Contacts, activities, address, websites, branches — СПБ ГБУ "ЭКОСТРОЙ"

Database of companies
163 pcs.
OKVED:
38.12 Сбор опасных отходов
815 ₽
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General information

General information about the organization
24.10.2025

Full name

Full name of the legal entity
САНКТ-ПЕТЕРБУРГСКОЕ ГОСУДАРСТВЕННОЕ БЮДЖЕТНОЕ УЧРЕЖДЕНИЕ "ДИРЕКЦИЯ ПО ОБЕСПЕЧЕНИЮ ЭКОЛОГИЧЕСКОЙ БЕЗОПАСНОСТИ, ОСУЩЕСТВЛЕНИЮ ВОДОХОЗЯЙСТВЕННЫХ МЕРОПРИЯТИЙ НА ТЕРРИТОРИИ САНКТ-ПЕТЕРБУРГА И ОБЕСПЕЧЕНИЮ БЕЗОПАСНОСТИ ГИДРОТЕХНИЧЕСКИХ СООРУЖЕНИЙ ВОДОПОДВОДЯЩЕЙ СИСТЕМЫ ФОНТАНОВ Г. ПЕТЕРГОФА "ЭКОСТРОЙ"

Short name

Short name of the legal entity
СПБ ГБУ "ЭКОСТРОЙ"

Registration date

Date of registration of the legal entity
02.11.2024

Status

Current status of a legal entity
Active

Legal address

Registration address of a legal entity
САНКТ-ПЕТЕРБУРГ, ВОЛХОНСКОЕ, 116, 3

Details

Details of a legal entity
24.10.2025

TIN

The taxpayer identification number

OGRN

Main State Registration number

KPP

Code of reasons for registration in the tax authority
780701001

The main OKVED

The main type of economic activity of the company

Full of the main OKVED

The full name of the main type of economic activity of the company
38.12 Сбор опасных отходов

Accounting Balance: Act

All property and resources of the organization that bring economic benefits
24.10.2025
Non -current assets
96.3%
1372442 thousand ₽
Complex assets
-7.5%
422511 thousand ₽
Balance
-7.5%
422511 thousand ₽

Accounting Balance: Passive

Sources of the formation of the company's funds - own capital and attracted obligations
24.10.2025
Capital and reserves
74%
1579277 thousand ₽
Long -term obligations
-
Current liabilities
-42.6%
84028 thousand ₽
Balance
53.9%
1852287 thousand ₽

Capital change report

"Information on changes in the capital of the company"
24.10.2025
Pure assets
70.8%
1712949 thousand ₽
Capital at the beginning of the period
-
The capital of the previous year
-
Capital at the end of the period
-
Net profit (loss)
-
Dividends
-

The movement of funds

Information about the movement of funds in the company
24.10.2025
Cash flows from current operations
-178.8%
-93729 thousand ₽
Cash flows from investment activities
-
Cash flows from financial activities
624.8%
-15091 thousand ₽
Pure cash flow
-193.1%
-108820 thousand ₽
The balance of funds at the beginning of the period
60.8%
309082 thousand ₽
The balance of funds at the end of the period
-35.2%
200262 thousand ₽

Related sites

Relations map with other websites
2
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