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石化机械:半年报审计报告或财务报告

公告日期:2020-08-18

石化机械:半年报审计报告或财务报告 PDF查看PDF原文

                          合并及公司资产负债表

                                            2020年06月30日

编制单位:中石化石油机械股份有限公司                                                  单位:人民币元

          项  目          附注              期末数                          期初数

                                        合并            公司            合并            公司

流动资产:

  货币资金                  五、1      355,364,022.63    112,417,815.90    153,989,585.23      75,857,717.14
  交易性金融资产                                -                -                -                -
  衍生金融资产                                  -                                -                -
  应收票据                  五、2      380,879,688.69      47,804,480.42    329,508,205.62      68,031,716.12
  应收账款                  五、3    2,388,670,276.61    808,803,815.51  1,661,730,309.38    502,454,327.88
  应收款项融资

  预付款项                  五、4      404,550,406.19      78,227,752.78    318,456,885.48      53,797,856.67
  其他应收款                五、5      65,837,505.24  2,035,578,744.72      52,159,940.89  1,723,738,099.09
    其中:应收利息                              -                -                -                -
          应收股利                              -      25,779,628.97              -                -
  存货                      五、6    3,992,409,930.03    953,436,043.65  4,620,849,003.14  1,365,460,232.40
  持有待售资产                                  -                -                -                -
  一年内到期的非流动资产    五、7      14,807,074.23              -      15,215,790.67              -
  其他流动资产              五、8      52,701,803.00      46,075,508.54      91,165,076.44      63,151,964.33
    流动资产合计                      7,655,220,706.62  4,082,344,161.52  7,243,074,796.85  3,852,491,913.63
非流动资产:

  债权投资                                      -                -                -                -
  其他债权投资                                  -                -                -                -
  长期应收款                五、9        5,181,514.30              -        7,486,623.41              -
  设定受益计划净资产

  长期股权投资              五、10      60,866,345.33  1,630,599,145.08      61,745,576.09  1,631,478,375.84
  其他权益工具投资

  其他非流动金融资产

  投资性房地产                                  -                -                -                -
  固定资产                  五、11    1,249,217,304.71    416,222,247.03  1,330,883,040.81    445,677,116.49
  在建工程                  五、12      38,708,987.20      27,703,681.15      35,847,680.87      24,908,993.48
  生产性生物资产                                -                -                -                -
  油气资产                                      -                -                -                -
  无形资产                  五、13      95,450,582.73      27,648,802.19      99,310,983.29      28,684,788.36
 开发支出                                      -                -                -                -
 商誉                                          -                -                -                -
 长期待摊费用              五、14      29,786,224.98      8,412,875.11      28,860,838.50      6,824,679.75
 递延所得税资产            五、15      45,963,801.94      19,598,790.60      46,746,529.27      19,764,369.32
  其他非流动资产                                -                -                -                -
    非流动资产合计                    1,525,174,761.19  2,130,185,541.16  1,610,881,272.24  2,157,338,323.24
      资产总计                        9,180,395,467.81  6,212,529,702.68  8,853,956,069.09  6,009,830,236.87

公司法定代表人:杜广义        主管会计工作的公司负责人: 杨斌          公司会计机构负责人:魏钢


                          合并及公司资产负债表(续)

                                                2020年06月30日

编制单位:中石化石油机械股份有限公司

            项  目            附注                期末数                          期初数

                                              合并            公司            合并            公司

流动负债:                         

  短期借款                      五、16    3,253,706,772.76    3,163,706,772.76    2,835,706,772.76    2,835,706,772.76
  交易性金融负债                                    -                -                -                -
  衍生金融负债                                      -                -                -                -
  应付票据                      五、17    773,354,199.73    373,505,636.47    863,843,038.81    330,137,973.16
  应付账款                      五、18    2,655,805,399.44    737,745,357.66    2,549,314,659.93    860,008,555.06
  预收款项                                          -                -      317,966,940.31      85,737,792.83
  合同负债                      五、19    206,631,244.03      69,728,895.56              -                -
  应付职工薪酬                  五、20      34,006,110.87      8,039,435.06      66,812,059.08      18,341,365.50
  应交税费                      五、21      63,938,376.06      31,632,595.96      63,617,916.02      22,041,304.70
  其他应付款                    五、22    108,785,535.46    144,455,033.84      73,802,178.78    158,340,908.37
    其中:应付利息   
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