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首页 公告 劲旅环境:2023年度财务决算报告

劲旅环境:2023年度财务决算报告

公告日期:2024-04-26

劲旅环境:2023年度财务决算报告 PDF查看PDF原文

              劲旅环境科技股份有限公司

                2023 年度财务决算报告

    劲旅环境科技股份有限公司(以下简称“劲旅环境”)2023 年度财务报表已
 经容诚会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的《审计 报告》,会计师的审计意见:劲旅环境财务报表在所有重大方面按照企业会计准
 则的规定编制,公允反映了劲旅环境 2023 年 12 月 31 日的合并及母公司财务状
 况及 2023 年度的合并及母公司经营成果和现金流量。现将 2023 年财务决算的具
 体情况报告如下:

    一、主要会计数据及财务指标

                                                            单位:元

          项目                2023 年度          2022 年度        增减幅度

营业收入                      1,454,656,359.20    1,261,993,664.97        15.27%

归属于上市公司股东的净利润      129,341,273.11      126,269,024.31        2.43%

归属于上市公司股东的扣除非

经常性损益的净利润              107,534,096.01      110,790,877.25        -2.94%

经营活动产生的现金流量净额        66,220,893.26      238,266,811.97        -72.21%

基本每股收益(元/股)                    1.16              1.30        -10.77%

稀释每股收益(元/股)                    1.16              1.30        -10.77%

加权平均净资产收益率                                                下降3.93个
                                        7.58%            11.51%        百分点

          项目            2023 年 12 月 31 日  2023 年 1 月 1 日    增减幅度

资产总额                      2,971,405,947.83    2,828,110,044.26        5.07%

归属于上市公司股东的净资产    1,761,137,777.82    1,654,419,411.69        6.45%

    二、财务状况、经营成果和现金流量情况分析

    (一)资产构成情况

                                                            单位:元

          项目              2023 年 12 月 31 日      2023 年 1 月 1 日  增减幅度

货币资金                        461,708,447.09        487,719,429.51      -5.33%

交易性金融资产                  226,166,654.52        322,123,222.22    -29.79%

应收票据                            250,000.00                  —          —

应收账款                        775,862,227.98        571,855,986.18    35.67%

预付款项                          13,205,270.35          10,920,870.86    20.92%

其他应收款                        19,769,649.22          18,262,652.11      8.25%

存货                              96,962,875.16          75,018,583.36    29.25%

合同资产                          2,677,239.00          5,570,680.94    -51.94%

一年内到期的非流动资产            11,858,135.34          6,387,014.84    85.66%

其他流动资产                    241,556,903.73        210,547,366.13    14.73%

流动资产合计                  1,850,017,402.39      1,708,405,806.15      8.29%

长期应收款                        79,189,988.35          80,295,829.95      -1.38%

长期股权投资                      36,445,989.00          30,416,721.96    19.82%

其他权益工具投资                  6,078,200.00          1,078,200.00    463.74%

固定资产                        232,955,476.67        202,889,382.79    14.82%

在建工程                          6,002,952.12          17,626,122.33    -65.94%

使用权资产                        10,034,592.33          11,815,467.62    -15.07%

无形资产                        636,780,017.82        678,093,185.35      -6.09%

长期待摊费用                        766,385.79            807,802.90      -5.13%

递延所得税资产                    90,717,105.21          85,941,705.04      5.56%

其他非流动资产                    22,417,838.15          10,739,820.17    108.74%

非流动资产合计                1,121,388,545.44      1,119,704,238.11      0.15%

资产总计                      2,971,405,947.83      2,828,110,044.26      5.07%

    报告期末资产总额为 297,140.59 万元,较期初增加 5.07%。其中流动资产为
 185,001.74 万元,占资产总额的 62.26%,较期初增加 8.29%;非流动资产为 112,138.85 万元,占资产总额的 37.74%,较期初增加 0.15%。

    1、报告期末应收票据较期初增加较多,主要系本期以信用等级较低银行票 据结算金额增加所致。

    2、报告期末应收账款较期初增加 35.67%,主要系本期受财政资金紧张,客
 户回款较慢所致。

    3、报告期末合同资产较期初下降 51.94%,主要系质保金到期收回及转入应
 收账款所致。

    4、报告期末一年内到期的非流动资产较期初增加 85.66%,主要系本期霍山
劲旅和西乡劲威将于下一年到期的应收款项增加所致。

  5、报告期末其他权益工具投资较期初增加 463.74%,主要系新增对外投资所致。

  6、报告期末在建工程较期初下降 65.94%,主要系技术中心大楼转固所致。
  7、报告期末其他非流动资产较期初增加 108.74%,主要系预付设备款增加所致。

    (二)负债构成情况

                                                            单位:元

      项目              2023 年 12 月 31 日    2023 年 1 月 1 日  增减幅度

短期借款                        10,009,500.00        29,929,194.46      -66.56%

应付账款                      204,175,349.69        123,697,465.99      65.06%

合同负债                        13,415,673.15        19,771,230.60      -32.15%

应付职工薪酬                  109,398,823.79        90,731,950.89      20.57%

应交税费                        16,144,400.64        19,637,324.22      -17.79%

其他应付款                      6,421,430.76          5,777,059.37      11.15%

一年内到期的非流动负债          69,824,661.65        98,749,193.68      -29.29%

其他流动负债                      363,569.38            406,016.34      -10.45%

流动负债合计                  429,753,409.06        388,699,435.55      10.56%

长期借款                      237,200,000.00        254,750,000.00      -6.89%

租赁负债                        5,727,970.38          6,430,760.23      -10.93%

长期应付款                      2,785,169.41          5,203,652.77      -46.48%

预计负债                      459,317,675.85        457,867,843.39      0.32%

递延收益                        4,158,161.74        12,185,896.10      -65.88%

非流动负债合计                709,188,977.38        736,438,152.49      -3.70%

负债合计                    1,138,942,386.44      1,125,137,588.04      1.23%

  报告期末负债总额为 11
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