ENERGOCOM S.A.- CHIȘINĂU - SUCURSALA OTOPENI
Nr. Reg. Com. J23/6462/2022EUID ROONRC.J23/6462/2022Infiintata 20.09.2022
Adresa:INTRAREA NARCISELOR nr. 8, Otopeni, jud. Ilfov
ONRC · 22.08.2026
ANAF · 19.08.2026
ANAF · 19.08.2026
ANAF · 30.06.2026
conform SEAP · 01.09.2026
Firmele sunt cele care au sediul social azi la aceeasi adresa, dupa cheia de adresa a registrului. 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 |
|---|---|
| persoanăadministrator | — |
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 | 1.073.083.246 RON | -7.140.001 RON | 294.505.073 RON | 69.255.328 RON | 215.740.574 RON | -9.240.417 RON | 0 |
| 2024 | 516.064.273 RON | -2.113.473 RON | 301.480.520 RON | — | 276.690.769 RON | -2.100.416 RON | 0 |
| 2023 | 309.503.992 RON | 199.497 RON | 52.108.402 RON | 0 RON | 52.026.123 RON | 7.629 RON | 0 |
| 2022 | 326.223.452 RON | -134.229 RON | 172.471.131 RON | — | 172.300.946 RON | -134.229 RON | — |
| Indicator | 2025 | 2024 | 2023 | 2022 |
|---|---|---|---|---|
| Cifra de afaceri | 1.073.083.246 RON | 516.064.273 RON | 309.503.992 RON | 326.223.452 RON |
| Venituri totale | 1.170.375.077 RON | 568.968.252 RON | 332.127.678 RON | 361.979.270 RON |
| Cheltuieli totale | 1.171.663.325 RON | 568.097.571 RON | 331.926.728 RON | 362.113.499 RON |
| Profit brut | 0 RON | 870.681 RON | 200.950 RON | 0 RON |
| Pierdere bruta | 1.288.248 RON | 0 RON | 0 RON | 134.229 RON |
| Profit net | 0 RON | 0 RON | 199.497 RON | 0 RON |
| Pierdere neta | 7.140.001 RON | 2.113.473 RON | 0 RON | 134.229 RON |
| Active fixe (imobilizate) | 69.255.328 RON | — | 0 RON | — |
| Active circulante | 215.740.574 RON | 276.690.769 RON | 52.026.123 RON | 172.300.946 RON |
| Stocuri | 780.322 RON | 4.585.366 RON | 0 RON | 57.745.360 RON |
| Creante | 95.913.674 RON | 45.790.103 RON | 3.104.694 RON | 103.094.246 RON |
| Casa si conturi la banci | 86.693.189 RON | 226.315.300 RON | 48.921.429 RON | 11.461.340 RON |
| Cheltuieli in avans | 268.754 RON | 22.689.335 RON | 89.908 RON | 35.956 RON |
| Datorii totale | 294.505.073 RON | 301.480.520 RON | 52.108.402 RON | 172.471.131 RON |
| Capitaluri proprii | -9.240.417 RON | -2.100.416 RON | 7.629 RON | -134.229 RON |