Overview
Status
Active
Registry date
2010-02-18
Share capital
1 245 000,00 PLN
Registered address
Szkolna 6, 33-200 Dąbrowa Tarnowska, Poland
Electronic delivery address
AE:PL-68047-25271-AHEDE-32
Financials
Revenue history (in m)
Data and insights are generated automatically based on financial statements and may contain errors. This analysis is for informational purposes only and does not constitute an official assessment of the company's credibility or business advice.
Statistics
How the company ranks by revenue within its industry, region and across Poland in 2025.
Results vs industry
Revenue
This companyUSD 38.55mMedianUSD 1.03mAverageUSD 10.01m
Net profit
This companyUSD 3.08mMedianUSD 13.40kAverageUSD 666.00k
Operating costs
This companyUSD 34.27mMedianUSD 925.14kAverageUSD 9.01m
Assets
This companyUSD 28.25mMedianUSD 1.14mAverageUSD 10.52m
Industry
Bank accounts
Registered as a VAT taxpayer on 2010-01-19. Active
11 1160 2202 0000 0001 5352 7841
64 1160 2202 0000 0003 7514 5503
36 1160 2202 0000 0001 5352 8264
Debt
No entries in the National Debtors Register (KRZ). No proceedings in KRZ
Public aid
21 public aid cases recorded, with a total value of $783,891.
| Grant date | Purpose | Gross amount | Granting body | |
|---|---|---|---|---|
| Apr 30, 2026 | De minimis aid (in accordance with Commission Regulation 2023/2831) | $81,029$81,029 | Prezes Banku Gospodarstwa Krajowego | |
| Jan 12, 2026 | De minimis aid (in accordance with Commission Regulation 2023/2831) | $103$103 | Energa - Obrót S.A. | |
| Jan 13, 2025 | De minimis aid (in accordance with Commission Regulation 2023/2831) | $24,387$24,387 | Prezes Banku Gospodarstwa Krajowego |
Tenders
54 tenders recorded as contractor: 48 national ($4,943,548) and 6 EU ($2,967,638).
| Publication date | Subject | Amount | Contracting authority | |
|---|---|---|---|---|
| Aug 3, 2026 | Dostawa soli drogowej do zimowego utrzymania dróg | $190.7K$190,713 | Zakład Komunalny Kleszczów sp. z o.o. | |
| Jun 10, 2026 | Dostawa wraz z transportem soli drogowej przeznaczonej do zimowego utrzymania dróg na terenie działania Powiatowego Zarządu Dróg Starogard Gdański | $158.2K$158,152 | Powiatowy Zarząd Dróg w Starogardzie Gdańskim | |
| Apr 17, 2026 | Dostawa emulsji asfaltowej, mieszanki mineralno-asfaltowej do stosowania na gorąco oraz mieszanki mineralno-asfaltowej do stosowania na zimno | $62,995$62,995 | Zarząd Dróg Powiatowych w Golubiu-Dobrzyniu |
Regulatory authorisations
| Authority | Type | Status | |
|---|---|---|---|
| BDO register entry | Active |
Authorized Representatives
Grzegorz Rzeszut — Management Board Member
Wiesław Wardzała — President of the Management Board
Manner of representation
Two members of the management board simultaneously are authorised to represent the company and make declarations on its behalf.
Ownership
| Owner | Shares | Share value | Stake |
|---|---|---|---|
Dominika Rzeszut (45) | 2,000 | $54,024.85 | 16.0643% |
Lidia Wardzała (59) | 8,450 | $228,255.00 | 67.8715% |
Others | 2,000 | $54,024.85 | 16.0642% |
Beneficial owners
| Person | Rights | |
|---|---|---|
Lidia Renata Wardzała (59) | Shareholder of a limited liability company, 845000.0 PLN |
Subsidiaries
| Name | Share value | Stake | ||
|---|---|---|---|---|
Terminal Eusp. z o.o. | 6,753.11 USD | 50% |
Competitors
| Name | Revenue | Website | ||
|---|---|---|---|---|
| Soprema Polskasp. z o.o. | $55,987,679.91 | soprema.pl | ||
| PetralanaS.A. | $38,429,640.01 | petralana.eu | ||
| BMI Produkcja Polskasp. z o.o. | $26,524,861.88 | icopal.pl | ||
| GDAsp. z o.o. | $23,969,693.84 | actigda.com | ||
| Zakłady Górniczo - Metalowe Zębiec w ZębcuS.A. | $23,088,040.72 | zebiec.pl | ||
| Silikaty Szlachtasp. z o.o. | $12,990,481.94 | silikaty-szlachta.pl | ||
| SinografS.A. | $7,385,059.22 | sinograf.com | ||
| Izolacja - JarocinS.A. | $7,228,563.23 | izolacja-jarocin.pl | ||
| Chemasp. z o.o. | $4,215,928.34 | chema.com.pl | ||
| Ketzsp. z o.o. | $726,562.81 | ketz.pl |
Change history
| Date | Event | |
|---|---|---|
| 2015-07-14 | PKD change (Removed: 08.1, 35.1, 38.1, 45.1, 46.1, 46.4, 46.7, 46.71.Z, 46.9, 47.2, 47.5, 47.6, 47.7, 49.2, 49.4, 52.10, 52.24, 56.10, 68.10.Z, 68.20, 70.22, 71.1, 71.20, 73.1, 77.1, 78.10.Z, 78.20.Z, 78.30.Z, 81.2; Added: 08.12.Z, 08.93.Z, 19.20.Z, 23.99.Z, 25.29.Z, 42.11.Z, 42.13.Z, 46.73.Z, 46.75.Z, 82.92.Z) | |
| 2012-10-05 | Share capital change (600,000.00 PLN → 1,245,000.00 PLN) | |
| 2010-02-18 | Entered in the register |
FAQ
The main business activity of Olan Południe focuses on manufacture of other non-metallic mineral products n.e.c..
The company was registered in the Polish National Court Register (KRS) on February 18, 2010.
The headquarters is located at: Szkolna 6, 33-200 Dąbrowa Tarnowska.
The share capital of the company is PLN 1,245,000 (approx. $336,305).
The latest available financial statement covers the period from January 1, 2024 to December 31, 2024.
In 2024, the company generated total revenue of $46,690,119, representing an increase of 11.3% compared to 2023.
Yes, in 2024 the company was profitable, achieving a net profit of $3,653,929, meaning the company decreased its profit by 4.8%.
The largest operating cost category falls under materials and energy. This category amounted to $16,496,295 in 2024, representing 40% of all operating expenses.
Last updated: 2026-07-16