联系客服

002595 深市 豪迈科技


首页 公告 豪迈科技:2022年财务决算报告

豪迈科技:2022年财务决算报告

公告日期:2023-03-30

豪迈科技:2022年财务决算报告 PDF查看PDF原文

                                                        山东豪迈机械科技股份有限公司 2022 年度财务决算报告

                山东豪迈机械科技股份有限公司

                    2022 年度财务决算报告

  一、2022 年度公司财务报表的审计情况

  公司 2022 年财务报表已经信永中和会计师事务所(特殊普通合伙)审计,并出具了XYZH/2023JNAA3B0021 号标准无保留意见的审计报告。

  二、关于资产、负债、股东权益情况

  报告期内公司总资产 8,592,236,706.49 元,较期初增长 12.41%;总负债 1,248,793,087.66
元,较期初增长 10.22%;归属于母公司股东权益合计 7,337,707,108.81 元,较期初增长 12.81%。
  三、财务状况分析

  公司 2022 年度相关财务状况分析如下:

  (一)财务状况分析

  1、资产结构

                                                                                            单位:人民币元

        资产项目                2022 年 12 月 31 日                2022 年 01 月 01 日            同比增减

                                  金额          比重          金额          比重

  货币资金                    621,750,703.51      7.24%      410,538,138.34        5.37%          51.45%

  衍生金融资产                    556,884.37      0.01%        3,683,032.34        0.05%          -84.88%

  应收票据                    365,779,037.84      4.26%      94,231,410.30        1.23%          288.17%

  应收账款                  2,102,299,986.53      24.47%    1,754,434,790.13      22.95%          19.83%

  应收款项融资                295,678,217.84      3.44%      455,632,256.41        5.96%          -35.11%

  预付款项                    63,806,069.34      0.74%      90,326,541.03        1.18%          -29.36%

  其他应收款                  10,607,074.72      0.12%      20,740,334.98        0.27%          -48.86%

  存货                      1,622,989,188.47      18.89%    1,450,188,279.03      18.97%          11.92%

  其他流动资产                486,527,631.85      5.66%      511,952,191.18        6.70%          -4.97%

  流动资产合计              5,569,994,794.47      64.83%    4,791,726,973.74      62.69%          16.24%

  长期股权投资                277,445,209.24      3.23%      415,557,069.02        5.44%          -33.24%

  其他权益工具投资            49,780,000.00      0.58%      14,144,925.00        0.19%          251.93%

  投资性房地产                37,261,228.12      0.43%      25,852,087.73        0.34%          44.13%

  固定资产                  2,167,932,301.76      25.23%    1,909,846,714.28      24.99%          13.51%

  在建工程                    71,173,706.52      0.83%      97,156,192.10        1.27%          -26.74%

  使用权资产                    8,330,650.92      0.10%      10,111,257.46        0.13%          -17.61%

  无形资产                    357,997,609.11      4.17%      350,415,540.63        4.58%            2.16%

  递延所得税资产              12,133,122.19      0.14%        1,520,095.03        0.02%          698.18%

  其他非流动资产              40,188,084.16      0.47%      27,207,603.03        0.36%          47.71%

  非流动资产合计            3,022,241,912.02      35.17%    2,851,811,484.28      37.31%            5.98%

  资产总计                  8,592,236,706.49    100.00%    7,643,538,458.02      100.00%          12.41%


                                                        山东豪迈机械科技股份有限公司 2022 年度财务决算报告

    报告期内,货币资金年末金额较年初增加 211,212,565.17 元,增幅为 51.45%,主要是公
司根据各时期的经营计划储备货币资金导致余额波动。衍生金融资产年末金额较年初减少3,126,147.97 元,降幅为 84.88%,主要是报告期末未到期的外汇远期公允价值变动所致。应收票据年末金额较年初增加 271,547,627.54 元,增幅为 288.17%,主要是出于谨慎考虑,公司加强对银行承兑汇票管理,将信用等级相对较低的银行承兑汇票由应收款项融资分类为应收票据。应收款项融资年末金额较年初减少 159,954,038.57 元,降幅为 35.11%,主要是出于谨慎考虑,公司加强对银行承兑汇票管理,将信用等级相对较低的银行承兑汇票由应收款项融资分类为应收票据。其他应收款年末金额较年初减少 10,133,260.26 元,降幅为 48.86%,主要是报告期末应收留抵退税减少所致。长期股权投资年末金额较年初减少 138,111,859.78 元,降幅为 33.24%,主要是报告期收回济南豪迈动力部分成本所致。其他权益工具投资年末金额较年初增加35,635,075.00 元,增幅为 251.93%,主要是报告期末被投资项目公允价值变动所致。投资性房地产年末金额较年初增加 11,409,140.39 元,增幅为 44.13%,主要是报告期对外出租的土地房产增加所致。递延所得税资产年末金额较年初增加 10,613,027.16 元,增幅为 698.18%,主要是子公司可抵扣亏损增加所致。其他非流动资产年末金额较年初增加 12,980,481.13 元,增幅为47.71%,主要是报告期末预付设备及土地款增加所致。

  2、负债结构

                                                                                            单位:人民币元

        负债项目                2022 年 12 月 31 日                2022 年 01 月 01 日          同比增减

                                    金额            比重            金额            比重

    短期借款                      129,752,845.78    10.39%          225,064,114.56    19.87%      -42.35%

    应付账款                      370,395,293.22    29.66%          298,936,183.59    26.39%      23.90%

    合同负债                        68,712,170.71    5.50%          58,193,864.91    5.14%      18.07%

    应付职工薪酬                  383,466,588.78    30.71%          362,335,205.73    31.98%        5.83%

    应交税费                        66,786,703.07    5.35%          41,002,491.25    3.62%      62.88%

    其他应付款                      63,908,810.14    5.12%            9,988,646.27    0.88%      539.81%

  一年内到期的非流动负债            3,749,934.17    0.30%            6,066,464.37    0.54%      -38.19%

    其他流动负债                    4,899,424.32    0.39%            4,108,687.44    0.36%      19.25%

    流动负债合计                  1,091,671,770.19    87.42%        1,005,695,658.12    88.77%        8.55%

    租赁负债                        4,022,489.57    0.32%   
[点击查看PDF原文]