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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

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  • Brivio AI

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  • For freelancers & sole traders
  • For small businesses & SRLs
  • For accountants & firms
  • 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?
  • Rent and dividend tax
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Brivio

© 2026 Brivio. All rights reserved.

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)

RC

RADMAR CONSTRUCT SERVMONTAJ SRL

Sat Arceşti Cot Com. Pleşoiu, Olt
funcțiune VAT payer e-FacturaUnclaimed profile
CUI
23349833
Reg. no.
J28/220/2008
Founded
Feb 22, 2008
Legal form
SOCIETATE COMERCIALĂ CU RĂSPUNDERE LIMITATĂ
CAEN code
4322

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Turnover

4.8M RON

2025

Net profit

839.8K RON

2025

Employees

16

2025

Founded

2008

About the company

This company hasn't added a description yet.

CAEN activity
4322
Legal form
SOCIETATE COMERCIALĂ CU RĂSPUNDERE LIMITATĂ
Fiscal authority
Administraţia Judeţeană a Finanţelor Publice Olt

Tax status

Financial evolution

Source: ANAF / Ministry of Finance public data

Financial analysis

Industry comparison

Reviews & rating

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Public procurement awards

Awards on record

1

Total awarded

RON 59,985

Contracting authorities

1

Awards published between Jun 8, 2021 and Jun 8, 2021.

DA28148156/DA28148156SEAP
Matched by CUI

Pompa

Contracting authority
UNIVERSITATEA POLITEHNICA TIMISOARA
Award value:
RON 59,985
Published:
Jun 8, 2021

Sources: TED (Tenders Electronic Daily) and SEAP/SICAP via data.gov.ro. Award notices are public records.

History

  1. VAT numberAug 11, 2026
    (empty)→RO23349833
  2. CityAug 11, 2026
    Sat Arceşti Cot, Comuna Pleşoiu→Sat Arceşti Cot Com. Pleşoiu
  3. AddressAug 11, 2026
    Str. GĂRII, Nr. 62, CP 237337→Str. Gării, nr. 62
  4. VAT payerAug 11, 2026
    false→true
  5. e-FacturaAug 11, 2026
    false→true
  6. Legal formAug 11, 2026
    SRL→SOCIETATE COMERCIALĂ CU RĂSPUNDERE LIMITATĂ
  7. Organization formAug 11, 2026
    (empty)→PERSOANA JURIDICA
  8. Ownership formAug 11, 2026
    (empty)→PROPR.PRIVATA-CAPITAL PRIVAT AUTOHTON

Headquarters & contact

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Address
Str. Gării, nr. 62, Sat Arceşti Cot Com. Pleşoiu, Olt, Romania
Phone
0747886625
Postal code
237337
Registration date
2008-02-22

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/23349833

Frequently asked questions

The unique registration code (CUI) of RADMAR CONSTRUCT SERVMONTAJ SRL is 23349833, and its VAT number is RO23349833.

RADMAR CONSTRUCT SERVMONTAJ SRL is registered with the Trade Registry under number J28/220/2008, since 2008-02-22.

RADMAR CONSTRUCT SERVMONTAJ SRL is headquartered at Str. Gării, nr. 62, Sat Arceşti Cot Com. Pleşoiu, Olt, Romania.

The main activity is CAEN 4322 — activity not specified.

Yes, RADMAR CONSTRUCT SERVMONTAJ SRL has been registered for VAT purposes since 2016-03-28.

Yes, according to ANAF public data, RADMAR CONSTRUCT SERVMONTAJ SRL is active.

In 2025, RADMAR CONSTRUCT SERVMONTAJ SRL reported a revenue of 4,840,988 RON with 16 employees.

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Comparison of similar companies
CompanyCityCountyActivity
CLIMA PRO SRLMunicipiul SlatinaOltLucrări de instalații sanitare, de încălzire și de aer condiționat
SOFCO INSTAL S.R.L.Municipiul CaracalOltLucrări de instalații sanitare, de încălzire și de aer condiționat
INSTAL-GRUP SRLMun. SlatinaOlt—
INSTALATII STIL SRLMunicipiul SlatinaOltLucrări de instalații sanitare, de încălzire și de aer condiționat
FLORINSTAL NEW10 SRLMunicipiul SlatinaOltLucrări de instalații sanitare, de încălzire și de aer condiționat
KALORIT SRLMun. SlatinaOlt—
2 STICLEA INSTAL SRLSat Gropşani Com. VulpeniOlt—
TOP GAZ DISTRICT OLTENIA SRLMunicipiul SlatinaOltLucrări de instalații sanitare, de încălzire și de aer condiționat

Contact

0747886625

Str. Gării, nr. 62 · Sat Arceşti Cot Com. Pleşoiu, Olt

Financials

Year 2025

Revenue
4,840,988 RON−65%
Net profit
839,785 RON−61%
Employees
16
See all years

Registry details

VAT registered since
Mar 28, 2016
e-Factura since
Feb 1, 2024
Organisation form
PERSOANA JURIDICA
Ownership form
PROPR.PRIVATA-CAPITAL PRIVAT AUTOHTON
Tax authority
Administraţia Judeţeană a Finanţelor Publice Olt

Last verified Aug 11, 2026

Explore

  • Companies in Olt
  • Companies in Arcești Cot
  • Companies with CAEN 4322
  • VAT registeredsince 28.03.2016
  • Registered in RO e-Facturasince 01.02.2024

Source: ANAF. Last verified: 2026-08-11.

  • Turnover fell by 65% in 2025

Turnover

RON 4,840,988

-64.9%

Net profit

RON 839,785

-60.7%

Equity

RON 3,532,587

10.3%

Average employees

16

-15.8%

Projected turnover for 2026 (linear regression over reported years): RON 8,261,993

81out of 100Low risk — class A

How this was calculated

  • LiquidityExcellent25/25
  • CapitalisationExcellent25/25
  • ProfitabilityExcellent25/25
  • TrendDeclining6/25

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

Financial ratios 2025

Current ratio
5.11

target ≥ 1

Quick ratio
5.11

target ≥ 0.8

Debt to assets
17.5%

target ≤ 80%

Net margin
17.3%
Gross margin
—
Return on assets (ROA)
19.4%
Turnover per employee
RON 302,562
Days sales outstanding
—

Financial statements by year

Indicator200920102011201220132014201520162017201820192020

Compared with 345 companies in Olt county in the same line of business (NACE 43), for 2025.

  • TurnoverRON 4,840,988
    P25 RON 48,780Median RON 225,000P75 RON 704,649

    Above 95% of comparable companies

  • Net profitRON 839,785
    P25 -RON 83Median RON 21,956P75 RON 125,668

    Above 95% of comparable companies

  • Employees16
    P25 1Median 2P75 4

    Above 96% of comparable companies

  • Turnover per employeeRON 302,562
    P25 RON 96,378Median RON 182,175P75 RON 296,278

    Above 77% 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
TurnoverRON 20,550RON 14,307RON 1,929RON 0RON 0RON 0RON 160,755RON 732,652RON 721,661RON 2,027,896RON 2,717,248RON 5,618,335RON 7,273,010RON 4,366,602RON 6,076,223RON 13,784,884RON 4,840,988
Net profitRON 2,218RON 10,072-RON 8,122-RON 8,572-RON 234-RON 682RON 15,825RON 163,069RON 93,942RON 335,762RON 356,245RON 375,908RON 1,273,578RON 143,114RON 866,444RON 2,138,947RON 839,785
Total assetsRON 10,308RON 20,510RON 12,894RON 5,909RON 5,999RON 2,539RON 92,389RON 397,930RON 453,104RON 598,775RON 1,296,821RON 3,054,304RON 3,091,919RON 2,298,294RON 3,246,370RON 3,716,792RON 4,319,577
Fixed assetsRON 4,076RON 2,387RON 2,001RON 2,035RON 2,035RON 2,035RON 10,073RON 38,632RON 55,587RON 92,086RON 518,751RON 1,114,496RON 1,032,685RON 1,064,390RON 1,482,286RON 539,978RON 455,918
Current assetsRON 6,232RON 18,123RON 10,893RON 3,874RON 3,964RON 504RON 82,316RON 359,298RON 397,517RON 506,689RON 778,070RON 1,939,808RON 2,059,234RON 1,233,904RON 1,764,084RON 3,176,814RON 3,863,659
EquityRON 4,258RON 14,330RON 6,208-RON 2,364-RON 2,597-RON 3,279RON 12,545RON 175,614RON 269,556RON 429,944RON 526,296RON 602,204RON 1,525,782RON 768,896RON 1,405,340RON 3,201,674RON 3,532,587
Total debtsRON 6,050RON 6,180RON 6,686RON 8,273RON 8,596RON 5,818RON 79,844RON 222,316RON 183,548RON 168,831RON 770,525RON 2,452,100RON 1,566,137RON 1,480,586RON 1,792,218RON 484,482RON 756,354
Average employees——111—510152025322826241916

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