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Interactive Media Solutions S.R.L. · CUI 37237457 · Str. 23 August nr. 1B, Et. 1, Ap. 8, Târgu Jiu, jud. Gorj, România · J18/241/2017 · +40 755 667 632

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Brivio is operated by Interactive Media Solutions S.R.L. • CUI 37237457 • Reg. Com. J18/241/2017 • Registered office: Str. 23 August nr. 1B, Târgu Jiu, Gorj, Romania • Contact: legal@brivio.ro • Data supervisory authority: ANSPDCP (dataprotection.ro) • Consumer protection: ANPC (anpc.ro)

Brivio

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ANAF e-FacturaeIDASGDPREU hosting

Product

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  • Brivio AI

Solutions

  • For freelancers & sole traders
  • For small businesses & SRLs
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  • For online stores
  • For construction firms
  • Company setup in Romania
  • For accounting firms
  • Alternatives to other software
  • Integrations

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  • VAT calculator
  • Salary calculator
  • PFA tax calculator
  • PFA, SRL or micro?
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  • Invoice template
  • VAT number check
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Interactive Media Solutions S.R.L. · CUI 37237457 · Str. 23 August nr. 1B, Et. 1, Ap. 8, Târgu Jiu, jud. Gorj, România · J18/241/2017 · +40 755 667 632

ANPC — Alternative Dispute Resolution (SAL)ANPC — National Authority for Consumer Protection
GitHub

Brivio is operated by Interactive Media Solutions S.R.L. • CUI 37237457 • Reg. Com. J18/241/2017 • Registered office: Str. 23 August nr. 1B, Târgu Jiu, Gorj, Romania • Contact: legal@brivio.ro • Data supervisory authority: ANSPDCP (dataprotection.ro) • Consumer protection: ANPC (anpc.ro)

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D

DROPHSYSTEM SRL

Municipiul Zalău, Sălaj
este sub incidența Legii nr. 85/2014 Insolvency VAT payerUnclaimed profile
CUI
28463323
Reg. no.
J2011000226312
Founded
Nov 5, 2011
Legal form
SRL
CAEN code
4677

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Turnover

0 RON

2025

Net profit

-446K RON

2025

Employees

1

2025

About the company

This company hasn't added a description yet.

CAEN activity
4677 — Comerț cu ridicata al deșeurilor și resturilor
Legal form
SRL
Fiscal authority
Administraţia Judeţeană a Finanţelor Publice Sălaj

Tax status

Financial evolution

Source: ANAF / Ministry of Finance public data

Financial analysis

Industry comparison

Associates & administrators

lichidator judiciar(1)

Source: Trade Registry (ONRC) open data.

Personal data is displayed in accordance with the law on the publicity of the Trade Registry. To request removal, contact us.

Reviews & rating

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History

  1. 11/05/2011

    Company founded

  2. 2011-11-09

    Registered for VAT

Headquarters & contact

The map is loaded from Google, which sets its own cookies. Accept marketing cookies to show it here.Open in Google Maps instead
Address
Str. Str. BUJORILOR, Nr. 85A, Sector 0, CP 0, cam.2, Municipiul Zalău, Sălaj, Romania
Registration date
11/05/2011

Online presence

Registries & directories

ListaFirme.roTermene.roRisCo.roConfidas.roListaFirme.euOpenCorporatesNorth Data

Automatically generated profile links on public company directories.

Official sources

ANAF (Mfinanțe)OfficialONRC (Registrul Comerțului)Official

Official government registries — search by fiscal code (CUI) on their site.

Brivio profile — the canonical link

/companies/28463323

Frequently asked questions

The unique registration code (CUI) of DROPHSYSTEM SRL is 28463323.

DROPHSYSTEM SRL is registered with the Trade Registry under number J2011000226312, since 11/05/2011.

DROPHSYSTEM SRL is headquartered at Str. Str. BUJORILOR, Nr. 85A, Sector 0, CP 0, cam.2, Municipiul Zalău, Sălaj, Romania.

The main activity is CAEN 4677 — Comerț cu ridicata al deșeurilor și resturilor.

Yes, DROPHSYSTEM SRL has been registered for VAT purposes since 2011-11-09.

Yes, according to ANAF public data, DROPHSYSTEM SRL is active.

In 2025, DROPHSYSTEM SRL reported a revenue of 0 RON with 1 employees.

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Comparison of similar companies
CompanyCityCountyActivity
PLATINIUM SRLMunicipiul ZalăuSălajComerț cu ridicata al deșeurilor și resturilor
DIAMOND RECYCLYNG SRLSat Crişeni, Comuna CrişeniSălajComerț cu ridicata al deșeurilor și resturilor
KOVACS IOAN-MIRCEA ÎNTREPRINDERE INDIVIDUALĂLoc. Pusta, Oraş Şimleu SilvanieiSălajComerț cu ridicata al deșeurilor și resturilor
ANDRAS A TRAIAN ÎNTREPRINDERE FAMILIALĂLoc. Pusta, Oraş Şimleu SilvanieiSălajComerț cu ridicata al deșeurilor și resturilor
CIORBA M. MIRELA ÎNTREPRINDERE INDIVIDUALĂLoc. Pusta, Oraş Şimleu SilvanieiSălajComerț cu ridicata al deșeurilor și resturilor
CIOBAN T. AUGUSTIN PERSOANĂ FIZICĂ AUTORIZATĂLoc. Pusta, Oraş Şimleu SilvanieiSălajComerț cu ridicata al deșeurilor și resturilor
CIURAR GH. IOAN ÎNTREPRINDERE FAMILIALĂLoc. Pusta, Oraş Şimleu SilvanieiSălajComerț cu ridicata al deșeurilor și resturilor
TALPA C. CRISTIAN-BOBI ÎNTREPRINDERE INDIVIDUALĂLoc. Pusta, Oraş Şimleu SilvanieiSălajComerț cu ridicata al deșeurilor și resturilor

Contact

Str. Str. BUJORILOR, Nr. 85A, Sector 0, CP 0, cam.2 · Municipiul Zalău, Sălaj

Financials

Year 2025

Revenue
0 RON−100%
Net profit
-445,976 RON+83%
Employees
1
See all years

Registry details

VAT registered since
Nov 9, 2011
Organisation form
PERSOANA JURIDICA
Ownership form
PROPR.PRIVATA-CAPITAL PRIVAT AUTOHTON
Tax authority
Administraţia Judeţeană a Finanţelor Publice Sălaj

Last verified Oct 5, 2026

Explore

  • Companies in Sălaj
  • Companies in Zalău
  • Same activity: Comerț cu ridicata al deșeurilor și resturilor

Company in insolvency proceedings

The Trade Register records an insolvency, judicial reorganisation or bankruptcy procedure for this company. Check the current position before entering into a contract.

Registry state: este sub incidența Legii nr. 85/2014

Source: ONRC. Last verified: 2026-10-05.

  • VAT registeredsince 09.11.2011

Source: ANAF. Last verified: 2026-10-05.

  • Net loss in 2025
  • Negative equity in 2025 — liabilities exceed assets
  • Turnover fell by 100% in 2025
  • High leverage: debts are 143% of total assets
  • Current ratio below 1 (0.58) — current assets do not cover debts

Turnover

RON 0

-100.0%

Net profit

-RON 445,976

83.1%

Equity

-RON 2,672,223

-20.0%

Average employees

1

-92.9%

Projected turnover for 2026 (linear regression over reported years): RON 23,547,909

22out of 100Critical risk — class D

How this was calculated

  • LiquidityWeak6/25
  • CapitalisationNegative equity0/25
  • ProfitabilityLoss2/25
  • TrendMixed14/25

Computed automatically from public financial statements. This is not a credit rating and is not financial advice.

Financial ratios 2025

Current ratio
0.58

target ≥ 1

Quick ratio
0.58

target ≥ 0.8

Debt to assets
143.3%

target ≤ 80%

Net margin
—
Gross margin
—
Return on assets (ROA)
-7.2%
Turnover per employee
RON 0
Days sales outstanding
—

Financial statements by year

Indicator201120122013201420152016201720182019202020212022

Compared with 359 companies in Sălaj county in the same line of business (NACE 46), for 2025.

  • TurnoverRON 0
    P25 RON 127,309Median RON 541,397P75 RON 2,535,141

    Above 4% of comparable companies

  • Net profit-RON 445,976
    P25 RON 2,875Median RON 28,903P75 RON 143,274

    Above 1% of comparable companies

  • Employees1
    P25 1Median 1P75 5

    Above 52% of comparable companies

  • Turnover per employeeRON 0
    P25 RON 224,296Median RON 499,228P75 RON 929,870

    Above 1% of comparable companies

Quartiles are computed from public financial statements filed with the Ministry of Finance by active companies sharing the same NACE code. Dissolved companies are excluded.

International sanctions screening

No exact match was found between this company's tax code or registration number and the EU, UN, OFAC (US), United Kingdom sanctions lists.

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2023
2024
2025
TurnoverRON 145,270RON 1,854,181RON 2,759,560RON 3,926,947RON 13,772,348RON 10,364,721RON 13,006,414RON 23,208,186RON 22,531,026RON 12,511,676RON 34,872,461RON 44,768,828RON 20,841,577RON 3,372,984RON 0
Net profitRON 2,991RON 44,746RON 20,917RON 25,375RON 2,941,421RON 259,113RON 644,365RON 2,138,332RON 852,792RON 517,547RON 2,466,744RON 2,090,871RON 564,466-RON 2,639,827-RON 445,976
Total assetsRON 635,441RON 1,334,975RON 1,561,999RON 2,368,234RON 4,761,492RON 13,238,213RON 13,270,862RON 15,208,845RON 10,995,901RON 9,686,511RON 11,449,729RON 11,317,907RON 8,654,409RON 6,473,406RON 6,178,243
Fixed assetsRON 158,164RON 341,040RON 455,731RON 405,589RON 1,147,343RON 1,087,915RON 862,433RON 1,550,579RON 1,868,404RON 2,298,552RON 3,017,323RON 2,907,796RON 1,804,809RON 1,379,225RON 1,073,485
Current assetsRON 477,277RON 993,935RON 1,106,268RON 1,962,645RON 3,614,149RON 12,150,298RON 12,408,429RON 13,658,266RON 9,127,497RON 7,387,959RON 8,432,406RON 8,410,111RON 6,849,600RON 5,094,181RON 5,104,758
EquityRON 7,991RON 52,737RON 73,655RON 99,029RON 3,040,451RON 832,864RON 268,787RON 2,143,332RON 4,595,566RON 2,890,470RON 3,369,614RON 2,505,269RON 978,939-RON 2,226,247-RON 2,672,223
Total debtsRON 627,450RON 1,282,238RON 1,488,344RON 2,269,205RON 1,721,041RON 12,405,349RON 13,002,075RON 13,065,513RON 6,400,335RON 6,796,041RON 8,080,115RON 8,812,638RON 7,682,013RON 8,691,459RON 8,850,466
Average employees391615151621212019283427141