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首页 公告 丰原药业:丰原药业2023年度财务决算报告

丰原药业:丰原药业2023年度财务决算报告

公告日期:2024-04-26

丰原药业:丰原药业2023年度财务决算报告 PDF查看PDF原文

            安徽丰原药业股份有限公司

              2023 年度财务决算报告

  安徽丰原药业股份有限公司(以下简称“丰原药业”或“公司”)2023 年度财务报表经中证天通会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告(中证天通(2024)证审字 21120029 号)。审计意见认为,公司财务报表在所有
重大方面按照企业会计准则的规定编制,公允反映了丰原药业 2023 年 12 月 31 日的合
并及母公司财务状况,以及 2023 年度的合并及母公司经营成果和现金流量。

  现将公司 2023 年度财务决算情况报告如下:

    一、公司主要财务数据

                                                                  金额单位:人民币元

        项目              2023 年          2022 年          变动额        变动率

 资产总额            4,391,320,148.20  4,469,239,892.87    -77,919,744.67    -1.74%

 归属于上市公司股东  1,889,409,585.59  1,728,488,218.94  160,921,366.65    9.31%
 的净资产

 营业收入            4,275,436,713.72  4,004,020,381.58  271,416,332.14    6.78%

 归属于上市公司股东    159,285,567.90    154,426,589.40    4,858,978.50    3.15%
 的净利润
 归属于上市公司股东

 的扣除非经常性损益    128,076,451.66    90,757,391.98    37,319,059.68    41.12%
 的净利润

 经营活动产生的现金    254,751,792.54    439,990,375.52  -185,238,582.98    -42.10%
 流量净额

 基本每股收益(元/股)          0.4796            0.4869          -0.0073    -1.50%

    二、公司财务状况、经营成果和现金流量情况

    1、资产情况

                                                                  金额单位:人民币元

        项目        2023年 12 月31日  2022年12月31日      变动额        变动率

 货币资金                319,905,335.72    353,138,140.10  -33,232,804.38    -9.41%

 应收票据                          0.00      1,500,000.00    -1,500,000.00  -100.00%

 应收账款                791,523,059.81    692,339,772.92    99,183,286.89    14.33%

 应收账款融资            50,373,204.73    62,596,474.81  -12,223,270.08  -19.53%


        项目        2023年 12 月31日  2022年12月31日      变动额        变动率

 预付款项                106,845,438.23    121,392,211.34  -14,546,773.11  -11.98%

 其他应收款              36,035,499.33    48,065,593.97  -12,030,094.64  -25.03%

 存货                    573,578,704.53    699,149,286.78  -125,570,582.25  -17.96%

 其他流动资产            24,650,008.90    99,226,122.85  -74,576,113.95  -75.16%

 长期应收款              146,950,000.00    168,450,000.00  -21,500,000.00  -12.76%

 长期股权投资              2,013,682.84      1,999,182.59        14,500.25    0.73%

 其他权益工具投资        96,709,969.06    98,808,666.11    -2,098,697.05    -2.12%

 其他非流动金融资产      263,721,712.76    270,642,437.61    -6,920,724.85    -2.56%

 投资性房地产            30,673,217.98    26,864,531.13    3,808,686.85    14.18%

 固定资产                942,826,974.86    976,697,205.93  -33,870,231.07    -3.47%

 在建工程                524,133,141.84    439,377,839.37    84,755,302.47    19.29%

 使用权资产              46,893,501.09    45,591,130.03    1,302,371.06    2.86%

 无形资产                203,730,288.75    170,240,915.33    33,489,373.42    19.67%

 开发支出                81,899,373.20    74,624,608.09    7,274,765.11    9.75%

 商誉                      7,919,738.93      7,919,738.93            0.00    0.00%

 长期待摊费用            35,739,694.32    31,695,726.05    4,043,968.27    12.76%

 递延所得税资产          60,235,999.34    39,978,593.38    20,257,405.96    50.67%

 其他非流动资产          44,961,601.98    38,941,715.55    6,019,886.43    15.46%

 资产总额              4,391,320,148.20  4,469,239,892.87  -77,919,744.67    -1.74%

  (1)应收票据:期末金额较上年末减少 1,500,000 元,减幅 100.00%,主要系公
司期初应收票据到期收回所致。

  (2)其他流动资产:期末金额较上年末减少 74,576,113.95 元,减幅 75.16%,主
要系公司期初结构性存款收回所致。

  (3)递延所得税资产:期末金额较上年末增加 20,257,405.96 元,增幅 50.67%,
主要系公司本期收到政府补助款,确认的递延所得税资产增加所致。

    2、负债情况

                                                                    金额单位:人民币元

      项目        2023年12月31日  2022 年 12 月 31 日      变动额        变动率

 短期借款              344,286,277.78    410,906,347.22    -66,620,069.44    -16.21%

 应付票据              303,499,000.00    252,900,000.00    50,599,000.00    20.01%


      项目        2023年12月31日  2022 年 12 月 31 日      变动额        变动率

 应付账款              442,607,682.00    469,841,813.14    -27,234,131.14    -5.80%

 预收款项                  113,413.98          84,252.00        29,161.98    34.61%

 合同负债                89,272,480.43    257,134,000.06  -167,861,519.63    -65.28%

 应付职工薪酬            75,380,968.63      68,055,057.57    7,325,911.06    10.76%

 应交税费                49,900,429.15      68,073,929.82    -18,173,500.67    -26.70%

 其他应付款            549,983,958.42    598,998,255.31    -49,014,296.89    -8.18%

 一年内到期的非流动    148,512,487.47    187,492,214.32    -38,979,726.85    -20.79%
 负债

 其他流动负债            10,079,357.49      31,155,126.58    -21,075,769.09    -67.65%

 长期借款              174,750,000.00    168,850,000.00    5,900,000.00    3.49%

 租赁负债                20,214,328.77      20,711,146.03      -496,817.26    -2.40%

 递延收益              238,045,657.05    151,923,732.05    86,121,925.00    56.69%

 递延所得税负债          25,848,364.50      28,351,877.45    -2,503,512.95    -8.83%

 负债总额            2,472,494,405.67  2,714,477,751.55  -241,983,345.88    -8.91%

  (1)预收款项:期末金额较上年末增加 29,161.98 元,增幅 34.61%,主要系公司
本期对外出租房屋预收房租款增加所致。

  (2)合同负债:期末金额较上年末减少 167,861,519.63 元,减幅 65.28%,主要
系公司期末预收货款减少所致。

  (3)其他流动负债:期末金额较上年末减少 21,075,769.09 元,减幅 67.65%,主
 要系公司期末预收货款减少,确认的待转销项税减少所致。

    (4)递延收益:期末金额较上年末增加 86,121,925.00 元,增幅
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