Financial Statements · Financial Reporting
Pipedrive OÜ
Official identifier 11958539Record date 31 Dec 2022
Report
- Legal formThe legal or organisational form recorded by the Estonian Business Register. Learn more
- OÜ
- Report status
- Registered
Dates
- Reporting year
- 2022
- Period start
- 1 Jan 2022
- Submitted date
- 30 Jun 2023
Report
- Consolidated
- No
- Audited
- Yes
Financial metrics
| Statement | Metric | Value |
|---|---|---|
| Balance sheet | Assets | 46,667,891 |
| Balance sheet | Cash and cash equivalents | 30,366,568 |
| Balance sheet | Current assets | 34,877,586 |
| Balance sheet | Current liabilities | 45,871,482 |
| Balance sheet | Equity | 796,409 |
| Balance sheet | Share capital at nominal value | 7,800 |
| Balance sheet | Non-current assets | 11,790,305 |
| Balance sheet | Retained earnings (loss) from previous periods | 6,156,507 |
| Kahjumi katmise ettepanek | Retained earnings (loss) from previous periods | 6,156,507 |
| Income statement scheme 1 | Depreciation and impairment of non-current assets | -4,884,378 |
| Income statement scheme 1 | Labour costs | -44,968,407 |
| Income statement scheme 1 | Revenue | 160,422,142 |
| Income statement scheme 1 | Annual period profit / loss | -6,720,510 |
| Income statement scheme 1 | Operating profit (loss) | -7,284,720 |
| Income statement scheme 1 | Profit (loss) before income tax | -6,720,510 |
| Note: Labour costs | Employees | 539 |
| Note: Labour costs | Labour costs | 44,968,407 |
| Rahavoogude aruanne kaudsel meetodil | Depreciation and impairment of non-current assets | 4,884,378 |
| Rahavoogude aruanne kaudsel meetodil | Operating profit (loss) | -7,284,720 |
Linked company
Company: Pipedrive OÜ