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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

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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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Brivio

The complete platform for managing your business. Projects, invoices, contracts and documents in one place.

ANAF e-FacturaeIDASGDPREU hosting

Product

  • Features
  • Pricing
  • Integrations
  • Apps
  • Changelog
  • Brivio AI

Solutions

  • 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

Free tools

  • VAT calculator
  • Salary calculator
  • PFA tax calculator
  • PFA, SRL or micro?
  • Invoice template
  • VAT number check
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  • CIF validator
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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)

C

COMODISTAR SRL

Sat Petreştii de Jos Com. Petreştii de Jos, Cluj
întrerupere temporară de activitateUnclaimed profile
CUI
31643979
Reg. no.
J12/1577/2013
Founded
May 15, 2013
Legal form
SOCIETATE COMERCIALĂ CU RĂSPUNDERE LIMITATĂ
CAEN code
4759

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Turnover

20.7K RON

2024

Net profit

-10.1K RON

2024

Employees

0

2024

Founded

2013

About the company

This company hasn't added a description yet.

CAEN activity
4759
Legal form
SOCIETATE COMERCIALĂ CU RĂSPUNDERE LIMITATĂ
Fiscal authority
Unitatea Fiscală Municipală Turda

Tax status

Financial evolution

Source: ANAF / Ministry of Finance public data

Financial analysis

Industry comparison

Reviews & rating

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History

  1. VAT numberJul 31, 2026
    (empty)→RO31643979
  2. CityJul 31, 2026
    Sat Petreştii de Jos, Comuna Petreştii de Jos→Sat Petreştii de Jos Com. Petreştii de Jos
  3. AddressJul 31, 2026
    Str. PETREŞTII DE JOS, Nr. 227, CP 407455→G PETREŞTII DE JOS, nr. 227
  4. Activity statusJul 31, 2026
    true→false
  5. Legal formJul 31, 2026
    SRL→SOCIETATE COMERCIALĂ CU RĂSPUNDERE LIMITATĂ
  6. Organization formJul 31, 2026
    (empty)→PERSOANA JURIDICA
  7. Ownership formJul 31, 2026
    (empty)→PROPR.PRIVATA-CAPITAL PRIVAT AUTOHTON
  8. Registration dateJul 31, 2026
    15/05/2013→2013-05-15

Headquarters & contact

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Address
G PETREŞTII DE JOS, nr. 227, Sat Petreştii de Jos Com. Petreştii de Jos, Cluj, Romania
Phone
0752108785
Postal code
407455
Registration date
2013-05-15

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/31643979

Frequently asked questions

The unique registration code (CUI) of COMODISTAR SRL is 31643979, and its VAT number is RO31643979.

COMODISTAR SRL is registered with the Trade Registry under number J12/1577/2013, since 2013-05-15.

COMODISTAR SRL is headquartered at G PETREŞTII DE JOS, nr. 227, Sat Petreştii de Jos Com. Petreştii de Jos, Cluj, Romania.

The main activity is CAEN 4759 — activity not specified.

No, COMODISTAR SRL is not currently registered for VAT purposes.

According to ANAF public data, COMODISTAR SRL is not currently active.

In 2024, COMODISTAR SRL reported a revenue of 20,714 RON.

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Comparison of similar companies
CompanyCityCountyActivity
SMP RETAIL S.R.L.Municipiul Cluj-NapocaClujComerț cu amănuntul al mobilei, al articolelor de iluminat și al articolelor de uz casnic n.c.a., în magazine specializate
DCR RALU & CIPRI S.R.L.Mun. Cluj-NapocaCluj—
AL GLOBAL IMAGE SRLMun. Cluj-NapocaCluj—
ESCALIS PROD SRLSat Muntele Bocului Com. BăişoaraCluj—
TERRA PYM MAGAZIN SRLMun. Cluj-NapocaCluj—
LA PIAȚĂ S.R.L.Sat Sava, Comuna PalatcaClujComerț cu amănuntul al mobilei, al articolelor de iluminat și al articolelor de uz casnic n.c.a., în magazine specializate
ARTMEN DESFACERE DIFERITE PRODUSE SRLMunicipiul TurdaClujComerț cu amănuntul al mobilei, al articolelor de iluminat și al articolelor de uz casnic n.c.a., în magazine specializate
PAUL DI STEFANO COMPLEX COMERCIAL SRLComuna ApahidaClujComerț cu amănuntul al mobilei, al articolelor de iluminat și al articolelor de uz casnic n.c.a., în magazine specializate

Contact

0752108785

G PETREŞTII DE JOS, nr. 227 · Sat Petreştii de Jos Com. Petreştii de Jos, Cluj

Financials

Year 2024

Revenue
20,714 RON−79%
Net profit
-10,121 RON+82%
Employees
0
See all years

Registry details

VAT registered since
Jun 14, 2013
Organisation form
PERSOANA JURIDICA
Ownership form
PROPR.PRIVATA-CAPITAL PRIVAT AUTOHTON
Tax authority
Unitatea Fiscală Municipală Turda

Last verified Aug 27, 2026

Explore

  • Companies in Cluj
  • Companies in Petreștii de Jos
  • Companies with CAEN 4759
  • Not VAT registered

Source: ANAF. Last verified: 2026-08-26.

  • Net loss in 2024
  • Negative equity in 2024 — liabilities exceed assets
  • Turnover fell by 79% in 2024
  • High leverage: debts are 342% of total assets
  • Current ratio below 1 (0.29) — current assets do not cover debts
  • The most recent financial statement filed is for 2024

Turnover

RON 20,714

-78.8%

Net profit

-RON 10,121

81.7%

Equity

-RON 333,454

-3.1%

Average employees

0

Projected turnover for 2025 (linear regression over reported years): RON 75,760

18out of 100Critical risk — class D

How this was calculated

  • LiquidityCritical2/25
  • 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 2024

Current ratio
0.29

target ≥ 1

Quick ratio
0.29

target ≥ 0.8

Debt to assets
342.1%

target ≤ 80%

Net margin
-48.9%
Gross margin
—
Return on assets (ROA)
-7.3%
Turnover per employee
—
Days sales outstanding
—

Financial statements by year

Indicator201320142015201620172018201920202021202220232024

Compared with 4113 companies in Cluj county in the same line of business (NACE 47), for 2024.

  • TurnoverRON 20,714
    P25 RON 49,002Median RON 229,270P75 RON 849,338

    Above 18% of comparable companies

  • Net profit-RON 10,121
    P25 -RON 8,201Median RON 5,223P75 RON 55,471

    Above 24% of comparable companies

  • Employees0
    P25 1Median 1P75 3

    Above 13% of comparable companies

  • Turnover per employee—
    P25 RON 126,586Median RON 262,847P75 RON 525,404

    Above 0% 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.

TurnoverRON 55,484RON 114,283RON 126,150RON 219,970RON 267,791RON 246,879RON 147,189RON 84,882RON 81,036RON 68,242RON 97,891RON 20,714
Net profit-RON 9,746-RON 24,524-RON 25,350-RON 49,423-RON 37,063-RON 8,826-RON 46,294-RON 50,509-RON 4,042-RON 12,414-RON 55,340-RON 10,121
Total assetsRON 38,248RON 37,048RON 35,125RON 43,459RON 72,279RON 118,975RON 136,820RON 188,962RON 214,316RON 226,342RON 147,894RON 137,747
Fixed assets—RON 1,545RON 1,133RON 8,633RON 9,469RON 24,080RON 16,818RON 9,556RON 3,658RON 2,637RON 1,617RON 0
Current assetsRON 38,248RON 35,503RON 33,992RON 34,826RON 62,810RON 94,895RON 120,002RON 179,406RON 210,658RON 223,705RON 146,277RON 137,747
Equity-RON 9,546-RON 34,070-RON 59,420-RON 108,843-RON 145,906-RON 154,732-RON 201,027-RON 251,536-RON 255,579-RON 267,993-RON 323,333-RON 333,454
Total debtsRON 47,794RON 71,118RON 94,545RON 152,302RON 218,185RON 273,707RON 337,847RON 440,498RON 469,895RON 494,335RON 471,227RON 471,201
Average employees222332220100

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