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若羽臣:2021年度财务决算报告

公告日期:2022-04-23

若羽臣:2021年度财务决算报告 PDF查看PDF原文

                广州若羽臣科技股份有限公司

                    2021 年度财务决算报告

    广州若羽臣科技股份有限公司(以下简称“公司”)2021 年度会计报表已经天健会计师
事务所(特殊普通合伙)审计,并出具了天健审〔2022〕7-263 号标准无保留意见的审计报告。现将 2021 年度主要会计数据及主要会计科目变动情况报告如下:

    一、主要会计数据及财务指标变动情况

    (一) 主要会计数据

                                                                              单位:人民币元

                              2021 年            2020 年        增减变动额    增减变动幅
                                                                                  度(%)

 营业收入(元)          1,288,453,356.23  1,135,791,269.78  152,662,086.45      13.44%

 归属于上市公司股东的净      29,195,137.60    88,510,442.77  -59,315,305.17      -67.02%
 利润(元)
 归属于上市公司股东的扣

 除非经常性损益的净利润      19,292,614.19    81,069,579.16  -61,776,964.97      -76.20%
 (元)

 经营活动产生的现金流量    -93,448,980.63    -94,416,494.36      967,513.73        1.02%
 净额(元)

 基本每股收益(元/股)              0.24              0.90            -0.66      -73.33%

 稀释每股收益(元/股)              0.24              0.90            -0.66      -73.33%

 加权平均净资产收益率              2.76%            12.79%          -10.03%      -10.03%

    (二)主要资产情况

                                                                              单位:人民币元

        项目          2021 年 12 年 31 日  2020 年 12 年 31 日    增减变动额    增减变动幅度(%)

总资产                  1,237,362,146.56  1,173,272,959.62  64,089,186.94            5.46%

总负债                    168,416,665.73    122,355,114.89  46,061,550.84          37.65%

所有者权益              1,068,945,480.83  1,050,917,844.73  18,027,636.10            1.72%

其中:归属于上市公司股

                        1,067,827,639.62  1,049,703,261.62  18,124,378.00            1.73%
东的所有者权益


    (一)资产、负债和净资产情况

    1、资产构成及变动情况

    截止 2021 年 12 月 31 日,公司资产总额 1,237,362,146.56 元,较 2020 年年末增加
64,089,186.94 元,同比增长 5.46%。主要资产构成及变动情况如下:

                                                                              单位:人民币元

        项目        2021 年 12 月 31 日    2021 年 1 月 1 日      增减变动额      增减变动

                                                                              幅度(%)

      货币资金        364,479,376.07      565,902,105.85    -201,422,729.78    -35.59%

      应收账款        133,515,676.51      125,694,787.53    7,820,888.98      6.22%

      预付账款        197,193,982.05      125,722,186.80    71,471,795.25    56.85%

    其他应收款        39,924,006.03      35,941,515.01      3,982,491.02      11.08%

        存货          305,531,064.57      262,896,962.06    42,634,102.51    16.22%

    其他流动资产      25,961,466.12      14,530,406.74    11,431,059.38    78.67%

    长期股权投资            0            7,905,102.76      -7,905,102.76    -100.00%

      固定资产        7,577,202.84        6,935,012.21      642,190.63      9.26%

      在建工程        123,989,078.99            0          123,989,078.99      /

    使用权资产        8,265,536.90      12,408,022.88    -4,142,485.98    -33.39%

      无形资产        8,155,752.39        7,684,355.05      471,397.34      6.13%

        商誉          9,821,857.53      10,610,483.71      -788,626.18      -7.43%

    长期待摊费用      1,225,575.48        706,675.59        518,899.89      73.43%

  递延所得税资产      11,278,771.08      8,300,566.31      2,978,204.77      35.88%

    主要变动原因:

  (1)货币资金较期初同比减少 35.59%,主要系本期购买办公楼及备货所致;

  (2)预付账款较期初同比增加 56.85%,主要系本报告期末以抵扣货款兑现的应收返利金额增加所致;
  (3)其他流动资产较期初同比增加 78.67%,主要系本期待抵扣增值税进项税增加所致;

  (4)长期股权投资较期初同比减少 100%,主要系本期处置长期股权投资所致;

  (5)在建工程较期初同比增加主要系新增购买办公楼,但尚未达到可使用状态所致;

  (6)使用权资产较期初同比减少 33.39%,主要系本报告期末租赁期超一年以上的房产租赁额较期初减少所致。

  (7)长期待摊费用较期初同比增长 73.43%,主要系新增场地装修费所致;


  (8)递延所得税资产较期初同比增长 35.88%,主要系本期确认自有品牌亏损所形成的递延所得税资产所致。

    2、负债结构及变动情况

    截止 2021 年 12 月 31 日,公司负债总额 168,416,665.73 元, 比 2020 年同期增加
46,061,550.84 元,同比增长 37.65%。公司主要负债构成及变动情况如下:

                                                                              单位:人民币元

        项目          2021 年 12 月 31 日  2021 年 1 月 1 日      增减变动额    增减变动幅

                                                                                度(%)

        短期借款      98,392,750.04      54,954,190.00    43,438,560.04    79.05%

        应付账款      27,008,830.66      20,322,254.19      6,686,576.47      32.90%

        合同负债        7,694,683.39      13,660,885.93    -5,966,202.54    -43.67%

      应付职工薪酬    16,352,988.24      15,623,088.41      729,899.83      4.67%

        应交税费        3,546,027.87      7,332,240.80      -3,786,212.93    -51.64%

      其他应付款      3,682,954.17      3,218,314.02      464,640.15      14.44%

 一年内到期的非流动负    6,664,630.53      8,446,854.22      -1,782,223.69    -21.10%

 债

      其他流动负债      838,756.68      1,773,398.64      -934,641.96      -52.70%

        租赁负债        1,909,485.65      3,961,168.67      -2,051,683.02    -51.79%

        预计负债        2,325,558.50      5,470,742.90      -3,145,184.40    -57.49%

    主要变动原因:

  (1)短期借款较期初同比增长 79.05%,主要系本期新增银行贷款用于支付品牌货款所致;

  (2)应付账款较期初同比增长主 32.90%,主要系期末仓储物流费未结算的金额增加所致;

  (3)合同负债较期初同比减少 43.67%,主要系期末预收分销客户的金额相比期初减少所致;

  (4)应交税费较期初同比减少 51.64%,主要系本期利润下降,应交企业所得税减少所致;

  (5)其他流动负债较期初同比减少 52.70%,主要系本期待转销项税额减少所致;

  (6)租赁负债较期初同比减少 51.79%,主要系本报告期末租赁超一年以上的房
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