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首页 公告 天龙集团:2023年度决算报告

天龙集团:2023年度决算报告

公告日期:2024-04-29

天龙集团:2023年度决算报告 PDF查看PDF原文

                广东天龙科技集团股份有限公司

                      2023 年度财务决算报告

    广东天龙科技集团股份有限公司(以下简称“公司”)2023 年 12 月 31 日母公司及
合并的资产负债表、2023 年度母公司及合并的利润表、2023 年度母公司及合并的现金流量表、2023 年度母公司及合并的所有者权益变动表及相关报表附注已经大华会计师事务所(特殊普通合伙)审计,并出具审计报告。
一、2023 年度经营成果:

                                                                    单位:元

        项目名称              2023 年          2022 年          增加额      增长比率

 营业收入                    8,703,396,740.28  9,633,363,940.64  -929,967,200.36    -9.65%

 营业成本                    8,183,555,387.94  9,073,109,159.68  -889,553,771.74    -9.80%

 税金及附加                    12,277,500.58    12,204,303.76      73,196.82    0.60%

 销售费用                    181,239,376.70    180,824,745.03      414,631.67    0.23%

 管理费用                    146,798,858.06    201,678,484.21  -54,879,626.15    -27.21%

 研发费用                      34,157,008.79    29,730,817.15    4,426,191.64    14.89%

 财务费用                      29,374,500.63    29,164,486.90      210,013.73    0.72%

 其他收益                      31,008,406.09    53,144,301.50  -22,135,895.41    -41.65%

 投资收益                      14,110,573.38      1,450,744.15    12,659,829.23  872.64%

 信用减值损失                  -67,227,885.89    -18,763,024.17  -48,464,861.72  258.30%

 资产减值损失                  -53,318,733.85    -9,308,292.69  -44,010,441.16  472.81%

 资产处置收益                    972,351.11        784,710.68      187,640.43    23.91%

 营业利润                      41,538,818.42    133,960,383.38  -92,421,564.96    -68.99%

 营业外收入                    7,260,375.67      4,394,210.37    2,866,165.30    65.23%

 营业外支出                    3,302,448.88      1,302,507.61    1,999,941.27  153.55%

 利润总额                      45,496,745.21    137,052,086.14  -91,555,340.93    -66.80%

 所得税费用                    28,330,528.63    26,272,100.78    2,058,427.85    7.84%

 归属于母公司股东的净利润      13,616,678.06    102,957,234.10  -89,340,556.04    -86.77%

 基本每股收益                        0.0181          0.1400        -0.1219    -87.07%

    公司 2023 年实现营业收入 8,703,396,740.28 元,比上年同期下降 9.65%,实现营业利
润 41,538,818.42 元,比上年同期下降 68.99%,实现归属于母公司股东的净利润13,616,678.06 元,比上年同期下降 86.77%,实现基本每股收益 0.0181 元,比上年同期下降 87.07%,现将有关经营情况分析如下:

  1、管理费用本期数为 146,798,858.06 元,比上年同期减少 27.21%,主要原因系股权激
励考核业绩未达成而调整股份支付费用估计数及各子公司降本增效所致;

  2、其他收益本期数为 31,008,406.09 元,比上年同期减少 41.65%,主要原因系公司下
属子公司增值税进项加计抵减减少所致;

  3、投资收益本期数为 14,110,573.38 元,比上年同期增加 12,659,829.23 元,主要原因
系公司处置子公司青岛天龙油墨有限公司股权所致;

  4、信用减值损失本期数为-67,227,885.89 元,比上年同期增加 48,464,861.72 元,主要
原因系公司评估预期信用损失计提坏账准备增加所致;

  5、资产减值损失本期数为-53,318,733.85 元,较上年同期增加 44,010,441.16 元,主要
系计提商誉减值准备所致;

  6、资产处置收益本期数为 972,351.11 元,较上年同期增加 23.91%,主要系本公司下属
子公司使用权资产处置形成的收益增加所致

  7、营业外收入本期数为 7,260,375.67 元,比上年同期增加 65.23%,主要系本期本公司
下属子公司清算注销时处置无须返还的合同负债所致;

  8、营业外支出本期数为 3,302,448.88 元,比上年同期增加 153.55%,主要系本期本公
司下属子公司处置固定资产损失增加及违约金支出增加所致。

  二、2023 年末财务状况

                                                                                单位:元

        项目名称              2023 年          2022 年        增加额      增长比率

 货币资金                      186,720,397.27    111,501,599.74  75,218,797.53    67.46%

 应收票据                      91,860,847.18    121,409,887.76  -29,549,040.58    -24.34%

 应收账款                    1,582,020,488.90  1,992,356,737.00  410,336,248.10    -20.60%

 应收款项融资                  53,672,957.10    20,496,988.81  33,175,968.29  161.86%

 预付款项                      167,874,881.40    188,143,256.26  -20,268,374.86    -10.77%

 其他应收款                    94,216,469.38    147,840,855.58  -53,624,386.20    -36.27%


        项目名称              2023 年          2022 年        增加额      增长比率

 存货                          270,123,689.49    318,824,354.24  -48,700,664.75    -15.28%

 其他流动资产                  55,677,619.02    28,462,708.39  27,214,910.63    95.62%

 长期股权投资                    1,196,880.85      1,384,811.07    -187,930.22    -13.57%

 其他权益工具投资                3,100,000.00      3,100,000.00              -    0.00%

 投资性房地产                  16,441,271.33    17,013,305.70    -572,034.37    -3.36%

 固定资产                      139,664,802.00    145,665,368.55    -6,000,566.55    -4.12%

 在建工程                      103,801,262.11    67,886,904.62  35,914,357.49    52.90%

 使用权资产                    19,648,505.77    16,617,416.31    3,031,089.46    18.24%

 无形资产                      48,165,787.56    50,380,086.26    -2,214,298.70    -4.40%

 商誉                          13,640,092.15    64,129,341.08  -50,489,248.93    -78.73%

 长期待摊费用                    4,226,182.40      3,468,839.10      757,343.30    21.83%

 递延所得税资产                50,792,247.98    37,811,241.04  12,981,006.94    34.33%

 其他非流动资产                  7,585,978.16      9,865,096.51    -2,279,118.35    -23.10%

 短期借款                      359,343,195.04    565,110,704.46  -205,767,509.42    -36.41%

 应付账款                      275,678,779.04    451,064,367.42  -175,385,588.38    -38.88%

 预收款项             
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