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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)

HP

HAR PAPI SRL

Loc. Cehu Silvaniei, Oraş Cehu Silvaniei, Sălaj
funcțiuneUnclaimed profile
CUI
23326937
Reg. no.
J31/165/2008
Founded
20/02/2008
Legal form
SRL
CAEN code
0141

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Turnover

2.2M RON

2025

Net profit

259K RON

2025

Employees

1

2025

About the company

This company hasn't added a description yet.

CAEN activity
0141 — Creșterea bovinelor de lapte
Legal form
SRL

Tax status

Financial evolution

Source: ANAF / Ministry of Finance public data

Financial analysis

Industry comparison

Associates & administrators

administrator(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. 20/02/2008

    Company founded

  2. 2008-02-22

    Registered for VAT

Headquarters & contact

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Address
Str. ULCIUG, Nr. 214, Sector 0, Loc. Cehu Silvaniei, Oraş Cehu Silvaniei, Sălaj, Romania
Phone
0721334613
Postal code
455104
Registration date
20/02/2008

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/23326937

Frequently asked questions

The unique registration code (CUI) of HAR PAPI SRL is 23326937.

HAR PAPI SRL is registered with the Trade Registry under number J31/165/2008, since 20/02/2008.

HAR PAPI SRL is headquartered at Str. ULCIUG, Nr. 214, Sector 0, Loc. Cehu Silvaniei, Oraş Cehu Silvaniei, Sălaj, Romania.

The main activity is CAEN 0141 — Creșterea bovinelor de lapte.

No, HAR PAPI SRL is not currently registered for VAT purposes.

Yes, according to ANAF public data, HAR PAPI SRL is active.

In 2025, HAR PAPI SRL reported a revenue of 2,227,950 RON with 1 employees.

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CARINA ARVERTISING S.R.L.
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POP-MARE VET SRL
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VEGFERO-FARM SRL
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Comparison of similar companies
CompanyCityCountyActivity
CARINA ARVERTISING S.R.L.Loc. Şimleu Silvaniei, Oraş Şimleu SilvanieiSălajCreșterea bovinelor de lapte
POP-MARE VET SRLLoc. Jibou, Oraş JibouSălajCreșterea bovinelor de lapte
BUGI ZORAN S.R.L.Sat Bilghez, Comuna NuşfalăuSălajCreșterea bovinelor de lapte
VEGFERO-FARM SRLSat Someş-Odorhei, Comuna Someş-OdorheiSălajCreșterea bovinelor de lapte
FERMA DIN SAT SRLSat Treznea, Comuna TrezneaSălajCreșterea bovinelor de lapte
ALISAMILK AGRO S.R.L.Municipiul ZalăuSălajCreșterea bovinelor de lapte
LAPTE DE MOIGRAD SRLSat Moigrad-Porolissum, Comuna MirşidSălajCreșterea bovinelor de lapte
HIR AGRO S.R.L.Loc. Cehu Silvaniei, Oraş Cehu SilvanieiSălajCreșterea bovinelor de lapte

Contact

0721334613

Str. ULCIUG, Nr. 214, Sector 0 · Loc. Cehu Silvaniei, Oraş Cehu Silvaniei, Sălaj

Financials

Year 2025

Revenue
2,227,950 RON+121%
Net profit
258,953 RON>+999%
Employees
1
See all years

Registry details

VAT registered since
Feb 22, 2008

Last verified Jul 26, 2026

Explore

  • Companies in Sălaj
  • Companies in Cehu Silvaniei
  • Same activity: Creșterea bovinelor de lapte
  • Not VAT registered

Source: ANAF. Last verified: 2026-07-26.

  • Current ratio below 1 (0.29) — current assets do not cover debts

Turnover

RON 2,227,950

121.0%

Net profit

RON 258,953

1,783.0%

Equity

RON 3,153,239

8.9%

Average employees

1

-66.7%

Projected turnover for 2026 (linear regression over reported years): RON 1,338,699

71out of 100Medium risk — class B

How this was calculated

  • LiquidityCritical2/25
  • CapitalisationGood19/25
  • ProfitabilityExcellent25/25
  • TrendImproving25/25

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

Financial ratios 2025

Current ratio
0.29

target ≥ 1

Quick ratio
0.29

target ≥ 0.8

Debt to assets
51.7%

target ≤ 80%

Net margin
11.6%
Gross margin
—
Return on assets (ROA)
4%
Turnover per employee
RON 2,227,950
Days sales outstanding
—

Financial statements by year

Indicator200920102011201220132014201520162017201820192020

Compared with 182 companies in Sălaj county in the same line of business (NACE 01), for 2025.

  • TurnoverRON 2,227,950
    P25 RON 65,437Median RON 279,481P75 RON 1,797,353

    Above 80% of comparable companies

  • Net profitRON 258,953
    P25 -RON 2,100Median RON 9,688P75 RON 69,937

    Above 93% of comparable companies

  • Employees1
    P25 1Median 2P75 5

    Above 41% of comparable companies

  • Turnover per employeeRON 2,227,950
    P25 RON 115,984Median RON 322,823P75 RON 610,570

    Above 98% 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.

2021
2022
2023
2024
2025
Turnover——RON 17,218RON 10,067RON 31,762RON 69,105RON 35,549RON 13,827RON 44,245RON 138,213RON 223,867RON 443,734RON 617,765RON 598,327RON 1,071,988RON 1,008,063RON 2,227,950
Net profit—-RON 14,897-RON 21,357-RON 16,525RON 1,252RON 14,708RON 4,441RON 12,876RON 194,035RON 2,297RON 4,655RON 68,582RON 26,442-RON 336,543RON 2,241,501RON 13,752RON 258,953
Total assetsRON 34,348RON 32,949RON 36,199RON 72,534RON 89,734RON 79,878RON 87,322RON 91,474RON 324,949RON 314,288RON 429,029RON 700,234RON 1,332,006RON 1,493,398RON 7,894,749RON 7,840,427RON 6,524,484
Fixed assetsRON 25,580RON 16,274RON 9,878RON 40,104RON 46,258RON 42,913RON 42,832RON 50,196RON 190,954RON 277,473RON 308,300RON 476,435RON 803,989RON 862,593RON 5,262,491RON 5,298,651RON 5,559,362
Current assetsRON 8,768RON 16,675RON 26,321RON 32,430RON 43,476RON 36,965RON 44,490RON 41,278RON 133,995RON 36,815RON 120,729RON 223,799RON 528,017RON 630,805RON 2,632,258RON 2,541,776RON 965,122
Equity-RON 9,169-RON 24,066-RON 45,373-RON 61,898-RON 60,646-RON 45,938-RON 41,498-RON 28,622RON 166,413RON 168,710RON 173,366RON 241,948RON 268,390-RON 50,152RON 2,881,349RON 2,894,286RON 3,153,239
Total debtsRON 59,680RON 86,707RON 112,673RON 165,533RON 181,481RON 156,917RON 159,921RON 141,096RON 179,536RON 172,578RON 282,663RON 485,286RON 1,090,616RON 1,570,550RON 3,375,058RON 3,812,963RON 3,371,245
Average employees—————————22223331

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