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中南文化:2021年财务决算报告

公告日期:2022-04-13

中南文化:2021年财务决算报告 PDF查看PDF原文

                中南红文化集团股份有限公司

                    2021 年度财务决算报告

一、公司财务报告的审计情况

  2021年度,公司财务报告按照企业会计准则的规定编制,公司财务报表已经利安达会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见审计报告(利安达审字[2022] 第2117号)。
二、2021 年末财务状况
(一)资产构成及变动情况

                                                                                  单位:万元

            项目                    2021 年末            2020 年末          变动幅度

 流动资产:

  货币资金                                37,405.87            26,205.04          42.74%

  交易性金融资产                          51,716.66                                不适用

  应收票据                                  4,449.70                                不适用

  应收账款                                19,573.62            21,360.81          -8.37%

  应收款项融资                              2,206.92              5,624.53          -60.76%

  预付款项                                  4,053.17              1,243.62          225.92%

  其他应收款                                3,761.35            12,609.09          -70.17%

  存货                                    21,558.00            29,894.87          -27.89%

  持有待售资产                                230.02                230.02            0.00%

  其他流动资产                              1,368.69              2,154.05          -36.46%

    流动资产合计                          146,323.98            99,322.03          47.32%

 非流动资产:

  长期股权投资                              4,115.22              8,103.06          -49.21%

  其他非流动金融资产                      66,458.80            54,067.65          22.92%

  投资性房地产                              3,970.44              4,328.94          -8.28%

  固定资产                                30,133.29            33,141.80          -9.08%

  使用权资产                                  179.87                                不适用

  无形资产                                  5,262.76              5,396.42          -2.48%

  递延所得税资产                            8,601.57                                不适用

    非流动资产合计                        118,721.94            105,037.86          13.03%

        资产总计                          265,045.92            204,359.89          29.70%

重要变动说明:

1、 货币资金期末余额 37,405.87 万元,同比增加 11,200.83 万元,增长 42.74%,主要为本期处置子公司、
    库存股及收到担保保证金产生现金流入导致;

2、 交易性金融资产期末余额 51,716.66 万元,同比增加 51,716.66 万元,主要为本期购买金融机构理财

    产品导致;

3、 应收票据期末余额 4,449.70 万元,同比增加 4,449.70 万元,主要为银行承兑汇票按信用级别分类列
    报导致;

4、 应收款项融资期末余额 2,206.92 万元,同比减少 3,417.61 万元,下降 60.76%,主要为银行承兑汇票
    按信用级别分类列报导致;

5、 预付款项期末余额 4,053.17 万元,同比增加 2,809.55 万元,增长 225.92%,主要为采购原材料及影视
    业务预付款增加导致;

6、 其他应收款期末余额 3,761.35 万元,同比减少 8,847.74 万元,下降 70.17%,主要为本期收回应收股
    利导致。

7、 存货期末余额 21,558.00 万元,同比减少 8,336.87 万元,下降 27.89%,主要为本期被处置子公司的存
    货金额不再纳入期末报表导致;

8、 其他流动资产期末余额 1,368.69 万元,同比减少 785.36 万元,下降 36.46%,主要为本期销售收入增
    加,待抵扣进项税减少导致;

9、 长期股权投资期末余额 4115.22 万元,同比减少 3,987.84 万元,下降 49.21%,主要为本期联营企业投
    资成本收回导致;
10、使用权资产期末余额 179.87 万元,同比增加 179.87 万元,主要为签订房屋租赁合同执行租赁准则确
    认资产导致;
11、递延所得税资产期末余额 8,601.57 万元,同比增加 8,601.57 万元,主要为可抵扣暂时性差异确认资
    产导致。;
(二)债务构成及变动情况

                                                                                  单位:万元

            项目                    2021 年末            2020 年末          变动幅度

流动负债:

  应付账款                                  5,002.28              4,296.23          16.43%

  预收款项                                    484.68              5,395.96          -91.02%

  合同负债                                  3,399.82              3,573.58          -4.86%

  应付职工薪酬                              1,643.63              2,782.20          -40.92%

  应交税费                                  1,006.78                847.13          18.85%

  其他应付款                              26,814.30              9,874.36          171.55%

  一年内到期的非流动负债                      76.40                                不适用

  其他流动负债                              3,286.23              2,583.99          27.18%

    流动负债合计                          41,714.11            29,353.45          42.11%

非流动负债:


            项目                    2021 年末            2020 年末          变动幅度

  租赁负债                                    103.98                                不适用

  预计负债                                24,104.07            18,617.10          29.47%

  递延所得税负债                            8,601.57                                不适用

    非流动负债合计                        32,809.62            18,617.10          76.23%

    负债合计                            74,523.73            47,970.55          55.35%

重要变动说明:

1、 预收款项期末余额 484.68 万元,同比减少 4,911.28 万元,下降 91.02%,主要为本期预收款项结算导
  致;

2、 应付职工薪酬期末余额 1,643.63 万元,同比减少 1,138.57 万元,下降 40.92%,主要为本期执行重组
  人力资源优化方案、上期员工短期薪酬本期全额支付及处置子公司员工人数减少导致;

3、 其他应付款期末余额 26,814.30 万元,同比增加 16,939.94 万元,增长 171.55% %,主要为本期收到担
  保保证金导致;

4、 一年内到期的非流动负债期末余额 76.40 万元,同比增加 76.40 万元,主要为一年内到期的租赁负债
  重分类列报导致;

5、 其他流动负债期末余额 3,286.23 万元,同比增加 702.24 万元,增长 27.18%,主要为公司本年已背书
  未到期的信用级别较低的承兑票据增加所致;

6、 预计负债期末余额 24,104.07 万元,同比增加 5,486.97 万元,增长 29.47%,主要为本期补提未决诉讼
  案件的预计损失;

7、 递延所得税负债期末余额 8,601.57 万元,同比增加 8,601.57 万元,主要为本期公允价值变动产生应
  纳税暂时性差异确认负债导致;
(三)股东权益构成及变动情况
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