联系客服

000550 深市 江铃汽车


首页 公告 江铃汽车:2021年年度财务报告

江铃汽车:2021年年度财务报告

公告日期:2022-03-30

江铃汽车:2021年年度财务报告 PDF查看PDF原文
江铃汽车股份有限公司
2021 年年度财务报告


    财务报表

      江铃汽车股份有限公司

      2021 年 12 月 31 日合并及公司资产负债表                                  金额单位:人民币元

          资产              附注    2021 年 12 月 31 日  2020 年 12 月 31 日  2021 年 12 月 31 日  2020 年 12 月 31 日
                                            合并              合并              公司              公司

流动资产

货币资金                    四(1)        9,569,051,314    11,121,955,129      7,706,280,711      8,473,562,045

交易性金融资产              四(2)          100,242,329        803,892,985                -        502,797,917

应收票据                    四(3)          119,783,900                -        300,000,000                -

                          四(4)、十

应收账款                    五(1)        2,994,798,227      2,999,883,212      1,409,320,240      3,330,880,651

应收款项融资                四(5)          201,511,670        815,583,669        13,725,275        29,412,448

预付款项                    四(6)          497,302,198        452,714,683        496,546,531        451,832,917

                          四(7)、十

其他应收款                  五(2)          399,983,736        128,989,573        400,787,837      1,359,907,223

存货                        四(8)        1,974,728,632      2,086,605,692      1,974,728,632      2,020,079,494

一年内到期的非流动资产      四(10)          13,236,153                -        13,236,153                -

其他流动资产                四(9)          984,174,056        737,369,737        881,324,652        678,079,950

流动资产合计                              16,854,812,215    19,146,994,680    13,195,950,031    16,846,552,645

非流动资产

长期应收款                  四(11)          44,952,638                -        44,952,638                -

                          四(12)、十

长期股权投资                五(3)          257,251,255        39,496,548      1,103,802,245      1,561,496,548

固定资产                    四(13)        6,029,302,031      5,165,956,410      5,497,170,652      4,331,796,677

在建工程                    四(14)          448,338,672      1,535,497,770        448,112,420      1,429,348,858

使用权资产                  四(15)          306,225,810        28,405,890        304,449,400        28,405,890

无形资产                    四(16)        1,073,881,961        931,391,553        844,988,965        637,918,837

开发支出                    四(16)          111,004,350        173,473,242        111,004,350        173,473,242

递延所得税资产              四(17)        1,233,315,188      1,163,969,325        285,288,625        370,120,915

非流动资产合计                            9,504,271,905      9,038,190,738      8,639,769,295      8,532,560,967

资产总计                                  26,359,084,120    28,185,185,418    21,835,719,326    25,379,113,612

      企业负责人:邱天高                  主管会计工作的负责人:朱浏俊        会计机构负责人:丁妮


      2021 年 12 月 31 日合并及公司资产负债表(续)                            金额单位:人民币元

    负债及股东权益      附注    2021 年 12 月 31 日  2020 年 12 月 31 日  2021 年 12 月 31 日  2020 年 12 月 31 日
                                      合并              合并              公司              公司

流动负债

短期借款                四(19)          300,000,000        500,000,000        300,000,000        500,000,000

衍生金融负债            四(20)          10,704,619          3,716,727          10,704,619          3,716,727

应付账款                四(21)        9,702,584,830      10,026,215,877        9,702,584,830      10,022,399,964

合同负债                四(22)          272,274,177        558,526,846          67,392,485          42,397,868

应付职工薪酬            四(23)          766,986,525        759,368,606        690,921,936        687,984,808

应交税费                四(24)          287,171,720        218,445,227        111,626,950          95,599,544

其他应付款              四(25)        5,253,800,805        4,153,849,625        1,985,838,271        1,495,307,482

一年内到期的非流动负债  四(26)          78,039,188          10,909,163          76,893,591          10,909,163

其他流动负债            四(27)          420,456,813        410,899,328          35,663,765          39,220,370

流动负债合计                          17,092,018,677      16,641,931,399      12,981,626,447      12,897,535,926

非流动负债

长期借款                四(28)            2,087,537          2,563,666          2,087,537          2,563,666

租赁负债                四(29)          263,409,414          18,998,952        262,016,700          18,998,952

预计负债                四(30)          197,587,164        195,896,139                  -                  -

递延收益                四(31)          49,074,545          49,944,625          49,074,545          49,944,625

长期应付职工薪酬        四(32)          55,684,000          62,855,000          55,370,000          62,561,000

递延所得税负债          四(17)          24,000,545        126,995,164                  -        102,300,000

其他非流动负债          四(33)          119,777,649          99,526,464        108,673,373          90,866,994

非流动负债合计                          711,620,854        556,780,010        477,222,155        327,235,237

负债合计                              17,803,639,531      17,198,711,409      13,458,848,602      1
[点击查看PDF原文]