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*ST银河:2022年度财务决算报告

公告日期:2023-04-29

*ST银河:2022年度财务决算报告 PDF查看PDF原文

        北海银河生物产业投资股份有限公司

              2022 年度财务决算报告

    一、财务报表合并范围

  依据现行会计准则及相关规定,北海银河生物产业投资股份有限公司(以下
简称“公司”)2022 年度合并财务报表范围主要包括:四川永星电子有限公司、
南宁银河南方软件有限公司、北海高新技术创业园发展有限公司、南京银河生物
医药有限公司、南京银河生物技术有限公司、北海银河智汇物业服务有限公司、
北海星汉企业管理有限公司、成都银河生物医药有限公司。

    二、总体财务分析

  截止2022年12月31日,公司总资产200,652.30万元,同比增加16.22%;负债
总计324,935.53万元,同比增加23.64%;归属于母公司股东权益为-125,302.91万
元。2022年度,公司共实现营业收入152,799.53万元,同比增加33.56%;净利润
为-33,660.05万元,其中归属于母公司所有者的净利润为-33,750.92万元。

    三、主要财务报表项目变动情况

  以下是 2022 年度合并财务报表变动幅度达 30%以上的项目情况表:

                      表 1报表项目变动情况表

                                                                单位:元人民币

    项目          期末余额        期初余额      本期增减    变动幅度          变动原因

                (本期发生额)  (上期发生额)    变动

                                                                          公司重新复核未到期已背书
                                                                          或贴现的票据终止确认,将信
                                                                          用等级较高银行承兑的银行
                                                                          承兑汇票在背书或贴现时终
  应收票据      267,683,481.83  113,981,498.04  153,701,983.79  134.85%  止确认,而其他信用等级一般
                                                                          的银行承兑汇票以及商业承
                                                                          兑汇票在背书或贴现时继续
                                                                          确认应收票据,待到期兑付后
                                                                          终止确认

  应收账款      672,142,121.21  492,161,431.07  179,980,690.14    36.57%  报告期营业收入上涨引起


  项目          期末余额        期初余额      本期增减    变动幅度          变动原因

              (本期发生额)  (上期发生额)    变动

                                                                          报告期内销售订单增加,且受
  预付款项                                                                宏观形势影响,上游大宗材料
                118,378,685.53    44,364,879.41  74,013,806.12  166.83%  要求提前支付款项等因素导
                                                                          致预付款项增加

  其他流动                                                                报告期内待抵扣待认证进项
资产              4,686,983.05    8,068,693.93  -3,381,710.88    -41.91%  税

  其他权益                                                                报告期内股票出售

工具投资        14,591,465.87    32,633,502.30  -18,042,036.43    -55.29%

  在建工程                                                                报告期内部分在建工程转固
                  3,831,678.57    7,818,911.85  -3,987,233.28    -50.99%  影响

  使用权资                                                                报告期内租赁租金减少

产                5,314,261.83    24,093,907.73  -18,779,645.90    -77.94%

  其他非流                                                                报告期内支付部分长期资产
动资产            1,010,164.50    2,196,724.24  -1,186,559.74    -54.01%  款

                                                                          公司重新复核未到期已背书
                                                                          或贴现的票据终止确认,将信
                                                                          用等级较高银行承兑的银行
                                                                          承兑汇票在背书或贴现时终
  短期借款      183,077,918.81    43,225,373.78  139,852,545.03  323.54%  止确认,而其他信用等级一般
                                                                          的银行承兑汇票以及商业承
                                                                          兑汇票在背书或贴现时继续
                                                                          确认应收票据,待到期兑付后
                                                                          终止确认

  合同负债                                                                报告期内销售产品结构变化,
                78,418,608.72  116,874,232.32  -38,455,623.60    -32.90%  预付款比例下降

  应交税费                                                                报告期内税款延期缴纳政策
                45,489,841.50    28,680,873.19  16,808,968.31    58.61%  应付增值税及附加税增加

  一年内到                                                                报告期内一年内到期的长期
期的非流动        6,125,518.44    66,030,350.21  -59,904,831.77    -90.72%  借款减少

负债

                                                                          公司重新复核未到期已背书
                                                                          或贴现的票据终止确认,将信
                                                                          用等级较高银行承兑的银行
  其他流动                                                                承兑汇票在背书或贴现时终
负债            141,840,903.77    15,098,713.08  126,742,190.69  839.42%  止确认,而其他信用等级一般
                                                                          的银行承兑汇票以及商业承
                                                                          兑汇票在背书或贴现时继续
                                                                          确认应收票据,待到期兑付后
                                                                          终止确认

  其他综合        5,962,239.56    -3,449,439.02    9,411,678.58  -272.85%  报告期内股票出售


  项目          期末余额        期初余额      本期增减    变动幅度          变动原
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