UAB "Karsir"
Company details
Legal status
ActiveCompany ID
VAT code
Incorporation date
01/04/2021Company's manager/representative
Share capital
37,500.00 EURActivity
Site preparationContacts
Company registration address

C
AverageReliability

Fair Business loans
Borrow for business up to 50 000 € without collateralNumber of employees
1* during past year
Average wage
No data available* during past year
Debts
0.00 €* during past year
Turnover
24,540 €Credit report
25
Data sourcesBusiness linkages
1
LinkageMonitoring
18
Changes during the yearSimilar companies
1946
Similar companiesCompany's value
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Estimated
UAB "Karsir" financial ratios
| Indicator | 
|---|
| Turnover (€) | 
| Sales per employee (€) | 
| Profit before tax (€) | 
| Net Profit (€) | 
| Profit per employee (€) | 
| Total profitability (%) | 
| Net profitability (%) | 
| Equity (€) | 
| Amounts Payable And Liabilities (€) | 
| Non-current Assets (€) | 
| CurrentAssets (€) | 
| Working capital requirement | 
| Debt-to-equity ratio | 
| EBITDA margin (%) | 
| EBITDA (€) | 
| EBIT margin (%) | 
| EBIT (€) | 
| 2022 | 
|---|
| 35,744 | 
| 35,744 | 
| 22,079 | 
| 22,079 | 
| 22,079 | 
| 100.00 | 
| 61.77 | 
| 22,982 | 
| 15,637 | 
| 46,377 | 
| 2,608 | 
| 2023 | 
|---|
| 42,452 | 
| 41,216 | 
| 14,285 | 
| 13,571 | 
| 13,176 | 
| 100.00 | 
| 31.97 | 
| 35,499 | 
| 10,994 | 
| 35,810 | 
| 12,859 | 
| 2024 | 
|---|
| 24,540 | 
| 12,270 | 
| -12,146 | 
| -12,146 | 
| -6,073 | 
| 100.00 | 
| -49.49 | 
| 23,352 | 
| 6,762 | 
| 28,271 | 
| 1,843 | 
Register and
explore Okredo data| 2024 | 
|---|
| 24,540 | 
| 12,270 | 
| -12,146 | 
| -12,146 | 
| -6,073 | 
| 100.00 | 
| -49.49 | 
| 23,352 | 
| 6,762 | 
| 28,271 | 
| 1,843 | 
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explore Okredo data2024
Turnover (€)
24,540 €-42 % *
Sales per employee (€)
12,270 €-70 % *
Profit before tax (€)
-12,146 €-185 % *
Net Profit (€)
-12,146 €-190 % *
Profit per employee (€)
-6,073 €-146 % *
Total profitability (%)
100.00 %0.00 % *
Net profitability (%)
-49.49 %-254.80 % *
Equity (€)
23,352 €-34 % *
Amounts Payable And Liabilities (€)
6,762 €-38 % *
Non-current Assets (€)
28,271 €-21 % *
CurrentAssets (€)
1,843 €-86 % *
Credit history
No. of unpaid debts
Register and
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Register and
explore Okredo dataCredit report
Premium users: 1.00 credit
No. of unpaid debts
0
Largest debt
-
Amount of unpaid debts
€0.00
Oldest open debt
-
| Creditor/Data source | Debt amount | Debt date | Debt type | 
|---|---|---|---|
| - | - | - | - | 
| Creditor/Data source | Debt amount | Debt date / Payment date | Debt type | 
|---|---|---|---|
| - | - | - | - | 
Courts
Defendant
(0)
Plaintiff
(0)
3rd party
(0)
| Case No./date | Process parties | Case/Court ruling | Court | No. of court hearings | More | 
|---|---|---|---|---|---|
| - | - | - | - | - | - | 
| Case No./date | Process parties | Case/Court ruling | Court | No. of court hearings | More | 
|---|---|---|---|---|---|
| - | - | - | - | - | - | 
| Case No./date | Process parties | Case/Court ruling | Court | No. of court hearings | More | 
|---|---|---|---|---|---|
| - | - | - | - | - | - | 
ESG data
Energy performance of the company's head office building
Energy efficiency
Vehicles
Company's eco score according CO² of vehicle fleet
Maximum environmental friendliness
Lowest environmental friendliness
Vehicles
CLASS
AMOUNT
Total
1
| Eco score | Brand, model | Category | Engine capacity | Fuel | 
|---|---|---|---|---|
| MERCEDES-BENZ ATEGOFirst registration:  01/10/2007 | Truck 3,5t - 12t | 4,801.00 cm³ | Diesel | 
Trademarks
Company registered trademarks
No trademarks found
Public data
Govermental support
| Institution | Support measure | 
|---|---|
|  | Subsidies to preserve work places | 
|  | Subsidies for downtime in 2020 | 
|  | ILTE business promotion measures (subsidies, compensations) in 2020 | 
|  | ILTE business promotion measures (guarantees provided) in 2020 | 
|  | ILTE business promotion measures (guarantees provided) in 2021 | 
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explore Okredo dataPublic negative information
| Data source | Information | 
|---|---|
|  | Redundancy of employees group (number of employees notified, date of announcement) | 
|  | Tax inspectorate information on payments in cash | 
|  | Public procurement office information on unreliable suppliers | 
|  | Public procurement office information on those that supplied false data | 
|  | Public procurement office information on possible disqualification from public procurement procedures | 
Register and
explore Okredo dataPublic data
| Data source | Information | 
|---|---|
|  | Data from the B2Lithuania database of exporters | 
|  | The biggest taxpayers in 2021 | 
|  | Top taxpayers in 2021 excluding excise duties and VAT. | 
|  | Top personal income tax payers in 2021 | 
|  | Top taxpayers for corporate income tax in 2021 | 
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The company has no records of any licenses', permits, certificates, or other licensing documents issued.
Public procurement
No. of won tenders
1* during past yearTotal value of contracts
15,555 €Number of announced tenders
0* during past yearTotal value of contracts
0 €| Date | Procurer/contractor | Amount | Project | 
|---|---|---|---|
| 24/07/2025 | Uždaroji akcinė bendrovė "TRAKŲ VANDENYS" | 15,555 € | Lietaus valymo įrenginių aikštelės Vokės g. 10 B, Lentvaris, sutvarkymo darbai | 
| Date | Procurer/contractor | Amount | Project | 
|---|---|---|---|
| - | - | - | - | 
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1Description
About UAB "Karsir"
UAB "Karsir" was established in 01/04/2021, its legal status according to data of Registry of Legal Entities is Active.Main activity of the company according NACE2 classification – Site preparation, 43.12.00. Company is owned by 1 shareholder. Company's representation right – Sole representation.
In 2024 UAB "Karsir" turnover was 24,540 EUR, gross profit -12,146 EUR. According to SODRA company has 1 employee. UAB "Karsir" is registered at – Vilnius, Girulių g. 10, LT-12112.
Business objectives of the company as officially recorded in the Register of Legal Entities: statybvietės paruošimas; statinių nugriovimas ir statybvietės paruošimas (no translation available)
All data about UAB "Karsir" is up to date and consistent with the primary data source.

