CUI · 30498730 · J31316/2012 · SĂLAJ

RCD RALACTIV SRL

CIZER, Nr. 276A
Cizer, SĂLAJ, 457075

FalimentPJ1 cases

ANAF Live Status

Synced 19d ago
Inactiv fiscalRADIERE din data 04.11.2025

Inactivat: 27 Sept 2021

VAT payerNoNe-plătitor TVA
Cash VATNo
Split VATNo
e-FacturaNo

Source: ANAF PlatitorTvaRest v9 (public API · no auth · daily sync). Covers VAT registration, cash-basis VAT, split-payment VAT, e-Factura enrollment, and fiscal inactivity.

Revenue · 2019

132.1K RON

+52%

Net Profit · 2019

107.3K RON

+55%

Employees · 2019

1

+0%

Equity · 2019

457.9K RON

+31%

Registration

Trade Register:J31316/2012
Registered:28.11.2024 8:44:16
Unit type:Sediu central

Tax Status

Non-VATIMP100IMP602

Address

Cizer

SĂLAJ

457075

Financial Health Score

100/100
Safe zoneImproving

Altman Z″ inputs · 2019

WC / TA
0.95
RE / TA
0.93
EBIT / TA
0.23
Eq / Liab
12.90
How is this calculated?

We apply the Altman Z″, a bankruptcy-prediction score published by Edward Altman for private, non-manufacturing companies. It combines four ratios — each captures a different aspect of financial health — and weights them:

Z″ = 6.56·X1 + 3.26·X2 + 6.72·X3 + 1.05·X4
  • X1 — Working Capital / Total Assets · short-term liquidity.
  • X2 — Retained Earnings / Total Assets · cumulative profitability.
  • X3 — EBIT / Total Assets · operating efficiency.
  • X4 — Equity / Total Liabilities · solvency buffer.

Thresholds (Altman, 2000): Distress < 1.1, Grey 1.1–2.6, Safe > 2.6.

The 0–100 score is a linear mapping of clamped Z″ in the [0, 5] range — a visual shorthand, not an additional metric. Hover any year on the chart to see the per-year breakdown.

Caveats: Romanian bilanț doesn't split liabilities into short/long-term, so we approximate current liabilities as 0.7·I7 (SME heuristic). EBIT is approximated with I16 (gross profit), since interest is bundled into I15.

Z″ over time

Distress < 1.1 · Caution 1.1–2.6 · Safe > 2.6

Financial Performance

14 years of reporting

All figures sourced from ANAF and Ministerul Finanțelor filings. Click any data point to explore.

2011 — 2024

Net turnover (revenue) & Net Profit

Assets × Liabilities

Balance Sheet Overview

Revenues vs expenses

Total revenues vs Total expenses

Since 2016

Avg. number of employees

Year 2019

Asset Breakdown

Raw Data

Raw Financial Data

YearNet turnover (revenue)Net profitTotal liabilitiesFixed assetsCurrent assetsShareholders' equityAvg. number of employeesInventoriesReceivablesCash & bank accountsPrepaid expensesDeferred revenueProvisionsPaid-in share capitalState patrimonyTotal revenuesTotal expensesGross profitGross lossNet loss
2019
132.074
+51.8%
107.272
+55.2%
35.492
+12.3%
493.357
+29.1%
457.865
+30.6%
1
+0.0%
6.702
-32.8%
25.338
+24.6%
461.317
+31.1%
200
+0.0%
132.074
+51.8%
20.839
+24.7%
111.235
+58.2%
0
0
2018
87.020
+442.5%
69.100
+3084.3%
31.611
-3.3%
382.204
+21.6%
350.593
+24.5%
1
+0.0%
9.980
+0.0%
20.338
+145.7%
351.886
+18.9%
200
+0.0%
87.020
+442.5%
16.710
+24.8%
70.310
+2552.2%
0
0
2017
16.040
-89.0%
2.170
-97.8%
32.696
-3.7%
314.189
+0.3%
281.493
+0.8%
1
-50.0%
9.980
+0.0%
8.278
+0.0%
295.931
+0.3%
200
+0.0%
16.040
-89.0%
13.389
-71.2%
2.651
-97.3%
0
0
2016
146.026
+22.0%
97.585
33.947
+52.3%
313.270
+53.5%
279.323
+53.7%
2
9.980
+149.3%
8.278
+1.2%
295.012
+53.8%
200
+0.0%
146.026
+374.7%
46.485
-47.8%
99.541
0
-100.0%
0
-100.0%
2015
119.739
0
22.290
-27.3%
204.028
+62.1%
181.738
+88.7%
4.003
-17.6%
8.178
-11.8%
191.847
+71.7%
200
+0.0%
117.739
30.763
-57.7%
88.976
+22.4%
0
-100.0%
85.410
+256.8%
1
-100.0%
2014
0
30.656
+25.5%
1.116
125.868
+27.1%
96.328
+29.2%
0
4.856
+59.3%
9.276
+13.4%
111.736
+27.3%
200
+0.0%
72.692
-9.8%
72.692
-9.8%
48.753
+74.2%
23.939
-54.5%
21.758
-56.6%
2013
0
24.424
+193.2%
98.994
+202.5%
74.570
+205.7%
0
3.049
8.178
-32.4%
87.767
+325.5%
200
+0.0%
80.576
+131.2%
80.576
+131.2%
27.983
+363.1%
52.593
+82.6%
50.175
+107.4%
2012
0
8.331
32.726
24.395
0
12.098
20.628
200
34.847
34.847
6.043
28.804
24.195
RCD RALACTIV SRL · CUI 30498730 | entitate