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传智教育:2022年度财务决算报告

公告日期:2023-04-18

传智教育:2022年度财务决算报告 PDF查看PDF原文

      江苏传智播客教育科技股份有限公司

            2022 年度财务决算报告

一、2022 年度公司财务报表的审计情况

  江苏传智播客教育科技股份有限公司(以下简称“公司”)2022 年财务报表已经德勤华永会计师事务所(特殊普通合伙)审计,出具了标准无保留意见的审计报告。会计师的审计意见是: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,公允反映了公司 2022 年 12 月 31 日合并及公司的财务状况
以及 2022 年度合并及公司的经营成果和现金流量。
二、主要财务数据和指标

                        2022 年          2021 年        本年比上年增减        2020 年

 营业收入(元)      802,816,799.35    663,851,831.39            20.93%    639,619,907.27

 归属于上市公司

 股 东 的 净 利 润    180,786,260.78    76,844,624.68          135.26%    65,067,963.84
 (元)
 归属于上市公司

 股东的扣除非经    142,399,146.33    49,037,479.34          190.39%    39,080,642.91
 常性损益的净利
 润(元)
 经营活动产生的

 现 金 流 量 净 额    275,884,964.80    190,798,223.04            44.60%    16,093,293.74
 (元)

 基本每股收益(元              0.45              0.19          136.84%              0.18
 /股)

 稀释每股收益(元              0.45            不适用            不适用            不适用
 /股)

 加权平均净资产            14.19%            6.67%            7.52%            7.99%
 收益率

                      2022 年末        2021 年末      本年末比上年末      2020 年末

                                                              增减

 总资产(元)      1,841,480,866.00  1,749,163,162.13            5.28%  1,111,014,093.26

 归属于上市公司

 股 东 的 净 资 产  1,338,209,314.26  1,212,988,390.13            10.32%    850,341,606.24
 (元)

  报告期内,公司实现营业总收入 802,816,799.35 元,同比增长 20.93%;
归属于上市公司股东的净利润 180,786,260.78 元,同比增长 135.26%。
三、财务状况、经营成果和现金流情况分析
(一)资产负债表项目


                                                                                    单位:元

      项目        2022 年 12 月 31 日  2022 年 1 月 1 日  变动比例            说明

 交易性金融资产      522,250,504.01  400,480,744.38    30.41%  期末未到期理财增加所致

                                                                  专修 18 级学员服务期满后
 应收账款              9,469,616.25    5,532,917.82    71.15%  应收学费由合同资产转入
                                                                  所致

                                                                  专修 18 级学员服务期满后
 合同资产                              11,520,518.97  -100.00%  应收学费转至应收账款所
                                                                  致

 一年内到期的非      1,701,270.00    52,704,580.44    -96.77%  原持有大额存单到期收回
 流动资产                                                          所致

 其他流动资产          40,379,350.99      649,985.20  6112.35%  本期新购入短期大额存单
                                                                  所致

 长期应收款            7,898,053.20    20,660,190.57    -61.77%  融资转租赁业务本期终止
                                                                  所致

 应付职工薪酬          74,094,907.78    53,773,403.45    37.79%  业绩向好,提高人均薪酬
                                                                  所致

 应交税费              7,563,379.52    5,146,947.97    46.95%  税前利润增加使得应交所
                                                                  得税增加

 其他应付款            34,095,505.05    7,473,371.37    356.23%  发行限制性股票确认回购
                                                                  义务所致

 租赁负债            150,772,186.67  225,850,332.15    -33.24%  部分校区提前退租所致

 其他非流动负债                            727,898.31  -100.00%  融资转租赁业务本期终止
                                                                  所致

(二)利润表项目

                                                                                    单位:元

        项目            2022 年度        2021 年度      变动比例          说明

 其中:营业收入        802,816,799.35  663,851,831.39              宏观形势好转,学员报
                                                              20.93%  名意愿提升,收入增加

 销售费用              124,318,477.84  104,085,090.92              销售人员薪酬增加所
                                                              19.44%  致

 财务费用              10,547,832.64    14,362,694.94              租赁负债利息支出减
                                                            -26.56%  少所致

 公允价值变动收益(损    8,906,755.96      480,744.38              期末未到期理财增加
 失以“-”号填列)                                        1752.70%  所致

 资产减值损失(损失以    -8,111,062.23    2,254,512.25              沭阳校区资产组减值
 “-”号填列)                                            -459.77%  所致

 加:营业外收入        12,873,800.28    7,008,319.74      83.69%  政府补助增加所致

 减:所得税费用        27,970,330.16    3,236,046.37              利润总额增加,应纳税
                                                            764.34%  所得额增加所致

(三)现金流量表项目

                                                                                    单位:元

                项目                        2022 年度            2021 年度      变动比例

 经营活动现金流入小计                        851,111,962.16    743,617,636.97    14.46%

 经营活动现金流出小计                        575,226,997.36    552,819,413.93      4.05%

 经营活动产生的现金流量净额                  275,884,964.80    190,798,223.04    44.60%

 投资活动现金流入小计                      4,979,157,582.05  3,920,745,066.10    27.00%

 投资活动现金流出小计                      5,061,471,224.82  4,335,236,986.66    16.75%

 投资活动产生的现金流量净额                  -82,313,642.77  -414,491,920.56    -80.14%

 筹资活动现金流入小计                          28,327,236.96    313,526,455.33    -90.96%

 筹资活动现金流出小计        
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