12.2020EntryAmendment entry
10.02.2020EntryAmendment entry
22.12.2019EntryAmendment entry
02.10.2018EntryAmendment entry
27.09.2018Order to remedy deficienciesAmendment entry
20.01.2018EntryAmendment entry
11.12.2017EntryAmendment entry
01.03.2017EntryAmendment entry
10.06.2016EntryAmendment entry
06.06.2016Order to remedy deficienciesAmendment entry
17.02.2016EntryFirst entry