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SummaryLegal & StatusTimelineNetworkOwnership & ManagementShareholdersUltimate Beneficial OwnerGeographyFinancialsFinancial HealthDocuments

Scriptify OÜ

🇪🇪Estonia•Osaühing•Active
Net margin (2024)Net margin
-38.9%
YoY revenue (2023 vs 2024)YoY revenue
-62.4%
YoY profit / (loss) (2023 vs 2024)YoY profit / (loss)

Summary

Country🇪🇪Estonia
StatusActive
Registration Number16178533
Founded08/03/2021
AddressTaevasilma Tn 3-6, Alliku küla, Saue Vald, Harju Maakond, Saue Vald, Harju Maakond, 76403

Legal & Status

Legal FormOsaühing
StatusActive
Registration Date08/03/2021
Registry AuthorityEstonian Business Register / Äriregister
Registered Capital2,500

Source: Estonia RIK · Last updated: 24/04/2026

Timeline (2 events)

24/04/2026

Legal form changed

→ Osaühing

08/03/2021

Company incorporated

Incorporation date: 2021-03-08

Network

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Network depth

Ownership & Management

Persons with significant control

Tarmo Luugus

Person with significant control

Appointed: 08/03/2021

—

Ownership Timeline (1 changes)

08/03/2021

Appointed Tarmo Luugus (person)

Person with significant control

Shareholders

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Ultimate Beneficial Owner

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Geography

Headquarters

Taevasilma Tn 3-6

Alliku küla, Saue Vald, Harju Maakond

Saue Vald

Harju Maakond

76403

Financials

Key figures from annual accounts filings.

Convert to

2021

Turnover: €1.6K

Key figures

Turnover

2021€1,650
2022€0
2023€930
2024€350

Revenue

2021€1,650
2022€0
2023€930
2024€350

Profit / (loss)

2021€1,328
2022€0
2023€559
2024€-136

Total assets

2021€1,641
2022€0
2023€1,511
2024€1,374

Equity

2021€1,641
2022€0
2023€1,511
2024€1,374

Share Capital

2021€2,500
2022€2,500
2023€2,500
2024€2,500

Current Assets

2021€513
2022€0
2023€220
2024€570

Assets

2021€1,641
2022€0
2023€1,511
2024€1,374

Cash And Cash Equivalents

2021—
2022—
2023—
2024€570

Depreciation And Impairment Loss Reversal

2021€-313
2022€0
2023€-371
2024€-486

Issued Capital

2021€2,500
2022€2,500
2023€2,500
2024€2,500

Non Current Assets

2021€1,128
2022€0
2023€1,291
2024€804

Retained Earnings Loss

2021€0
2022€0
2023€0
2024€1,510

Total Annual Period Profit Loss

2021€1,328
2022€0
2023€559
2024€-136

Total Profit Loss

2021€1,328
2022€0
2023€559
2024€-136

Total Profit Loss Before Tax

2021€1,328
2022€0
2023€559
2024€-136
Metric2021202220232024
Turnover€1,650€0€930€350
Revenue€1,650€0€930€350
Profit / (loss)€1,328€0€559€-136
Total assets€1,641€0€1,511€1,374
Equity€1,641€0€1,511€1,374
Share Capital€2,500€2,500€2,500€2,500
Current Assets€513€0€220€570
Assets€1,641€0€1,511€1,374
Cash And Cash Equivalents———€570
Depreciation And Impairment Loss Reversal€-313€0€-371€-486
Issued Capital€2,500€2,500€2,500€2,500
Non Current Assets€1,128€0€1,291€804
Retained Earnings Loss€0€0€0€1,510
Total Annual Period Profit Loss€1,328€0€559€-136
Total Profit Loss€1,328€0€559€-136
Total Profit Loss Before Tax€1,328€0€559€-136

Documents

Document downloads are not available yet for French companies.

Annual report

Accounts for the accounting period ending on: 31/12/2024

Filed: 26/06/2025

Annual report

Accounts for the accounting period ending on: 31/12/2023

Filed: 29/06/2024

Annual report

Accounts for the accounting period ending on: 31/12/2022

Filed: 30/06/2023

Annual report

Accounts for the accounting period ending on: 31/12/2021

Filed: 28/06/2022

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08/03/2021

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Return on assets (net) (2024)Return on assets (net)
-9.9%
Equity ratio (2024)Equity ratio
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Financial Health

Derived ratios from annual accounts. Values are omitted when data is missing or not meaningful.

Margins

Net margin (2021)
80.5%
Net margin (2023)
60.1%
Net margin (2024)
-38.9%

Growth

YoY revenue (2021 vs 2022)
-100%
YoY profit / (loss) (2021 vs 2022)
-100%
YoY total assets (2021 vs 2022)
-100%
YoY revenue (2023 vs 2024)
-62.4%
YoY profit / (loss) (2023 vs 2024)
-124.3%
YoY total assets (2023 vs 2024)
-9.1%
CAGR revenue (2021–2024)
-40.4%
CAGR total assets (2021–2024)
-5.7%

Efficiency & returns

Asset turnover (2021)
1.01×
Return on assets (net) (2021)
80.9%
Asset turnover (2023)
0.62×
Return on assets (net) (2023)
37%
Asset turnover (2024)
0.25×

Capital structure

Equity ratio (2021)
100%
Equity ratio (2023)
100%
Equity ratio (2024)
100%
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Return on assets (net) (2024)
-9.9%