CUI · 39442440 · J234938/2020 · ILFOV
TRANSILVANIA TOWERS DEVELOPMENT S.R.L.
B-dul PIPERA, Nr. 1
Oraș Voluntari, ILFOV, 77190
ANAF Live Status
Synced 17d agoSource: ANAF PlatitorTvaRest v9 (public API · no auth · daily sync). Covers VAT registration, cash-basis VAT, split-payment VAT, e-Factura enrollment, and fiscal inactivity.
People
2 representatives- B🇷🇴Administrator
B**** G****
- B🇷🇴Administrator
B**** G****
Cifra de afaceri · 2024
N/A
Profit net · 2024
14.5M RON
Angajați · 2024
1
Capitaluri proprii · 2024
14.8M RON
Înregistrare
Stare fiscală
Adresă
Oraș Voluntari
ILFOV
77190
Financial Health Score
Altman Z″ inputs · 2024
- WC / TA
- 1.00
- RE / TA
- 1.00
- EBIT / TA
- 1.16
- Eq / Liab
- 6758.95
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
Cifra de afaceri neta & Profit net
Assets × Liabilities
Bilanț
Revenues vs expenses
Venituri totale vs Cheltuieli totale
Since 2016
Numar mediu de salariati
Year 2024
Structura activelor
Raw Data
Date financiare brute
| An | Cifra de afaceri neta | Profit net | Datorii | Active imobilizate | Active circulante | Capitaluri proprii | Numar mediu de salariati | Stocuri | Creante | Casa si conturi la banci | Cheltuieli in avans | Venituri in avans | Provizioane | Capital social subscris varsat | Patrimoniul regiei | Venituri totale | Cheltuieli totale | Profit brut | Pierdere bruta | Pierdere neta |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 2024 | — | 14.491.331 | 2.186 -100.0% | — | 14.777.247 +45441.3% | 14.775.061 +5107.4% | 1 +0.0% | — | 14.703.659 +175445.1% | 73.588 +11291.3% | — | — | — | 20.000 +0.0% | — | 36.735.099 | 19.576.822 +12663.4% | 17.158.277 | 0 -100.0% | 0 -100.0% |
| 2023 | — | 0 | 17.433.904 +1.5% | 16.234.374 -0.0% | 32.448 -52.7% | 283.730 -35.1% | 1 -50.0% | 23.426 -28.8% | 8.376 -75.6% | 646 -57.1% | 1.450.812 +10.5% | — | — | 20.000 +0.0% | — | 0 | 153.383 -43.6% | 0 | 153.383 -43.6% | 153.383 -43.6% |
| 2022 | — | 0 | 17.180.108 -44.0% | 16.235.318 -11.2% | 68.652 -99.3% | 437.112 +142.6% | 2 | 32.887 -42.8% | 34.259 -99.6% | 1.506 -99.8% | 1.313.250 +0.0% | — | — | 20.000 +0.0% | — | 0 | 271.804 -39.0% | 0 | 271.804 -39.0% | 271.804 -39.0% |
| 2020 | — | 0 | 30.692.725 +3.2% | 18.281.674 +0.0% | 10.072.702 +4.8% | -1.025.099 -76.8% | — | 57.477 +507.5% | 9.343.860 -2.5% | 671.365 +3071.5% | 1.313.250 +3.9% | — | — | 20.000 +0.0% | — | 0 | 445.252 -17.5% | 0 | 445.252 -17.5% | 445.252 -17.5% |
| 2019 | — | 0 | 29.731.560 +5.9% | 18.274.596 +13.3% | 9.613.019 -5.0% | -579.847 -1345.9% | — | 9.461 | 9.582.389 -5.3% | 21.169 +709.5% | 1.264.098 -29.3% | — | — | 20.000 +0.0% | — | 0 | 539.745 +798.0% | 0 | 539.745 +798.0% | 539.745 +798.0% |
| 2018 | — | 0 | 28.077.545 | 16.127.341 | 10.123.265 | -40.102 | 1 | — | 10.120.650 | 2.615 | 1.786.837 | — | — | 20.000 | — | 0 | 60.102 | 0 | 60.102 | 60.102 |