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首页 公告 新宝股份:2021年度财务决算报告

新宝股份:2021年度财务决算报告

公告日期:2022-04-28

新宝股份:2021年度财务决算报告 PDF查看PDF原文

                  广东新宝电器股份有限公司

                    2021 年度财务决算报告

一、2021 年度公司财务报表的审计情况

  公司 2021 年度财务报告已经立信会计师事务所(特殊普通合伙)审计,并出具标准的无保留意见的审计报告。会计师的审计意见是:公司财务报表在所有重大方面
按照企业会计准则的规定编制,公允反映了公司 2021 年 12 月 31 日的合并及母公司
财务状况以及 2021 年度的合并及母公司经营成果和现金流量。
二、财务状况、经营成果、现金流量和股东权益情况分析(合并报表口径)
(一)财务状况分析
1、资产结构

                                                            单位:元

          项目                2021.12.31            2021.1.1        同比增减

        货币资金            3,603,224,855.02        4,285,277,842.43    -15.92%

    交易性金融资产            135,364,034.93          317,844,674.72    -57.41%

        应收票据              156,826,355.81          21,038,949.76    645.41%

        应收账款            1,496,347,332.12        1,764,906,519.82    -15.22%

      应收款项融资              21,312,033.37          138,773,003.60    -84.64%

        预付款项                91,988,003.12          71,104,071.13    29.37%

        其他应收款              47,277,813.08          46,269,943.17      2.18%

          存货              2,652,923,803.96        2,119,721,880.13    25.15%

      其他流动资产            168,672,597.27          175,403,127.73      -3.84%

      长期股权投资              105,588,772.31          98,845,291.99      6.82%

      投资性房地产              13,942,001.85          15,472,681.88      -9.89%

        固定资产            2,583,021,519.12        2,318,000,003.76    11.43%

        在建工程              759,254,245.71          356,017,500.83    113.26%

      使用权资产                65,500,892.04          44,470,311.06    47.29%

        无形资产              510,876,062.32          519,116,270.14      -1.59%

        开发支出                  3,641,509.29                          100.00%

      长期待摊费用              31,987,530.39          43,101,105.70    -25.78%

      递延所得税资产            73,377,018.58          74,281,538.93      -1.22%


      其他非流动资产            105,743,592.10          129,590,752.48    -18.40%

        资产总计            12,626,869,972.39      12,539,235,469.26      0.70%

  (1)交易性金融资产2021年期末余额为13,536.40万元,较年初减少57.41%,
主要是期末未到期的结构性存款减少及远期外汇合约公允价值变动影响;

  (2)应收票据 2021 年期末余额为 15,682.64 万元,较年初增长 645.41%,

主要是应收票据重分类影响;

  (3)应收款项融资 2021 年期末余额为 2,131.20 万元,较年初减少 84.64%,

主要是应收票据重分类影响;

  (4)在建工程 2021 年期末余额为 75,925.42 万元,较年初增长 113.26%,

主要是本期基建工程投入增加;

  (5)使用权资产 2021 年期末余额为 6,550.09 万元,较年初增长 47.29%,

主要是本期长期经营租赁增加;

  (6)开发支出 2021 年期末余额为 364.15 万元,较年初增长 100.00%,主要

是本期新增处于开发阶段的无形资产。
2、负债结构

                                                            单位:元

            项目                  2021.12.31            2021.1.1      同比增减

 短期借款                          437,953,840.80        98,564,713.56  344.33%

 应付票据                          2,908,328,091.93      3,102,569,505.04    -6.26%

 应付账款                          1,575,354,002.82      1,592,720,841.52    -1.09%

 合同负债                          457,239,381.84      407,793,965.27    12.13%

 应付职工薪酬                      498,067,514.96      533,589,500.66    -6.66%

 应交税费                          102,097,408.17      105,099,616.82    -2.86%

 其他应付款                        316,762,952.29      256,623,501.09    23.43%

 一年内到期的非流动负债              38,742,534.98      224,859,011.84  -82.77%

 其他流动负债                        58,243,833.71        28,585,088.35  103.76%

 租赁负债                            29,977,784.66        19,611,299.22    52.86%

 递延收益                            43,200,000.00        48,600,000.00  -11.11%

 递延所得税负债                      4,914,605.85        17,287,145.18  -71.57%

 负债合计                          6,470,881,952.01      6,435,904,188.55    0.54%

  (1)短期借款 2021 年期末余额为 43,795.38 万元,较年初增长 344.33%,

主要是期末补充流动资金的借款增加;


  (2)一年内到期的非流动负债 2021 年期末余额为 3,874.25 万元,较年初减

少 82.77%,主要是长期借款到期偿还;

  (3)其他流动负债 2021 年期末余额 5,824.38 万元,较年初增长 103.76%,

主要是未终止确认的已背书未到期的票据增加;

  (3)租赁负债 2021 年期末余额 2,997.78 万元,较年初增长 52.86%,主要

是本期租赁厂房增加;

  (5)递延所得税负债 2021 年期末余额为 4,91.46 万元,较年初减少 71.57%,
主要是交易性金融资产公允价值变动影响。
(二)经营成果分析

                                                              单位:元

              项目                    2021 年度        2020 年度      同比增减

一、营业总收入                      14,912,387,585.69  13,191,047,852.54    13.05%

  其中:营业收入                  14,912,387,585.69  13,191,047,852.54    13.05%

二、营业总成本                      14,075,226,595.00  11,964,489,662.62    17.64%

  其中:营业成本                  12,286,512,419.13  10,115,665,495.82    21.46%

        税金及附加                    79,158,196.96    82,647,607.54    -4.22%

        销售费用                    439,646,631.34    434,662,280.90      1.15%

        管理费用                    779,250,916.90    700,593,548.54    11.23%

        研发费用                    442,041,971.85    393,773,803.78    12.26%

        财务费用                      48,616,458.82    237,146,926.04    -79.50%

加:其他收益                            60,208,524.07    44,520,592.06    35.24%

  投资收益                            157,924,268.26      33,277,708.27    374.56%

  公允价值变动收益                  -82,480,639.79    123,264,831.62  -166.91%

  信用减值损失                        2,592,201.09    -23,124,950.67    
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