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首页 公告 欧克科技:公司2022年度财务决算报告

欧克科技:公司2022年度财务决算报告

公告日期:2023-04-20

欧克科技:公司2022年度财务决算报告 PDF查看PDF原文

                        欧克科技股份有限公司

                        2022 年度财务决算报告

      公司 2022 年度财务报表已经天健会计师事务所(特殊普通合伙)审计,出具

    了标准无保留意见的审计报告。本财务决算报告基于审计报告编制,真实反映了

    公司 2022 年度的财务状况、经营成果及现金流量(以下数据如无特殊说明,均

    为合并口径)。具体如下:

      一、合并报表范围

      母公司:欧克科技股份有限公司

      全资子公司:九江欧克新型材料有限公司、江西欧克机械制造有限公司、江

    西耐斯机械进出口有限公司

      二、主要财务数据和指标

            项目                        2022 年                  2021 年            本年比上年增减

营业收入(元)                              516,902,632.16            558,460,130.87            -7.44%

归属于上市公司股东的净利润(元)            183,217,098.94            228,625,844.78          -19.86%

归属于上市公司股东的扣除非经常性            158,509,988.31            190,183,568.39          -16.65%
损益的净利润(元)

经营活动产生的现金流量净额(元)            62,265,658.23            166,942,105.90          -62.70%

基本每股收益(元/股)                              3.6643                    4.5725          -19.86%

稀释每股收益(元/股)                              3.6643                    4.5725          -19.86%

加权平均净资产收益率                                27.40%                    49.47%          -22.07%

总资产(元)                              1,941,641,649.69            855,258,526.17          127.02%

归属于上市公司股东的净资产(元)          1,771,593,172.13            576,628,983.43          207.23%

      三、2022 年度公司财务状况和经营成果分析

        (一)财务状况分析

        1、资产结构

                                                                                          单位:元

      项目          2022 年 12 月 31 日    2021 年 12 月 31 日          变动额              变动幅度

 货币资金              1,086,498,477.71      163,537,240.52      922,961,237.19            564.37%

 应收账款                198,182,523.65      119,147,750.34        79,034,773.31            66.33%

 应收款项融资              5,192,686.14        5,878,121.38          -685,435.24            -11.66%

 预付款项                13,974,121.85        8,315,064.70        5,659,057.15            68.06%


 其他应收款                4,481,368.38          616,298.48        3,865,069.90            627.14%

 存货                    199,629,319.90      170,913,946.12        28,715,373.78            16.80%

 合同资产                81,112,216.47        69,579,231.27        11,532,985.20            16.58%

 其他流动资产              5,342,422.05        17,724,594.58      -12,382,172.53            -69.86%

 固定资产                256,609,055.47      232,083,886.31        24,525,169.16            10.57%

 在建工程                52,869,083.53        30,261,706.10        22,607,377.43            74.71%

 无形资产                17,186,345.29        16,551,501.05          634,844.24              3.84%

 长期待摊费用                563,935.38          769,002.78          -205,067.40            -26.67%

 递延所得税资产          19,334,870.66        13,763,224.28        5,571,646.38            40.48%

 其他非流动资产              665,223.21        6,116,958.26        -5,451,735.05            -89.12%

资产总计                1,941,641,649.69      855,258,526.17    1,086,383,123.52            127.02%

        报告期末,公司资产总额较去年同期增加 1,086,383,123.52 元,增幅

    127.02%,主要原因如下:

        (1)货币资金增加 922,961,237.19 元,主要系首次公开发行上市所募集资

    金所致。

        (2)应收账款增加 79,034,773.31 元,主要系前期确认收入订单的质保金

    转应收账款所致。

        (3)预付账款增加 5,659,057.15 元,主要系新能源产品新增采购所致

        (4)其他应收款增加 3,865,069.90 元,主要系新增安信证券发行承销费的

    发票款所致。

        (5)存货增加 28,715,373.78 元,主要系新能源产品零件采购及新能源产

    品在产品增加、九江欧克包装材料库存增加所致。

        (6)其他流动资产减少 12,382,172.53 元,主要系待认证和待抵扣增值税

    进项税额及预交税费减少所致。

        (7)在建工程增加 22,607,377.43 元,主要系生活用纸包装材料生产建设

    项目增加所致。

        (8)递延所得税资产增加 5,571,646.38 元,主要系计提的坏账准备和母子

    公司交易未实现利润确认递延所得税资产所致。

        (9)其他非流动资产减少 5,451,735.05 元,主要是预付设备款及预付工程


    款减少所致。

        2、负债结构

                                                                                          单位:元

    项目          2022 年 12 月 31 日        2021 年 12 月31 日            变动额            变动幅度

短期借款                  17,400,000.00          47,500,000.00          -30,100,000.00      -63.37%

应付账款                  76,379,506.32          85,474,763.62          -9,095,257.30      -10.64%

合同负债                  43,072,517.67          86,955,167.05          -43,882,649.38      -50.47%

应付职工薪酬              11,062,800.02          11,419,835.97            -357,035.95      -3.13%

应交税费                    6,607,422.41          28,633,497.75          -22,026,075.34      -76.92%

其他应付款                  4,098,547.57            3,547,991.33              550,556.24      15.52%

其他流动负债                4,894,917.33            7,551,001.53          -2,656,084.20      -35.18%

预计负债                      265,798.58              763,021.83            -497,223.25      -65.17%

递延收益                    6,266,967.66            6,784,263.66            -517,296.00      -7.62%

负债合计                  170,048,477.56          278,629,542.74        -108,581,065.18      -38.97%

        报告期末,公司负债总额 170,048,477.56 元,较去年减少 108,581,065.18

    元,减幅 38.97%,主要原因如下:

        (1)短期借款减少 30,100,000.00 元,主要系报告期归还银行贷款所致。

        (2)合同负债减少 43,882,649.38 元,主要是报告期产品销售订单预收货

    款下降所致。

        (3)应交税费减少 22,026,075.34 
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