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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
  • Pricing
Sign InGet Started
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?
  • Rent and dividend tax
  • Invoice template
  • VAT number check
  • e-Factura validator
  • IBAN validator
  • CIF validator
  • BNR rate today
  • Company directory
  • Company rankings
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  • Brand
  • For accounting firms

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  • Cookies
  • GDPR
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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)

BT

BORUSAN TUBE PRODUCTS S.A.

Sat Ariceştii Rahtivani Com. Ariceştii Rahtivani, Prahova
funcțiune VAT payerUnclaimed profile
CUI
44426734
Reg. no.
J2021001473295
Founded
Jun 11, 2021
Legal form
SOCIETATE COMERCIALĂ PE ACŢIUNI
CAEN code
2932

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Turnover

43.6M RON

2025

Net profit

-17.8M RON

2025

Employees

51

2025

Founded

2021

Distinctions

Top #19 Prahova — growth 2025

About the company

This company hasn't added a description yet.

CAEN activity
2932
Legal form
SOCIETATE COMERCIALĂ PE ACŢIUNI
Fiscal authority
Unitatea Fiscală Orăşenească Boldeşti Scăeni

Tax status

Financial evolution

Source: ANAF / Ministry of Finance public data

Financial analysis

Industry comparison

Reviews & rating

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History

  1. VAT numberAug 4, 2026
    (empty)→RO44426734
  2. CityAug 4, 2026
    Sat Ariceştii Rahtivani, Comuna Ariceştii Rahtivani→Sat Ariceştii Rahtivani Com. Ariceştii Rahtivani
  3. AddressAug 4, 2026
    Str. MILANO, Nr. 5, CP 107025→Int MILANO, nr. 5
  4. VAT payerAug 4, 2026
    false→true
  5. Legal formAug 4, 2026
    SA→SOCIETATE COMERCIALĂ PE ACŢIUNI
  6. Organization formAug 4, 2026
    (empty)→PERSOANA JURIDICA
  7. Ownership formAug 4, 2026
    (empty)→PROPR.PRIVATA-CAPITAL PRIVAT STRAIN
  8. Registration dateAug 4, 2026
    11/06/2021→2021-06-11

Headquarters & contact

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Address
Int MILANO, nr. 5, Sat Ariceştii Rahtivani Com. Ariceştii Rahtivani, Prahova, Romania
Postal code
107025
Registration date
2021-06-11

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/44426734

Frequently asked questions

The unique registration code (CUI) of BORUSAN TUBE PRODUCTS S.A. is 44426734, and its VAT number is RO44426734.

BORUSAN TUBE PRODUCTS S.A. is registered with the Trade Registry under number J2021001473295, since 2021-06-11.

BORUSAN TUBE PRODUCTS S.A. is headquartered at Int MILANO, nr. 5, Sat Ariceştii Rahtivani Com. Ariceştii Rahtivani, Prahova, Romania.

The main activity is CAEN 2932 — activity not specified.

Yes, BORUSAN TUBE PRODUCTS S.A. has been registered for VAT purposes since 2021-07-01.

Yes, according to ANAF public data, BORUSAN TUBE PRODUCTS S.A. is active.

In 2025, BORUSAN TUBE PRODUCTS S.A. reported a revenue of 43,604,985 RON with 51 employees.

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FLEXITECH RO SRL
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Comparison of similar companies
CompanyCityCountyActivity
MEFIN SA SINAIAOrş. SinaiaPrahova—
MARELLI PLOIESTI ROMANIA S.R.L.Municipiul PloieştiPrahovaFabricarea altor piese și accesorii pentru autovehicule și pentru motoare de autovehicule
FLEXITECH RO SRLSat Ariceştii Rahtivani, Comuna Ariceştii RahtivaniPrahovaFabricarea altor piese și accesorii pentru autovehicule și pentru motoare de autovehicule
ZHANGSHI MACHINERY (ROMANIA) S.R.L.Oraş BreazaPrahovaFabricarea altor piese și accesorii pentru autovehicule și pentru motoare de autovehicule
C.E.A. CABLAGGI ELECTTRICI ASSEMBLATI SRLSat Filipeştii de Târg Com. Filipeştii de TârgPrahova—
MAGMA DIESEL SRLOrş. BreazaPrahova—
MS CH FINAL SRLOrş. SinaiaPrahova—
GIDARO PRODEX SRLSat Vâlcăneşti, Comuna VâlcăneştiPrahovaFabricarea altor piese și accesorii pentru autovehicule și pentru motoare de autovehicule

Contact

Int MILANO, nr. 5 · Sat Ariceştii Rahtivani Com. Ariceştii Rahtivani, Prahova

Financials

Year 2025

Revenue
43,604,985 RON>+999%
Net profit
-17,770,503 RON−34%
Employees
51
See all years

Registry details

VAT registered since
Jul 1, 2021
Organisation form
PERSOANA JURIDICA
Ownership form
PROPR.PRIVATA-CAPITAL PRIVAT STRAIN
Tax authority
Unitatea Fiscală Orăşenească Boldeşti Scăeni

Last verified Aug 4, 2026

Explore

  • Companies in Prahova
  • Companies in Ariceștii Rahtivani
  • Companies with CAEN 2932
  • VAT registeredsince 01.07.2021

Source: ANAF. Last verified: 2026-08-04.

  • Net loss in 2025
  • Negative equity in 2025 — liabilities exceed assets
  • High leverage: debts are 85% of total assets
  • Current ratio below 1 (0.41) — current assets do not cover debts

Turnover

RON 43,604,985

1,353.6%

Net profit

-RON 17,770,503

-34.2%

Equity

-RON 6,584,139

28.4%

Average employees

51

96.2%

Projected turnover for 2026 (linear regression over reported years): RON 36,383,882

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 2025

Current ratio
0.41

target ≥ 1

Quick ratio
0.41

target ≥ 0.8

Debt to assets
84.6%

target ≤ 80%

Net margin
-40.8%
Gross margin
—
Return on assets (ROA)
-13.8%
Turnover per employee
RON 855,000
Days sales outstanding
—

Financial statements by year

Indicator20212022202320242025
TurnoverRON 0RON 0RON 0RON 2,999,787RON 43,604,985
Net profit

Compared with 18 companies in Prahova county in the same line of business (NACE 29), for 2025.

  • TurnoverRON 43,604,985
    P25 RON 92,188Median RON 610,570P75 RON 39,575,123

    Above 78% of comparable companies

  • Net profit-RON 17,770,503
    P25 -RON 16,132Median RON 14,840P75 RON 365,506

    Above 11% of comparable companies

  • Employees51
    P25 1Median 46P75 121

    Above 62% of comparable companies

  • Turnover per employeeRON 855,000
    P25 RON 178,905Median RON 346,522P75 RON 775,202

    Above 83% 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.

-RON 296,618
-RON 2,201,909
-RON 611,557
-RON 13,238,724
-RON 17,770,503
Total assetsRON 6,377,802RON 36,709,773RON 75,375,688RON 98,794,189RON 128,584,833
Fixed assetsRON 396,664RON 8,124,942RON 62,674,310RON 86,036,863RON 84,283,144
Current assetsRON 5,981,138RON 28,584,831RON 12,701,378RON 12,757,326RON 44,301,689
EquityRON 6,375,232RON 4,173,323RON 4,038,973-RON 9,199,752-RON 6,584,139
Total debtsRON 2,570RON 32,536,450RON 71,309,227RON 103,506,111RON 108,764,815
Average employees0062651

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