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首页 公告 若羽臣:广州若羽臣科技股份有限公司2020年财务决算报告

若羽臣:广州若羽臣科技股份有限公司2020年财务决算报告

公告日期:2021-03-31

若羽臣:广州若羽臣科技股份有限公司2020年财务决算报告 PDF查看PDF原文

            广州若羽臣科技股份有限公司

                2020 年财务决算报告

    2020 年,广州若羽臣科技股份有限公司(以下简称“公司”)全
年营业收入 11.36 亿元,同比增长 18.45%;利润总额 1.00 亿元,同
比增长 0.39%;净利润 8804.78 万元,同比增长 2.61%;归母净利润
8851.04 万元,同比增长 2.53%。2020 年末,公司资产总额 11.73 亿
元,负债总额 1.22 亿元,所有者权益总额 10.51 亿元。

    公司本年财务报表经天健会计师事务所(特殊普通合伙)审计,并出具标准无保留意见审计报告。现结合公司实际经营情况,将财务决算情况报告如下:

    一、 决算工作基本情况

    (一) 编制基础

    本公司财务报表以持续经营为编制基础。

    (二) 决算期间

    2020 年度财务决算起止时间为 2020 年 1 月 1 日至 2020 年 12 月
31 日。

    二、 2020 年主要会计数据和财务指标

                          2020 年        2019 年    本年比上年    2018 年

                                                        增减

营业收入(元)      1,135,791,269.78 958,866,975.21    18.45% 930,983,845.17

归属于上市公司股东的    88,510,442.77 86,323,620.56      2.53% 77,300,440.14
净利润(元)
归属于上市公司股东的

扣除非经常性损益的净    81,069,579.16 80,486,591.09      0.72% 69,888,316.94
利润(元)

经营活动产生的现金流  -94,416,494.36 17,082,755.49  -652.70% 61,763,891.87
量净额(元)

基本每股收益(元/股)            0.90          0.95    -5.26%          0.91

稀释每股收益(元/股)            0.90          0.95    -5.26%          0.91

加权平均净资产收益率          12.79%        17.25%    -4.46%        22.27%

                        2020 年末      2019 年末  本年末比上  2018 年末
                                                      年末增减

总资产(元)        1,173,272,959.62 641,737,460.50    82.83% 628,815,887.40

归属于上市公司股东的 1,049,703,261.62 543,737,527.61    93.05% 457,356,687.03
净资产(元)

    三、 财务状况和经营成果及现金流量分析

    (一)合并资产负债表情况

    公司 2020 年 12 月 31 日资产负债表及主要项目变动原因分析:
                                                            单位:元

                  2020 年末              2020 年初        比重

                金额    占总资产    金额    占总资产 增减  重大变动说明
                            比例                  比例

                                                                较期初增加

                                                                163.75%,主要系
货币资金    565,902,105.85  48.23% 214,560,502.83  33.43% 14.80% 本期首次公开发
                                                                行股份收到募集
                                                                资金所致

                                                                较期初增加

                                                                54.42%,主要系
应收账款    125,694,787.53  10.71% 81,396,159.59  12.68% -1.97% 新增应收供应商
                                                                现金支付返利及
                                                                品牌策划业务增
                                                                长所致

                                                                较期初增加

                                                                51.75%,主要系
存货        262,896,962.06  22.41% 173,249,022.10  27.00% -4.59% 零售业务增长及
                                                                期末新增合作品
                                                                牌备货所致

                                                                较期初增加

长期股权投    7,905,102.76    0.67%  7,343,648.69    1.14% -0.47% 7.65%,主要是权
资                                                              益法下确认的投
                                                                资损益增加所致

                                                                较期初增加

固定资产      6,935,012.21    0.59%  2,601,747.73    0.41% 0.18% 166.55%,主要系
                                                                新增运输设备及

                                                                电脑设备、服务
                                                                器所致

                                                                较期初增加

短期借款      54,954,190.00    4.68% 10,000,000.00    1.56% 3.12% 449.54%,主要系
                                                                新增银行贷款所
                                                                致

                                                                较期初增加

                                                                30.34%,主要系
预付款项    125,722,186.80  10.72% 96,459,830.87  15.03% -4.31% 新增供应商抵扣
                                                                货款返利转入预
                                                                付所致

                                                                较期初增加

其他应收款    35,941,515.01    3.06% 27,175,430.92    4.23% -1.17% 32.26%,主要系
                                                                代运营业务新增
                                                                代垫款项所致

                                                                较期初增加

长期待摊费      706,675.59    0.06%    277,747.69    0.04% 0.02% 154.43%,主要系
用                                                              新增场地装修费
                                                                所致

                                                                较期初增加

递延所得税    8,300,566.31    0.71%  5,939,393.20    0.93% -0.22% 39.75%,主要系
资产                                                            内部交易未实现
                                                                利润所致

                         
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