In 2025, Sabiedrība ar ierobežotu atbildību TMR FINANCE had revenue of 59.1 thousand EUR and profit of 26.7 thousand EUR. The company has 2 employees. Beneficial owners: Kārlis Kiršfelds.
| year | 2025Latest | 2024 | 2023 |
|---|---|---|---|
Revenue | 59,1k € +15.0% | 51,4k € +46.4% | 35,1k € +125.0% |
Profit | 26,7k € +38.7% | 19,3k € +33.7% | 14,4k € +863.2% |
Assets | 38,1k € +17.8% | 32,4k € -0.1% | 32,4k € +46.5% |
Liabilities | 2,4k € -67.7% | 7,3k € +59.5% | 4,6k € +69.7% |
Equity | 35,8k € +42.7% | 25,1k € -9.9% | 27,8k € +43.3% |
Employees | 2 +0.0% | 2 +0.0% | 2 +100.0% |
Overall rating | A+90/100 |
Financial health | 100/100 |
Credit history | 80/100 |
Legal history | 100/100 |
Business activity | 75/100 |
| Overall risk | Low |
No risk flags | |
No tax debts | |
Positive profit | |
Regular report filing | |
| Name, surname | Birth date | Position | Representation rights | Registered | |
|---|---|---|---|---|---|
| Board member | Independently |
Sabiedrība ar ierobežotu atbildību TMR FINANCE is located at Cēsu nov., Vaives pag., "Krūkļi", LV-4136.
In 2025, Sabiedrība ar ierobežotu atbildību TMR FINANCE had revenue of 59 079 EUR and profit of 26 701 EUR. Compared to previous year, revenue increased by 15.0%. View full financial report →
In 2024, Sabiedrība ar ierobežotu atbildību TMR FINANCE had an average of 2 employees. View tax history →
The beneficial owners of Sabiedrība ar ierobežotu atbildību TMR FINANCE are Kārlis Kiršfelds. View ownership details →
Yes, Sabiedrība ar ierobežotu atbildību TMR FINANCE is registered as an active VAT payer with VAT number LV54103126401.
In 2024, the average gross salary at Sabiedrība ar ierobežotu atbildību TMR FINANCE was approximately 347,12 € per month (net ~ 310,67 €). This is an approximate calculation. View salary details →
Sabiedrība ar ierobežotu atbildību TMR FINANCE was founded on August 23, 2019. The company has been operating for 7 years.
| Indicator | Value | Rank | Comparison | |
|---|---|---|---|---|
Company age | 7 years | - | 0% | |
Net revenue | 59 079,00 € | - | 0% | |
Profit | 26 701,00 € | - | 0% | |
Equity | 35 754,00 € | - | 0% | |
Assets | 38 115,00 € | - | 0% | |
Fixed assets | 7190,00 € | - | 0% | |
Liquidity | 13.10 | - | 90% | |
Profitability | 45.2% | - | 90% | |
Registered capital | 1,00 € | - | 0% |
Annual financial report for 2025.
Annual financial report for 2024.
Annual financial report for 2023.
Annual financial report for 2022.
Annual financial report for 2021.
Annual financial report for 2020.
Registered in the Latvian company register.
| Name, surname | Birth date | Shares | Ownership rights | |
|---|---|---|---|---|
| Kārlis Kiršfelds | 1 | 100.00% |
| Name, surname | Nationality | Birth date | |
|---|---|---|---|
| Kārlis Kiršfelds | LV |