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首页 公告 铭普光磁:关于补充披露《2023年半年度财务报告(更正后)》公告

铭普光磁:关于补充披露《2023年半年度财务报告(更正后)》公告

公告日期:2023-08-22

铭普光磁:关于补充披露《2023年半年度财务报告(更正后)》公告 PDF查看PDF原文

证券代码:002902        证券简称:铭普光磁        公告编号:2023-117
            东莞铭普光磁股份有限公司

 关于补充披露《2023 年半年度财务报告(更正后)》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。

    特别提示:

    本次补充披露更正内容已包含在东莞铭普光磁股份有限公司(以下简称“公司”)披露的《2023 年半年度报告全文(更正后)》中,补充披露《2023 年半年度财务报告(更正后)》不会对公司 2023 年半年度财务状况、经营成果和现金流量造成影响。

    公司分别于 2023 年 8 月 17 日、2023 年 8 月 18 日披露了《2023 年半年度报
告》、《2023 年半年度报告摘要》、《2023 年半年度财务报告》、《2023 年半年度报告全文(更正后)》、《2023 年半年度报告摘要(更正后)》,具体内容详见巨潮资讯网(www.cninfo.com.cn) 的相关公告。为保证披露事项的前后完整性与一致性,根据相关规则,现补充披露《2023 年半年度财务报告(更正后)》,具体信息如下:

    一、“七、合并财务报表项目注释”之“5、应收账款”之“(1)应收账款分类披露”

  更正前:
按组合计提坏账准备:

                                                                                    单位:元

          名称                                        期末余额

                                    账面余额                  坏账准备            计提比例

 1 年以内                            748,747,542.50              9,829,444.27        1.31%

 1 至 2 年                            25,946,746.48              9,569,792.78      36.88%

 2 至 3 年                            13,420,755.76              9,612,807.72      71.63%

 3 年以上                              3,970,985.72              3,970,988.26      100.00%

 合计                                792,086,030.46            32,983,033.03

  更正后:

按组合计提坏账准备:

                                                                                    单位:元

          名称                                        期末余额

                                    账面余额                  坏账准备          计提比例

 1 年以内                            748,747,542.50              9,829,444.27      1.31%

 1 至 2 年                              25,946,746.48              9,569,792.78    36.88%

 2 至 3 年                              13,420,755.76              9,612,810.26    71.63%

 3 年以上                              3,970,985.72              3,970,985.72    100.00%

 合计                                792,086,030.46            32,983,033.03

  二、“七、合并财务报表项目注释”之“25、使用权资产”

  更正前:

                                                                                    单位:元

              项目                        房屋及建筑物                    合计

 一、账面原值

    1.期初余额                                  50,324,787.03            50,324,787.03

    2.本期增加金额                                2,800,788.97              2,800,788.91

 —新增租赁                                        2,800,788.97              2,800,788.91

    3.本期减少金额                                3,611,990.54              3,611,990.54

 —处置                                            3,611,990.54              3,611,990.54

    4.期末余额                                  49,513,585.46            49,513,585.40

 二、累计折旧

    1.期初余额                                  18,271,125.55            18,271,125.57

    2.本期增加金额                                6,886,421.48              7,023,604.49

        (1)计提                                6,886,421.48              7,023,604.49

    3.本期减少金额                                3,611,990.54              3,749,173.58

        (1)处置                                3,611,990.54              3,749,173.58

    4.期末余额                                  21,545,556.51            21,545,556.45

  更正后:

                                                                                    单位:元

              项目                        房屋及建筑物                    合计

 一、账面原值

    1.期初余额                                  50,324,787.03            50,324,787.03

    2.本期增加金额                                2,800,788.97              2,800,788.97

 —新增租赁                                        2,800,788.97              2,800,788.97

    3.本期减少金额                                3,611,990.54              3,611,990.54

 —处置                                            3,611,990.54              3,611,990.54

    4.期末余额                                  49,513,585.46            49,513,585.46

 二、累计折旧

    1.期初余额                                  18,271,125.57            18,271,125.57

    2.本期增加金额                                6,886,421.48              6,886,421.48

        (1)计提                                6,886,421.48              6,886,421.48

    3.本期减少金额                                3,611,990.54              3,611,990.54

        (1)处置                                3,611,990.54              3,611,990.54

    4.期末余额                                  21,545,556.51            21,545,556.51

  三、“七、合并财务报表项目注释”之“48、长期应付款”之“(1)按款项性质列示长期应付款”

  更正前:

                                                                                    单位:元

              项目                          期末余额                    期初余额

 应付融资租赁款                                120,333,154.86              132,357,164.74

 其中:未实现融资费用                            14,161,983.00              7,889,530.55

 合计                                          120,333,154.86              132,357,164.74

  更正后:

                                                                                    单位:元

              项目                          期末余额                    期初余
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