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首页 公告 集泰股份:2021年度财务决算报告

集泰股份:2021年度财务决算报告

公告日期:2022-03-26

集泰股份:2021年度财务决算报告 PDF查看PDF原文

                  广州集泰化工股份有限公司

                    2021 年度财务决算报告

    公司 2021 年度财务报告经天职国际会计师事务所(特殊普通合伙)审计,并出具了天
职业字[2022]12573 号标准无保留意见的审计报告。

    我们结合公司的实际经营管理情况和 2021 年财务报表数据,对公司 2021 年 12 月 31
日的财务状况、2021 年度的经营成果、现金流量情况进行了认真的研究和分析,现将公司有关的财务决算情况汇报如下:

    一、主要财务数据及财务指标

 主要会计数据及财务指标        2021 年            2020 年          本期比上年同期增减幅度

营业收入(元)            1,675,539,898.37  1,258,711,606.33            33.12%

归属于母公司股东的净利      50,689,231.18      111,751,115.89              -54.64%

润(元)
归属于上市公司股东的扣

除非经常性损益的净利润      43,228,449.44      108,855,031.65              -60.29%

(元)

经营活动产生的现金流量      -3,030,182.38      193,576,326.86            -101.57%

净额(元)

基本每股收益(元/股)          0.136              0.342                  -60.23%

稀释每股收益(元/股)          0.136              0.342                  -60.23%

加权平均净资产收益率(%)        5.85%              20.29%                  -14.44%

扣除非经常性损益后的加          4.99%              19.77%                  -14.78%

权平均净资产收益率(%)

归属于母公司股东的净资      842,569,990.91    860,795,882.28              -2.12%

产(元)

 主要会计数据及财务指标        2021 年末          2020 年末      2021 年末比 2020 年末增减幅度

总资产(元)              1,889,106,452.17  1,649,087,552.24            14.55%

总负债(元)              1,044,386,863.13    779,819,495.84              33.93%

期末总股本(股)            372,752,452.00    266,518,148.00              39.86%

    二、公司财务状况分析


资产负债表项目    期末数(元)      期初数(元)      变动幅度          变动原因说明

货币资金          411,172,751.60    505,214,939.09    -18.61%    主要系本期募集资金用于募
                                                                    投项目建设所致

                                                                    主要系本期末不符合终止确
应收票据          180,941,557.66    48,537,884.62      272.78%    认条件的已背书未到期银行
                                                                    承兑汇票,重分类到到应收票
                                                                    据所致

应收账款          429,969,853.17    322,789,647.70      33.20%    主要系本期销售收入增长所
                                                                    致

应收款项融资      21,662,332.90      51,184,852.19      -57.68%    主要系本期收到的银行承兑
                                                                    汇票用于支付货款所致

预付款项          7,545,584.63      4,678,546.19      61.28%    主要系预付的材料采购款增
                                                                    加

其他应收款        2,989,096.83      2,681,992.86      11.45%    本期无重大变化

存货              108,230,028.39    93,811,304.89      15.37%    本期无重大变化

合同资产          1,392,622.17      1,464,018.17      -4.88%    本期无重大变化

其他流动资产      19,350,288.87      13,419,246.13      44.20%    主要系本期待认证进项税额
                                                                    增加所致

其他非流动金融    20,000,000.00      20,000,000.00      0.00%    本期无重大变化

资产

投资性房地产        990,686.44        1,122,971.89      -11.78%    本期无重大变化

固定资产          296,465,980.57    241,976,623.51      22.52%    主要系部分募投项目完工后
                                                                    转固所致

在建工程          60,619,455.55      15,443,533.14      292.52%    主要系在建厂房及生产线金
                                                                    额增加所致

使用权资产        9,710,854.46      11,743,197.67      -17.31%    系承租赁合同剩余有效期内
                                                                    的租赁金额减少所致

无形资产          254,637,613.39    37,698,277.25      575.46%    主要系购买的土地使用权增
                                                                    加所致

商誉              24,915,448.13      24,915,448.13      0.00%    本期无重大变化

长期待摊费用      19,009,539.44      15,943,293.05      19.23%    本期无重大变化

                                                                    主要系计提信用减值损失产
递延所得税资产    7,727,973.70      4,711,948.88      64.01%    生的企业所得税暂时性差异
                                                                    增加所致

其他非流动资产    11,774,784.27    243,493,024.55    -95.16%    主要系期初购置土地使用权
                                                                    的预付款减少所致

短期借款          328,381,725.30    204,365,431.71      60.68%    主要系还款期限在一年以内
                                                                    的银行借款增加所致


应付票据          79,475,500.00      59,770,000.00      32.97%    主要系开出的银行承兑汇票
                                                                    未到期金额增加所致

应付账款          269,131,624.68    319,528,826.67    -15.77%    主要系本期加大支付货款力
                                                                    度所致

合同负债          8,468,609.32      12,456,601.50      -32.02%    系承租合同剩余有效期内租
                                                                    赁金额减少所致

应付职工薪酬      22,082,175.52      26,712,253.09      -17.33%    本期无重大变化

应交税费          16,893,214.67      22,275,953.77      -24.16%    主要系本期应交企业所得税
                                                                    减少所致

其他应付款        35,249,600.26      24,565,274.08      43.49%    主要系应付工程设备款及经
                                                                    营性应付款增加所致

                                                                    主要系未满足解锁条件的限
应付股利  
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