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天汽模:关于2020年年度报告的更正公告

公告日期:2021-06-26

天汽模:关于2020年年度报告的更正公告 PDF查看PDF原文

  股票代码:002510    公司简称:天汽模    公告编号 2021-048
  债券代码:128090    债券简称:汽模转 2

                天津汽车模具股份有限公司

            关于 2020 年年度报告的更正公告

      本公司及董事会全体成员保证公告内容的真实、准确和完整,没
  有虚假记载、误导性陈述或重大遗漏。

      重要提示:

      本次对年度报告的更正不涉及对财务报表的调整,本次更正未对公司 2020
  年度财务状况、经营成果和现金流量产生实质性影响。

      天津汽车模具股份有限公司(下称“公司”)于2021年4月28日在巨潮资讯
  网(www.cninfo.com.cn)披露了《2020年年度报告》全文。经事后审核发现,
  因工作人员疏忽导致年度报告部分数据录入错误,现就相关内容更正如下:

      一、《2020年年度报告》 “第四节 经营情况讨论与分析”之“四、资产及
  负债状况分析”之“2、以公允价值计量的资产和负债”

  更正前:

                                                                                        单位:元

                                              计入权

                              本期公允价值变 益的累 本期计  本期购  本期出 其他变

    项目          期初数        动损益    计公允 提的减  买金额  售金额  动      期末数

                                              价值变  值

                                                动

金融资产
1.交易性金融资

产(不含衍生金    74,291,280.65                                                        111,229,489.94
融资产)

4.其他权益工具    51,456,368.60  20,704,114.73                                          72,160,483.33

  投资

  金融资产小计    125,747,649.25  20,704,114.73                                        183,389,973.27

  上述合计        125,747,649.25  20,704,114.73                                        183,389,973.27

  金融负债                  0.00                                                                  0.00

    更正后:

                                                计入权

                                  本期公允价值变 益的累  本期计  本期购  本期出 其他变

        项目          期初数        动损益    计公允  提的减  买金额  售金额  动      期末数

                                                价值变    值

                                                  动

  金融资产

  4.其他权益工具

  投资              51,456,368.60  20,704,114.73                                          72,160,483.33

  金融资产小计      51,456,368.60  20,704,114.73                                          72,160,483.33

  应收款项融资      74,291,280.65  36,938,209.29                                          111,229,489.94

  上述合计        125,747,649.25  257,642,324.02                                        183,389,973.27

  金融负债                  0.00                                                                  0.00

        二、《2020年年度报告》“第十二节财务报告”之 “七合并财务报表注释”

    之“4.应收票据、5.应收账款”

    更正前:

      4、应收票据

      (1)应收票据分类列示

    ……

                                                                                          单位:元

                                  期末余额                                    期初余额

      类别          账面余额        坏账准备                账面余额          坏账准备

                    金额    比例    金额  计提比 账面价值  金额    比例    金额  计提比例 账面价值
                                              例

按单项计提坏账准  200,486,        144,263,        56,222,89 65,417,07        43,327,846.        22,089,22
备的应收票据                19.46%          71.96%                    5.16%            66.23%

                    220.89          328.01            2.88    5.00                18              8.82

  其中:

银行承兑汇票      26,650,0                          26,650,00 5,000,000                            5,000,000
                            50.60%                                    47.61%

                    00.00                              0.00      .00                                  .00

商业承兑汇票      26,021,2  49.40% 1,301,06  5.00% 24,720,15 5,501,720  52.39% 275,086.00  5.00% 5,226,634

                    12.04            0.60            1.44      .00                                  .00

按组合计提坏账准  829,629,        164,934,        664,695,2 1,203,537          168,651,96        1,034,886
备的应收票据                                                          94.84%

                    305.84          098.70            07.14  ,974.67              2.45          ,012.22

  其中:

账龄组合          829,629,        164,934,        664,695,2 1,203,537          168,651,96        1,034,886
                            80.54%          19.88%                    93.84%            14.01%

                    305.84          098.70            07.14  ,974.67              2.45          ,012.22

合计              1,030,11        309,197,        720,918,1 1,268,955          211,979,80        1,056,975
                          100.00%                                    100.00%

                  5,526.73          426.71            00.02  ,049.67              8.63          ,241.04

      按单项计提坏账准备:

                                                                                          单位:元

        名称                                              期末余额

                          账面余额            坏账准备            计提比例            计提理由

MahindraandMahindraLt                                                                根据交易对象信用评级
                              1,092,579.10          1,092,579.10              100.00% 及信用风险状况计提
d.
MANOR TOOL & DIE

                              3,249,465.45          3,249,465.45              100.00%

LTD.
Tianjin Motor Dies

                              14,218,737.37        14,218,73
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