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首页 公告 智能自控:2021年度财务决算报告

智能自控:2021年度财务决算报告

公告日期:2022-04-16

智能自控:2021年度财务决算报告 PDF查看PDF原文

无锡智能自控工程股份有限公司                                  2021 年度财务决算报告

          无锡智能自控工程股份有限公司

              2021 年度财务决算报告

    一、  财务报表审计情况

  公司 2021 年财务报表已经容诚会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告。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,公允反映了智能自控 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、  公司 2021 年度有关财务数据及指标分析:

  2021 年在国内宏观经济增速放缓,新冠肺炎疫情持续肆虐,大宗商品原材料价格剧烈波动不利局面下,公司管理层围绕促生产,提双效的总体经营目标,扎实推进各项经营管理工作,实现了公司经营业绩稳步增长。报告期公司营业收
入 73,420.15 万元,同比增长 33.07%,归属于上市公司股东的净利润 6,327.29 万
元,同比增长 10.84%。

  报告期公司募投项目陆续投产,一直困扰公司的产能瓶颈问题得到有效舒缓,订单交付能力大幅提升,进一步缩短了订单交付周期,提高了客户满意度,推动公司营业收入实现了较快增长。

  报告期大宗原材料价格普遍上涨,推高了原材料采购成本,公司募投项目转固后短期面临一定的固定成本摊销压力,管理层围绕提质增效的总体目标,一方面优化内部管理提高产能利用率,另一方面借助供应链协作降低采购成本,通过降本增效,使得公司净利润保持了稳步增长。

  (一)  财务状况

                                                                单位:元

          资产              2021/12/31          2020/12/31          变动率

 流动资产                  873,496,658.93      749,295,022.75          16.58%

 其中:货币资金              72,215,072.79        63,596,665.63          13.55%

      应收票据              78,050,395.07        55,478,213.51          40.69%

      应收账款            293,977,724.56      185,482,806.19          58.49%

      应收款项融资          27,421,324.72        54,458,638.03          -49.65%

      存货                339,966,142.51      308,556,326.50          10.18%

      合同资产              35,039,092.93        47,559,401.26          -26.33%

 非流动资产                857,191,821.70      708,767,591.40          20.94%

 其中:投资性房地产          3,267,090.96        3,448,066.80          -5.25%


无锡智能自控工程股份有限公司                                  2021 年度财务决算报告

      固定资产            641,159,611.97      567,340,580.96          13.01%

      在建工程              88,088,810.05        44,365,821.87          98.55%

      无形资产              77,739,075.00        80,031,173.72          -2.86%

 资产总计                1,730,688,480.63    1,458,062,614.15          18.70%

    负债和所有者权益        2021/12/31          2020/12/31          变动率

 流动负债                  643,198,197.57      472,027,751.24          36.26%

 其中:短期借款            232,139,665.85      136,684,308.67          69.84%

      应付票据              75,448,853.33        81,617,695.15          -7.56%

      应付账款            203,626,385.52      175,610,103.23          15.95%

      合同负债              38,006,896.21        11,265,226.85          237.38%

      应付职工薪酬          24,269,587.21        19,379,190.61          25.24%

      应交税费              10,233,405.37        8,836,216.29          15.81%

 非流动负债                259,210,986.17      206,737,943.30          25.38%

 其中:长期借款              37,600,000.00                    -                -

      应付债券            201,044,114.93      190,033,391.38            5.79%

 负债合计                  902,409,183.74      678,765,694.54          32.95%

 所有者权益:              828,279,296.89      779,296,919.61            6.29%

 其中:股本                332,527,066.00      332,521,887.00            0.00%

      其他权益工具          46,162,741.15        46,172,676.75          -0.02%

      资本公积              8,561,738.78        17,195,103.48          -50.21%

      盈余公积              54,264,093.70        47,404,174.34          14.47%

      未分配利润          381,962,157.41      338,116,583.74          12.97%

 负债和所有者权益总计    1,730,688,480.63    1,458,062,614.15          18.70%

  主要项目变动说明:

  1、应收账款较上期末增加 58.49%,主要系本期营业收入增长所致。

  2、在建工程较上期末增加 98.55%,主要系本期开关控制阀项目基建增加所
    致。

  3、短期借款较上期末增加 69.84%,主要系本期经营需要增加流动资金贷款
    所致。

  4、合同负债较上期末增加 237.38%,主要系本期客户预收款增加所致。

  (二)  经营业绩

                                                                  单位:元

          项目              2021 年度          2020 年度            变动率

 一、营业总收入            734,201,513.08      551,724,703.77          33.07%

 二、营业总成本            656,716,183.11      472,407,509.94          39.01%

    其中:营业成本        495,580,226.04      347,764,753.47          42.50%

          税金及附加        7,609,172.31        4,136,061.44          83.97%

          销售费用          54,493,532.91        45,638,262.87          19.40%


无锡智能自控工程股份有限公司                                  2021 年度财务决算报告

          管理费用          61,128,874.81        48,646,229.06          25.66%

          研发费用          27,829,442.78        22,189,285.79          25.42%

          财务费用          10,074,934.26        4,032,917.31          149.82%

 加:其他收益                2,653,367.45        3,634,593.69          -27.00%

    投资收益                  -202,000.00          126,798.00        -259.31%

    信用减值损失          -11,520,566.84        -6,785,725.46          69.78%

    资产减值损失            3,983,630.00        -7,767,697.70        -151.28%

    资产处置收益                7,659.47          -25,967.06        -129.50%

 三、营业利润                72,407,420.05        68,499,195.30            5.71%

    加:营业外收入            200,000.00          188,958.26            5.84%

    减:营业外支出              50,000.04        1,210,584.18          -95.87%

 四、利润总额                72,557,420.01        67,477,569.38            7.53%

    减:所得税费用          9,284,428.61     
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