PRO COFFEE TEA IMPORT CO S.R.L.
- TEAMOBIL TEAM SRLdocumentat 2018 – 2024
- J12/3293/2015CLUJdin 30.10.2015
- J2020000640299PRAHOVAdin 28.04.2020in vigoare
ONRC · 08.07.2026
ANAF · 19.08.2026
ANAF · 19.08.2026
ANAF · 30.06.2026
conform SEAP · 01.09.2026
Vecinii nu se pot numara: nu am putut lega adresa de o cheie din registru.
Le-am cautat dupa strada si numar, nu dupa cheia registrului — o potrivire mai slaba decat a celorlalte randuri. Registrul scrie aceasta adresa in 3 feluri, deci firmele stau pe tot atatea chei:
Afisate primele 50. Sunt firmele care au sediul social aici azi, nu cele care erau aici cand era si firma asta.
Vecinii nu se pot numara: adresa publicata nu ajunge pana la numar, deci cheia ar aduna toata strada.
Firmele sunt cele care au sediul social azi la aceeasi adresa, dupa cheia de adresa a registrului — sau, unde cheia nu leaga nimic, dupa strada si numar, si randul o spune. O adresa comuna nu inseamna neaparat o legatura reala: intr-o cladire de birouri stau zeci de firme fara nimic intre ele. Informativ, nu dovada.
| Nume | Cotă Capital |
|---|---|
| firmă | 100% |
| persoanăadministrator | — |
| 1 deținător în act | 100% |
Sumarul provine din actele publicate în Monitorul Oficial partea a IV-a și reflectă starea de la data fiecărui act. Informativ, nu dovadă.
Sursa: portalul instantelor de judecata (portal.just.ro / ECRIS), indexat periodic. Legatura dosar–firma se calculeaza la indexare, potrivind exact denumirile cunoscute ale firmei (inclusiv cele anterioare) cu numele partilor; cand denumirea e purtata de mai multe firme, dosarul apare doar ca potrivire probabila.
Cine mai are sediul social la aceste adrese se vede in Conexiuni cu alte firme, in tabul „Adrese".
| An | Cifra de afaceri | Profit / Pierdere | Datorii totale | Active fixe | Active circulante | Capitaluri proprii | Nr. salariati |
|---|---|---|---|---|---|---|---|
| 2025 | 2.984.694 RON | 40.258 RON | 4.633.915 RON | 2.984.248 RON | 2.140.116 RON | 490.449 RON | 1 |
| 2024 | 2.838.759 RON | 36.607 RON | 3.769.447 RON | 2.135.696 RON | 2.083.733 RON | 449.982 RON | 1 |
| 2023 | 2.713.796 RON | 59.128 RON | 1.557.927 RON | 16.835 RON | 1.954.467 RON | 413.375 RON | 1 |
| 2022 | 2.556.323 RON | 182.732 RON | 1.051.579 RON | 26.469 RON | 1.390.707 RON | 354.247 RON | 1 |
| 2021 | 2.107.799 RON | 152.651 RON | 831.079 RON | 38.210 RON | 1.189.332 RON | 385.113 RON | 1 |
| 2020 | 1.378.842 RON | -314.129 RON | 742.448 RON | 62.914 RON | 922.772 RON | 232.462 RON | 3 |
| 2019 | 2.837.816 RON | 252.900 RON | 914.170 RON | 83.113 RON | 1.377.647 RON | 546.590 RON | 12 |
| 2018 | 2.778.970 RON | 170.794 RON | 810.822 RON | 19.403 RON | 1.387.430 RON | 596.011 RON | 13 |
| 2017 | 2.723.182 RON | 156.898 RON | 1.014.054 RON | 17.034 RON | 1.422.237 RON | 425.217 RON | 10 |
| 2016 | 2.642.066 RON | 269.387 RON | 984.113 RON | 25.171 RON | 1.227.260 RON | 268.318 RON | 10 |
| 2015 | 0 RON | -1.269 RON | 2.072 RON | — | 1.003 RON | -1.069 RON | 1 |
| Indicator | 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 |
|---|---|---|---|---|---|---|---|---|---|---|---|
| Cifra de afaceri | 2.984.694 RON | 2.838.759 RON | 2.713.796 RON | 2.556.323 RON | 2.107.799 RON | 1.378.842 RON | 2.837.816 RON | 2.778.970 RON | 2.723.182 RON | 2.642.066 RON | 0 RON |
| Venituri totale | 3.639.518 RON | 2.839.006 RON | 2.726.381 RON | 2.574.923 RON | 2.111.641 RON | 1.409.036 RON | 2.889.701 RON | 2.791.723 RON | 2.726.047 RON | 2.667.464 RON | 0 RON |
| Cheltuieli totale | 3.591.539 RON | 2.795.426 RON | 2.643.261 RON | 2.366.427 RON | 1.939.973 RON | 1.709.997 RON | 2.603.566 RON | 2.592.717 RON | 2.538.834 RON | 2.374.064 RON | 1.269 RON |
| Profit brut | 47.979 RON | 43.580 RON | 83.120 RON | 208.496 RON | 171.668 RON | 0 RON | 286.135 RON | 199.006 RON | 187.213 RON | 293.400 RON | 0 RON |
| Pierdere bruta | 0 RON | 0 RON | 0 RON | 0 RON | 0 RON | 300.961 RON | 0 RON | 0 RON | 0 RON | 0 RON | 1.269 RON |
| Profit net | 40.258 RON | 36.607 RON | 59.128 RON | 182.732 RON | 152.651 RON | 0 RON | 252.900 RON | 170.794 RON | 156.898 RON | 269.387 RON | 0 RON |
| Pierdere neta | 0 RON | 0 RON | 0 RON | 0 RON | 0 RON | 314.129 RON | 0 RON | 0 RON | 0 RON | 0 RON | 1.269 RON |
| Active fixe (imobilizate) | 2.984.248 RON | 2.135.696 RON | 16.835 RON | 26.469 RON | 38.210 RON | 62.914 RON | 83.113 RON | 19.403 RON | 17.034 RON | 25.171 RON | — |
| Active circulante | 2.140.116 RON | 2.083.733 RON | 1.954.467 RON | 1.390.707 RON | 1.189.332 RON | 922.772 RON | 1.377.647 RON | 1.387.430 RON | 1.422.237 RON | 1.227.260 RON | 1.003 RON |
| Stocuri | 351.306 RON | 490.719 RON | 182.986 RON | 119.815 RON | 144.401 RON | 167.991 RON | 535.845 RON | 321.329 RON | 678.230 RON | 411.314 RON | 164 RON |
| Creante | 1.777.235 RON | 1.593.014 RON | 1.771.321 RON | 1.270.637 RON | 1.044.767 RON | 747.051 RON | 776.341 RON | 948.589 RON | 636.229 RON | 689.928 RON | — |
| Casa si conturi la banci | 11.575 RON | — | 160 RON | 255 RON | 164 RON | 7.730 RON | 65.461 RON | 117.512 RON | 107.778 RON | 126.018 RON | 839 RON |
| Cheltuieli in avans | 0 RON | — | — | — | — | 574 RON | — | — | — | — | — |
| Datorii totale | 4.633.915 RON | 3.769.447 RON | 1.557.927 RON | 1.051.579 RON | 831.079 RON | 742.448 RON | 914.170 RON | 810.822 RON | 1.014.054 RON | 984.113 RON | 2.072 RON |
| Venituri in avans | 0 RON | — | — | 11.350 RON | 11.350 RON | 11.350 RON | — | — | — | — | — |
| Capitaluri proprii | 490.449 RON | 449.982 RON | 413.375 RON | 354.247 RON | 385.113 RON | 232.462 RON | 546.590 RON | 596.011 RON | 425.217 RON | 268.318 RON | -1.069 RON |
| Capital subscris varsat | 500 RON | 500 RON | 500 RON | 500 RON | 500 RON | 500 RON | 500 RON | 200 RON | 200 RON | 200 RON | 200 RON |
| Nr. mediu salariati | 1 | 1 | 1 | 1 | 1 | 3 | 12 | 13 | 10 | 10 | 1 |