Frendit Infra OÜ
- Registry code
- 14169961
- VAT number
- EE101935207
- Address
- Tartu maakond, Kambja vald, Tõrvandi alevik, Tamme tn 1, 61715
- Registered
- 15.12.2016 · 9 yrs
- Activity
- Construction of utility projects for fluids 42211
- Capital
- 2 500 €
- r•••@r•••.eeLog in to see
- Phone
- +372 •• ••••Log in to see
- No tax debt
- No enforcement proceedings (12 months)
- No payment orders (12 months)
- No bankruptcy or liquidation
- No sanctions
- Report filed (2025)
- VAT registered
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Board and owners
2 persons
| Board 2 | ||
|---|---|---|
| Oleg Vassiljev1 companyno tax debt | Personal ID ↗ | 28.12.2016 |
| Rait Allik24 companies1 with tax debt1 bankrupt | Personal ID ↗ | 15.12.2016 |
| Shareholders 1 | ||
| Raial Invest OÜ | 100,0% 2 500 € | 01.09.2023 |
| Beneficial owners 1 | ||
| Rait Allik24 companies1 with tax debt1 bankruptkaudne osalus | 30.10.2018 | |
Business Register open data
Quarterly taxes and revenue
2026 Q2
2026 Q2. Wage is estimated from employment taxes.
| Quarter | Revenue | Change y/y | Labour taxes | State taxes | Employees |
|---|---|---|---|---|---|
| 2026 Q2 | 528 392 € | ▲ 18% | 31 944 € | 78 552 € | 12 |
| 2026 Q1 | 276 041 € | ▼ 4% | 27 694 € | 39 553 € | 12 |
| 2025 Q4 | 322 057 € | ▼ 33% | 32 661 € | 50 519 € | 11 |
| 2025 Q3 | 521 674 € | ▲ 24% | 36 443 € | 66 739 € | 11 |
| 2025 Q2 | 449 294 € | ▲ 55% | 33 078 € | 55 461 € | 11 |
| 2025 Q1 | 287 829 € | ▼ 1% | 32 545 € | 33 635 € | 11 |
| 2024 Q4 | 478 066 € | ▼ 1% | 37 253 € | 66 672 € | 12 |
| 2024 Q3 | 419 578 € | ▼ 10% | 32 544 € | 44 672 € | 12 |
| 2024 Q2 | 290 102 € | ▼ 22% | 31 418 € | 44 572 € | 11 |
| 2024 Q1 | 291 559 € | ▲ 44% | 29 094 € | 54 863 € | 11 |
| 2023 Q4 | 485 037 € | ▲ 66% | 31 644 € | 67 663 € | 11 |
| 2023 Q3 | 467 379 € | ▲ 3% | 35 578 € | 58 470 € | 11 |
Show full history (18 quarters)
| 2023 Q2 | 373 851 € | ▲ 11% | 25 597 € | 46 046 € | 11 |
| 2023 Q1 | 202 147 € | ▼ 47% | 24 923 € | 33 293 € | 10 |
| 2022 Q4 | 292 994 € | 32 214 € | 57 636 € | 10 | |
| 2022 Q3 | 453 443 € | 32 560 € | 66 844 € | 11 | |
| 2022 Q2 | 335 999 € | 24 273 € | 40 139 € | 12 | |
| 2022 Q1 | 384 487 € | 32 212 € | 67 621 € | 11 |
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
| 2025 | 2024 | 2023 | 2022 | 2021 | |||||
|---|---|---|---|---|---|---|---|---|---|
| Sales revenue | 1,6 m € | ▲ 10% | 1,4 m € | ▼ 4% | 1,5 m € | ▲ 9% | 1,4 m € | ▼ 13% | 1,6 m € |
| Profit | 6 659 € | ▼ 78% | 30 520 € | ▼ 55% | 67 777 € | ▲ 120% | 30 846 € | ▼ 67% | 93 231 € |
| Profit margin | 0,4% | 2,1% | 4,5% | 2,2% | 5,9% | ||||
| Retained earnings | 334 k € | ▲ 10% | 304 k € | ▲ 29% | 236 k € | ▼ 15% | 279 k € | ▲ 16% | 240 k € |
| Cash | 72 526 € | ▼ 64% | 202 k € | ▼ 39% | 333 k € | ▲ 105% | 162 k € | ▲ 9% | 149 k € |
| Current assets | 346 k € | ▼ 13% | 398 k € | ▼ 20% | 496 k € | ▲ 23% | 404 k € | ▼ 1% | 408 k € |
| Fixed assets | 175 k € | ▼ 34% | 264 k € | ▲ 41% | 187 k € | ▲ 21% | 154 k € | ▼ 37% | 244 k € |
| Assets | 521 k € | ▼ 21% | 662 k € | ▼ 3% | 682 k € | ▲ 22% | 559 k € | ▼ 14% | 652 k € |
| Current liabilities | 152 k € | ▼ 44% | 272 k € | ▼ 23% | 354 k € | ▲ 65% | 215 k € | ▼ 15% | 253 k € |
| Long-term liabilities | 26 167 € | ▼ 50% | 52 747 € | ▲ 147% | 21 377 € | ▼ 31% | 31 185 € | ▼ 50% | 62 928 € |
| Total liabilities | 178 k € | ▼ 45% | 325 k € | ▼ 14% | 376 k € | ▲ 53% | 246 k € | ▼ 22% | 316 k € |
| Equity | 344 k € | ▲ 2% | 337 k € | ▲ 10% | 306 k € | ▼ 2% | 312 k € | ▼ 7% | 336 k € |
| Labour costs | -313 k € | ▲ 3% | -323 k € | ▼ 9% | -297 k € | ▼ 3% | -289 k € | ▲ 12% | -331 k € |
| Employees | 10 | 0% | 10 | 0% | 10 | ▼ 9% | 11 | ▼ 21% | 14 |
| Filed | 29.06.2026 | 30.06.2025 | 30.06.2024 | 29.06.2023 | 29.06.2022 | ||||
| Report | PDF ↓ | 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
| Activity | EMTAK | Sales revenue | Osa |
|---|---|---|---|
| Construction of utility projects for fluids main activity | 42211 | 1 587 557 € | 100% |
2025 annual report, RIK open data
Real estate
e-kinnistusraamat
Loading properties…
Source: e-kinnistusraamat (Centre of Registers and Information Systems), basic data
Building permits where the company is a party
2 documents
| Date | Building and address | Document and role | Municipality | |
|---|---|---|---|---|
| 28.09.2026 | sademeveekanalisatsioonitorustik Tartu linn, Tartu linn, Lemmatsi tänav T5 | Notice of commencement of construction ehitaja | Tartu linn | EHR → |
| 28.09.2026 | reoveekanalisatsioonitorustik Tartu linn, Tartu linn, Lemmatsi tänav T5 | Notice of commencement of construction ehitaja | Tartu linn | EHR → |
All building permits of this company → Source: Register of Construction Works (CC BY-SA 3.0). Private persons are not shown.
Debts and court cases
clean
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
40 032 € makseid · 2 tenders
Transactions with state institutions
Largest payers
| Tartu Linnavalitsus | 39 864 € |
| Räpina Vallavalitsus | 168 € |
All payments by month
| Month | Payer | Type | Field | Amount |
|---|---|---|---|---|
| 05.2025 | Tartu Linnavalitsus | Operating costs | Road transport | 19 327 € |
| 05.2025 | Tartu Linnavalitsus | Fixed assets | Road transport | 17 462 € |
| 06.2023 | Räpina Vallavalitsus | Operating costs | Recreation parks and bases | 168 € |
| 05.2023 | Tartu Linnavalitsus | Operating costs | Road transport | 3 075 € |
Riigi Tugiteenuste Keskus, Saldo makseandmikud
Public procurement contracts
| Date | Contracting authority | Tender | Amount |
|---|---|---|---|
| 19.02.2026 | aktsiaselts Tartu Veevärk | EHITUSE TÖÖVÕTULEPING | 422 100 € |
| 24.03.2025 | AS Emajõe Veevärk | Contract for work | 235 874 € |
Public Procurement Register
Holdings in other companies
0
No holdings in other companies
Companies linked via the board
23
Sorted by revenue (latest report or 4 quarters).
Top 20 in activity: Construction of utility projects for fluids
20
| # | Company | Revenue |
|---|---|---|
| 1 | Watercom OÜ | 20,0 m € |
| 2 | OÜ VH EHITUSTEENUSED | 12,9 m € |
| 3 | Schöttli Keskkonnatehnika Aktsiaselts | 8,4 m € |
| 4 | WESICO PROJECT OÜ | 7,9 m € |
| 5 | Giga Ehitus OÜ | 6,9 m € |
| 6 | Osaühing Megido | 6,5 m € |
| 7 | Aktsiaselts Vensen | 4,7 m € |
| 8 | Pipenet OÜ | 3,9 m € |
| 9 | PÕDRA MAJA OSAÜHING | 3,5 m € |
| 10 | LM Ehitus OÜ | 3,2 m € |
| 11 | osaühing Agio Ehitus | 2,6 m € |
| 12 | Nordig OÜ | 2,6 m € |
| 13 | VK Ehitus OÜ | 2,6 m € |
| 14 | ALTMER EHITUS OÜ | 2,6 m € |
| 15 | KESKKOND & PARTNERID OÜ | 2,5 m € |
| 16 | Eesti ESM OÜ | 2,5 m € |
| 17 | Alant Ehitus OÜ | 2,4 m € |
| 18 | Tehnovõrkude Ehituse OÜ | 2,1 m € |
| 19 | ROKE TEENUSED OÜ | 2,0 m € |
| 20 | Osaühing HENSEL GRUPP | 1,7 m € |
Revenue from the latest annual report, otherwise Tax Board revenue for 4 quarters. All companies in this activity
Tegevusload
1 records
Activity licences (MTR and environmental)
| Field | Licence number | Valid from |
|---|---|---|
| Ehitamine | EEH009828 | 27.03.2017 |
History and notices
6
| Date | Type | Content |
|---|---|---|
| 01.09.2023 | Entry | Amendment entry |
| 19.01.2018 | Entry | Amendment entry |
| 22.12.2017 | Entry | Amendment entry |
| 12.12.2017 | Entry | Amendment entry |
| 28.12.2016 | Entry | Amendment entry |
| 15.12.2016 | Entry | First entry |