Business profile

PeteMark Raudoitus Oy

PeteMark Raudoitus Oy's registered office is Kempele. It is a limited company. The company was established on 2012-09-27. It operates in the industry of other miscellaneous specialised construction activities n.e.c.. In its latest retained statement for 2024-12-31, revenue was €425,579 and operating profit was -€90,452.

Claim profileContact details
Business ID 2498089-1ValidUnclaimed company profile

Trusted core data

Public company details from the trade register.

Business ID
2498089-1
Sector
Other miscellaneous specialised construction activities n.e.c.
Municipality
Kempele
Company form
Limited company
Registration date
2012-09-27
Business ID registration date
2012-09-12
Business status
Valid
Profile ownership
Unclaimed company profile
Data source
Public registry data

Contact and location summary

Visiting address: Taukopaikka 10, 90450, Kempele

Phone: +358443881001Source observation

Email: [email protected]Source observation

Website: https://www.petemark.fiSource observation

E-invoice address: 003724980891 · Operator: MaventaSource: company website

People and decision-makers

Kemppainen Petri Juhani KristianToimitusjohtaja

Email: Email available for logged-in usersSource: company website

Phone: Phone available for logged-in usersSource: company website

Eliisa PieniniemiJohdon assistentti, majoitus ja HR-avustus

Email: Email available for logged-in usersSource: company website

Phone: Phone available for logged-in usersSource: company website

Kari NikulaPROJEKTIPÄÄLLIKKÖ

Email: Email available for logged-in usersSource: company website

Phone: Phone available for logged-in usersSource: company website

Direct contact details available for logged-in usersSome person-level contact details are shown only to registered users. The data is based on public sources, such as the company's own website.Log in to view decision-maker contact details

About PeteMark Raudoitus Oy

Financial position and key figures for the company.

PeteMark Raudoitus Oy's location municipality is Kempele. It is a limited company. The company was established on 2012-09-27. It operates in the industry of other miscellaneous specialised construction activities n.e.c.. In its latest retained statement for 2024-12-31, revenue was €425,579 and operating profit was -€90,452. The latest retained financial statement for 2024-12-31 shows revenue of €425,579 and profit for the financial year of -€99,547. Based on the latest retained statement, revenue growth was -75.5%, operating margin was -21.3%, and equity ratio was +23.0%.

Auxiliary business names

Public alternate names materialized from source observations.

KoneKon Import FinlandKoneKon Rent

Extended business activity

A longer directory- or registry-backed activity description that complements the short registry industry label.

Yhtiön toimiala on harjoittaa koneiden ja laitteiden, varaosien, rakennustarvikkeiden, elintarvikkeiden ja näihin liittyvien palveluiden välitystä ja kauppaa kotimaassa ja ulkomailla, raudoitus- ja rakennustöiden tekeminen, edellämainittuun kaupankäyntiin ja liiketoimintaan liittyvää konsultointia, tulkkaus- ja käännöspalveluiden myynti ja kaikki muu laillinen liiketoiminta. Yhtiö voi omistaa ja hallita, myydä, vuokrata ja käydä kauppaa koti- ja ulkomaisilla kiinteistöillä, huoneistoilla ja osakkeilla ja osuuksilla kotimaassa ja ulkomailla.

Financial highlights

Key figures from the latest financial period.

Latest financial period

2024-12-31

Imported periods0
PRH parsed0
Profile sourceEnriched source observation
Derived indicators
Revenue growth-75.5%
Operating margin-21.3%
Equity ratio23.0%
Balance-sheet contextLatest retained period snapshot
Profit before taxes-€104,156Previous: €58,726
Employees2Previous: 8
Revenue trend4 periods
€1,509,539
2021-12-31
€1,669,758
2022-12-31
€1,739,447
2023-12-31
€425,579
2024-12-31
Operating profit (loss) trend4 periods
€43,959
2021-12-31
€130,255
2022-12-31
€96,632
2023-12-31
-€90,452
2024-12-31
Profit (loss) for the financial year trend4 periods
€24,442
2021-12-31
€105,664
2022-12-31
€45,219
2023-12-31
-€99,547
2024-12-31
Assets trend4 periods
€335,678
2021-12-31
€414,183
2022-12-31
€587,218
2023-12-31
€349,567
2024-12-31

Financial ratios

Financial ratios based on financial statement data. Source: Rikastettu lähdehavainto.

Equity ratioPassable
29/100 · Declining
23.0 %2023-12-31: 33.3 %
Current ratioNot assessable
0/100 · Trend unavailable
Not available2023-12-31: Ei saatavilla
Operating profit marginWeak
0/100 · Declining
-21.3 %2023-12-31: 5.6 %
Ratio history
Ratio2021-12-312022-12-312023-12-312024-12-31
Equity ratio18.8 %39.5 %33.3 %23.0 %
Current ratio----
Operating profit margin2.9 %7.8 %5.6 %-21.3 %

Registry status and identifiers

Verified registry memberships and identifiers from the latest retained YTJ snapshot.

YTJ statusValid
Trade RegisterRegistered
Business ID2498089-1
VAT IDFI24980891
EU IDFIFPRO.2498089-1
MunicipalityKempele
Current registered entries
2012-09-27Registered in Patent and Registration Office (Trade Register)
2012-09-28Registered in Tax Administration (Tax Administration)
2012-10-01VAT-liable for business activity in Tax Administration (VAT Register)
2012-10-01Registered in Tax Administration (Prepayment Register)
2012-11-01Registered in Tax Administration (Employer Register)

Responsible people

Public role relationships materialized from source observations.

Direct contact details available for logged-in users.

Kemppainen Petri Juhani KristianToimitusjohtajaSources: 6 · Confidence: 78%
Kemppainen Petri Juhani KristianPuheenjohtajaSources: 3 · Confidence: 78%
Kemppainen Reijo Kalle MarkkuVarsinainen jäsenSources: 4 · Confidence: 78%
Karjalainen Milla JohannaTilintarkastajaSources: 2 · Confidence: 78%
Kemppainen Elina KristiinaVarajäsenSources: 2 · Confidence: 78%

Risk certificate

An open-data based company stability and risk signal.

BUSINESS.fi

BUSINESS.fi Luottoluokitus

Profile-specific risk signal based on open data

Financial data includedNot a credit decision
C
Elevated riskPeteMark Raudoitus Oy
Updated2026-08-27
ConfidenceMedium
Score37/100

The grade can use open digital financial statement data together with registry signals.

A serious financial risk signal affects this grade. Review the profile financial indicators as well.

Risk context

When open digital financial statements are unavailable, BUSINESS.fi shows registry, industry, and regional context.

Industry riskhigh
26/100

Industry context is high based on normalized open statistical inputs.

Age and continuityVakiintunut
80/100

The company has about 13 years of registry continuity.

Registry and status signalsVakaa
81/100

Registry history, filing recency, and active register markings are still limited or mixed.

Registry timeline

Trade register notifications shown on a timeline.

17 register eventsLatest event: 2026-01-17

Profile source and ownership

Profile based on public registry data
BUSINESS.fi has created this profile from public company information. Source data updated 2025-12-31.

This company profile has not been claimed yet

PeteMark Raudoitus Oy shows public core facts. A company representative can claim the profile, update public information, and access owner tools.