CAFÉ AND GRACE OY
Entity details
Main business line
Current address
Reppukatu 200770 HELSINKI
Municipality Helsinki
Finnish corporate income tax assessment
These are regular corporate income-tax assessment amounts for tax year 2024. They are not current tax debt or tax arrears. Later assessment adjustments are not included.
Observed public-sector procurement
Based only on participating public organisations. These amounts are signed accounting-posting totals, not company revenue, turnover, contract or award values, or cash paid. VAT treatment is not specified by the source. This is not complete Finnish public procurement.
Annual observed procurement accounting amounts
| Indicator | 2025 | 2021 | 2020 |
|---|---|---|---|
| Observed procurement accounting amount | 833.34 EUR | 780.70 EUR | 138.16 EUR |
| Public buyers | 1 | 1 | 1 |
| Accounting rows | 1 | 1 | 1 |
| Latest observed date | 1 Jun 2025 | 1 Nov 2021 | 1 Mar 2020 |
Top public buyers
Totals across all displayed source years
| Public buyer | Observed procurement accounting amount | Accounting rows |
|---|---|---|
| Kasvatuksen Ja Koulutuksen Toimiala, Helsinki | 971.50 EUR | 2 |
| Kulttuurin Ja Vapaa-ajan Toimiala, Helsinki | 780.70 EUR | 1 |
Main procurement categories
Totals across all displayed source years
| Category | Product/service group | Observed procurement accounting amount | Accounting rows |
|---|---|---|---|
| Majoitus- ja ravitsemispalvelut | Ravitsemispalvelut | 1,752.20 EUR | 3 |
HILMA procurement notices
No exact-linked HILMA procurement notices are available for this company in the current source window.
Finnvera de minimis aid
This is the published de minimis aid element associated with Finnvera financing. It is not the underlying loan amount, guarantee amount, cash disbursed, outstanding exposure, or a full Finnvera financing decision.
No information available for this company in this registry.
Financial Statements
This source contains digital IXBRL statements published through PRH and does not represent all Finnish financial statements.
| Indicator | 31 Aug 2025 | 31 Aug 2024 | 31 Aug 2023 | 31 Aug 2022 | 31 Aug 2021 |
|---|---|---|---|---|---|
| Turnover | EUR 42,884.77 | EUR 54,936.72 | EUR 75,538.93 | EUR 109,617.47 | EUR 92,863.58 |
| Operating profit (loss) | EUR -9,882.11 | EUR -10,298.33 | EUR 6,657.24 | EUR 30,270.27 | EUR 19,708.77 |
| Profit (loss) for the financial year | EUR -9,819.49 | EUR -10,677.70 | EUR 4,393.18 | EUR 24,759.46 | EUR 18,332.00 |
| Assets | EUR 8,424.30 | EUR 22,156.00 | EUR 33,814.07 | EUR 61,102.37 | EUR 62,319.62 |
| Capital and reserves | EUR 4,446.17 | EUR 14,265.66 | EUR 28,469.36 | EUR 44,076.18 | EUR 19,316.72 |
| Liabilities | EUR 3,978.13 | EUR 7,890.34 | EUR 5,344.71 | EUR 17,026.19 | EUR 43,002.90 |