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首页 公告 *ST康得:关于2020年前三季度会计差错更正的公告

*ST康得:关于2020年前三季度会计差错更正的公告

公告日期:2021-03-16

*ST康得:关于2020年前三季度会计差错更正的公告 PDF查看PDF原文

证券代码:002450          证券简称:*ST 康得      公告编号:2021-033
            康得新复合材料集团股份有限公司

        关于 2020 年前三季度会计差错更正的公告

  本公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有虚假记载、误导性陈述或重大遗漏。

  康得新复合材料集团股份有限公司(下称:“公司”)于 2021 年 3 月 15 日召
开了第四届董事会第二十一次会议、第四届监事会第十二次会议,审议通过了公司《关于 2020 年前三季度会计差错更正的议案》,根据《企业会计准则第 28 号——会计政策、会计估计变更和差错更正》和中国证券监督管理委员会《公开发行证券的公司信息披露编报规则第 19 号——财务信息的更正及相关披露》等相关规定,公司对 2020 年度前三季度相关会计差错进行了更正,现将具体情况公告如下:

    一、前期会计差错更正的原因及内容

  1、公司于 2021 年 2 月 28 日披露了关于前期会计差错更正的公告(公告编
号:2021-018)及追溯重述后的 2015-2019 年度审计报告,2020 年度前三季度未审报表相关会计科目的期初数与 2019 年度重述审计后的期末数据存在重大差异,公司进行相应的调整;

  2、对外财务担保合同损失列报错误,少计信用减值损失 106,210,853.33元,多计营业外支出 106,210,853.33 元;

  3、计提利息收入不准确,多确认财务费用利息收入 11,137,500.00 元;
  4、坏账计提不准确,多计信用减值损失 2,235,000.00 元。

    二、 前期会计差错更正事项对财务状况、经营成果、财务指标的影响

  公司对上述前期会计差错采用追溯重述法进行更正,对 2020 前三季度财务报表相关项目进行了追溯调整,财务报表影响项目及金额如下:

  对合并财务报表的影响:


                                            2020 年 3 月 31 日

  受影响的报表项目

                          更正前金额          更正金额            更正后金额

货币资金                13,879,673,845.68  -12,209,443,676.52      1,670,230,169.16
应收账款                2,717,479,198.61    -2,156,876,456.19        560,602,742.42
预付款项                  537,623,343.63      -499,902,491.03        37,720,852.60
其他应收款                712,950,047.90      -42,465,000.00        670,485,047.90
其他流动资产              117,593,437.65      661,578,067.32        779,171,504.97
递延所得税资产            106,504,883.72      -107,552,351.78        -1,047,468.06
其他非流动资产          3,246,843,774.56    -3,226,059,815.86        20,783,958.70
应付账款                1,129,688,947.24      -397,825,650.10        731,863,297.14
预计负债                2,178,844,299.84      467,004,266.50      2,645,848,566.34
其他综合收益              -15,274,747.51        1,769,579.04        -13,505,168.47
盈余公积                  836,896,788.30    -785,566,874.75        51,329,913.55
未分配利润                63,936,039.47  -16,866,103,044.75    -16,802,167,005.28
财务费用                  136,349,798.50        3,712,500.00        140,062,298.50
信用减值损失                  -917,521.80        -2,474,062.50        -3,391,584.30
营业外支出                  2,652,867.51        -2,474,062.50            178,805.01
利润总额                -208,927,968.32      -3,712,500.00      -212,640,468.32
净利润                  -211,109,082.67      -3,712,500.00      -214,821,582.67
归属于母公司所有者的

                        -210,218,467.34      -3,712,500.00      -213,930,967.34
净利润
 收到其他与筹资活动

                          60,463,693.51      12,963,790.89        73,427,484.40
有关的现金
筹资活动产生的现金流

                          54,433,613.09      12,963,790.89        67,397,403.98
量净额
(续)

 受影响的报表项目                          2020 年 6 月 30 日


                        更正前金额            更正金额            更正后金额

    货币资金        13,830,123,494.32    -12,209,443,676.52    1,620,679,817.80
    应收账款        2,711,335,933.75    -2,156,876,456.19      554,459,477.56
    预付款项          543,274,874.29      -517,627,695.39        25,647,178.90
    其他应收款        671,158,576.14      -40,230,000.00        630,928,576.14
  其他流动资产        130,047,074.73      657,572,760.87        787,619,835.60
  递延所得税资产      108,709,013.43      -107,552,351.78        1,156,661.65
  其他非流动资产      3,229,685,295.87    -3,207,787,210.19      21,898,085.68
    应付账款        1,118,974,510.46      -397,637,245.60      721,337,264.86
    预计负债        2,223,656,853.04      467,004,266.50      2,690,661,119.54
  其他综合收益        -15,586,833.42        1,835,769.40        -13,751,064.02
    盈余公积          836,896,788.30      -785,566,874.75        51,329,913.55
    未分配利润        -283,508,213.46    -16,867,580,544.75    -17,151,088,758.21
    财务费用          316,557,631.31        7,425,000.00        323,982,631.31
  信用减值损失        -9,406,092.87        -67,511,719.18        -76,917,812.05
    营业外支出        80,565,761.32        -69,746,719.18        10,819,042.14
    利润总额        -560,130,701.17      -5,190,000.00        -565,320,701.17
      净利润          -559,468,677.13      -5,190,000.00        -564,658,677.13
归属于母公司所有者    -557,662,720.27      -5,190,000.00        -562,852,720.27
    的净利润

  收到其他与筹资活    120,043,051.02      -5,439,892.37        114,603,158.65
  动有关的现金

筹资活动产生的现金    39,347,992.54        -5,439,892.37        33,908,100.17
    流量净额
(续)

                                            2020 年 9 月 30 日

 受影响的报表项目

                        更正前金额            更正金额            更正后金额


    货币资金        13,843,363,773.80    -12,209,443,676.52    1,633,920,097.28
    应收账款        2,737,995,713.93    -2,122,652,115.98      615,343,597.95
    预付款项          537,282,982.84      -497,930,131.84        39,352,851.00
  其他应收款        653,183,587.51      -40,230,000.00        612,953,587.51
  其他流动资产        138,925,190.83      639,774,179.46        778,699,370.29
 递延所得税资产      108,690,762.61      -107,552,351.78        1,138,410.83
 其他非流动资产      3,215,754,043.80    -3,207,787,210.19        7,966,833.61
    应付账款        1,119,351,183.04      -395,331,962.87      724,019,220.17
    合同负债          27,793,756.35        34,224,340.21    
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