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金通灵:2021年度财务决算报告

公告日期:2022-04-26

金通灵:2021年度财务决算报告 PDF查看PDF原文

          金通灵科技集团股份有限公司

            2021 年度财务决算报告

各位董事:

  2021 年,在金通灵科技集团股份有限公司(以下简称“公司”)董事会和经营管理团队的正确领导和全体员工的共同努力下,受益于节能环保产业的大发展,在国家“双碳”战略背景下,公司在余热余汽煤气发电、热电联产及汽机拖动系统节能、储能等领域市场占有率逐步提高,营业收入实现增长。同时,受到原材料价格大幅上涨、全球疫情延缓海外项目建设等诸多挑战,出现了经营业绩同比下降的情况。根据《公司章程》规定,现将公司 2021 年度财务决算情况汇报如下:

  一、财务报表审计情况

  报告期内,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 2021 年 12 月 31 日合并及母公司财务状况、
2021 年度合并及母公司经营成果和现金流量。公司编制的 2021 年度财务报表经大华会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告(大华审字[2022]000289 号)。

  二、主要会计数据

  报告期内,公司实现营业收入 175,485.39 万元,同比增长 22.20%;
实现营业利润 1,099.99 万元,同比下降 80.46%;实现归属于上市公司股东的净利润为 1,986.30 万元,同比下降 66.13%;经营活动产生的现
金流量净额为-13,385.00 万元,同比下降 190.69%。截至 2021 年 12
月 31 日,公司总资产为 671,562.53 万元,同比增长 9.85%;归属于上
 市公司股东的净资产为 327,214.70 万元,同比增长 32.24%。详见下表 所示:

                                                                          单位:元

                    2021 年度/2021 年  2020 年度/2020 年

      项目                                                  增减金额    增减(%)
                        12 月 31 日        12 月 31 日

营业收入            1,754,853,936.25  1,436,058,154.28  318,795,781.97    22.20%

营业利润                10,999,927.42    56,303,372.03  -45,303,444.61  -80.46%

利润总额                1,281,344.53    56,425,960.62  -55,144,616.09  -97.73%

归属于上市公司股东

                        19,863,009.04    58,648,917.33  -38,785,908.29  -66.13%
的净利润
归属于上市公司股东

的扣除非经常性损益    17,553,286.36    12,799,959.27    4,753,327.09    37.14%
后的净利润
经营活动产生的现金

                      -133,850,028.61    -46,045,138.93  -87,804,889.68  -190.69%
流量净额

资产总额            6,715,625,312.24  6,113,267,841.68  602,357,470.56    9.85%

负债总额            3,425,020,388.84  3,633,087,716.42  -208,067,327.58    -5.73%

归属于上市公司股东

                    3,272,147,039.05  2,474,314,957.60  797,832,081.45    32.24%
的所有者权益

期末总股本(股)    1,489,164,214.00  1,230,264,538.00  258,899,676.00    21.04%

    三、主要财务指标

                                                                          单位:元

      项目              2021 年            2020 年          增减金额    增减(%)

基本每股收益(元)      0.0135            0.0477          -0.0342      -71.70%

稀释每股收益(元)        0.0135            0.0477          -0.0342      -71.70%

加权平均净资产收益

                          0.62%            2.39%            -1.77%      -74.06%
率(%)

期末归属于上市公司        2.20              2.01            0.19        9.25%

股东的每股净资产
(元)
每股经营活动产生的

                          -0.09            -0.04            -0.05      -124.71%
现金流量净额(元)

毛利率                  18.84%            23.55%          -4.71%      -19.98%

净利率                    0.86%            3.64%            -2.78%      -76.37%

资产负债率(%)        51.00%            59.43%          -8.43%      -14.18%

    四、资产负债情况

      (一)资产、负债、所有者权益数据

                                                                          单位:元

    项目      2021 年 12 月 31 日  2020 年 12 月 31 日      增减金额      增减(%)

流动资产:

货币资金          523,873,011.41    427,830,543.36    96,042,468.05    22.45%

应收票据          214,265,533.05    165,540,050.09    48,725,482.96    29.43%

应收账款          918,315,761.70    954,417,284.30    -36,101,522.60    -3.78%

应收款项融资        31,449,700.60    65,976,966.84    -34,527,266.24    -52.33%

预付款项          230,133,744.05    105,889,849.18    124,243,894.87    117.33%

其他应收款          51,052,785.40    66,860,046.60    -15,807,261.20    -23.64%

存货              526,492,698.50    493,391,975.53    33,100,722.97    6.71%

合同资产        1,906,738,590.84  1,556,455,721.11    350,282,869.73    22.51%

其他流动资产        66,558,183.30    32,870,171.37    33,688,011.93    102.49%

流动资产合计    4,468,880,008.85  3,869,232,608.38    599,647,400.47    15.50%

非流动资产:

长期股权投资        75,465,002.31    96,522,952.87    -21,057,950.56    -21.82%

其他非流动金融

                    5,000,000.00      5,000,000.00              0.00    0.00%
资产

固定资产          941,564,169.65  1,037,217,217.52    -95,653,047.87    -9.22%

在建工程          200,369,988.42    111,907,372.08    88,462,616.34    79.05%

使用权资产          2,728,095.89        ---            2,728,095.89    100.00%


无形资产          185,294,963.98    180,855,506.90      4,439,457.08    2.45%

开发支出            50,349,477.33    22,743,932.70    27,605,544.63    121.38%

商誉              612,758,610.14    615,944,623.07    -3,186,012.93    -0.52%

长期待摊费用        5,663,835.30      7,107,024.24    -1,443,188.94    -20.31%

递延所得税资产    100,008,138.34    69,870,659.38    30,137,478.96    43.13%

其他非流动资产      67,543,022.03    96,865,944.54    -29,322,922.51    -30.27%

非流动资产合计  2,246,745,303.39  2,244,035,233.30      2,710,070.09    0.12%

资产总计        6,715,625,312.24  6,113,267,841.68    602,357,470.56    9.85%

流动负债:

短期借款          835,158,085.52  1,481,314,213.36  -646,156,127.84    -43.62%

应付票据          517,026,389.48    338,179,429.26    178,846,960.22    52.89%

应付账款        1,223,400,371.37  1,143,434,546.41    79,965,824.96    6.99%

合同负债          176,372,675.96    179,706,072.15    -3,333,396.19    -1.85%

应付职工薪酬        20,854,869.37    19,530,595.39      1,324,273.98    6.78%

应交税费            41,509
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