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首页 公告 安居宝:2021年度财务决算报告

安居宝:2021年度财务决算报告

公告日期:2022-04-28

安居宝:2021年度财务决算报告 PDF查看PDF原文

              广东安居宝数码科技股份有限公司

                  2021年度财务决算报告

  公司 2021 年 12 月 31 日资产负债表、2021 年度利润表、现金流量表、所有者权益变动表以及财务报
表附注已经立信会计师事务所(特殊普通合伙)审计并出具了标准无保留意见的审计报告。公司 2021 年
12 月 31 日财务状况以及 2021 度经营成果、现金流量情况基本情况简述如下:

  一、财务状况

  1、资产、负债项目重大变动情况

                                                                                  单位:元

                        2021 年末                  2020 年末

    项目            金额        占总资产        金额        占总资产  比重增减  变动幅度
                                    比例                        比例

  货币资金      492,812,991.76    28.19%  413,885,888.83    24.06%      4.13%    19.07%

  应收票据      116,625,973.38      6.67%    73,155,784.62    4.25%      2.42%    59.42%

  应收账款      360,162,605.03    20.60%  470,240,284.84    27.33%      -6.73%    -23.41%

  预付款项        3,614,917.65      0.21%    16,299,855.31    0.95%      -0.74%    -77.82%

  其他应收款      18,228,522.63      1.04%    19,769,848.95    1.15%      -0.11%    -7.80%

    存货        239,184,410.77    13.68%  212,936,191.36    12.38%      1.30%    12.33%

一年内到期的非    56,539,489.47      3.23%    60,234,315.83    3.50%      -0.27%    -6.13%
  流动资产

 其他流动资产    53,510,044.56      3.06%    36,696,260.66    2.13%      0.93%    45.82%

  长期应收款      73,840,376.08      4.22%    96,659,812.27    5.62%      -1.40%    -23.61%

其他非流动金融    10,993,139.69      0.63%                      0.00%      0.63%    100.00%
    资产

  固定资产      169,207,843.75      9.68%  177,498,207.64    10.32%      -0.64%    -4.67%

  使用权资产      6,567,570.26      0.38%    4,897,156.37    0.28%      0.10%    34.10%

  无形资产      23,480,318.30      1.34%    26,778,272.39    1.56%      -0.22%    -12.32%

    商誉        31,724,921.10      1.81%    33,386,670.92    1.94%      -0.13%    -4.98%

 长期待摊费用      6,374,183.88      0.36%    5,651,893.80    0.33%      0.03%    12.78%

其他非流动资产    14,054,713.35      0.80%    8,305,556.55    0.48%      0.32%    69.22%

  应交税费      15,139,315.88    0.87%    20,416,613.50    1.19%      -0.32%    -25.85%

  其他应付款      21,478,981.85      1.23%    31,422,404.09    1.83%      -0.60%    -31.64%

 其他流动负债    26,294,058.70      1.50%      38955086.92    2.26%      -0.76%    -32.50%

重大变动项目说明如下:

  1、 应收票据2021年年末余额比年初增长59.42%,主要原因系客户使用票据结算的比例增加;

  2、 预付款项2021年年末余额比年初下降77.82%,主要原因系减少大额的预付款支付;

  3、 其他流动资产2021年年末余额比年初增长45.82%,系报告期内待抵扣进项税额期末余额增加;

  3、其他流动金融资产2021年年末余额比年初增长100%,主要原因系公司对外投资1000万元,且期末产
  生了公允价值变动损益99万元;


  4、使用权资产2021年年末余额比年初增长34.1%,主要原因系需按租赁准则核算租赁合同;

  5、其他非流动资产2021年年末余额比年初增长69.22%,主要原因系预付的长期资产采购款增加;

  6、其他应付款2021年年末余额比年初下降31.64%,主要原因系期末应付费用余额减少;

  7、其他流动负责2021年年末余额比年初下降32.5%,主要原因系票据背书转让减少。
2、所有者权益状况

                                                                          单位:元

      项目            2021 年末          2020 年末          增减额        增减比例

 未分配利润            349,771,339.72    344,099,313.92      5,672,025.80        1.65%

 其他综合收益              583,561.29        708,524.75        -124,963.46      -17.64%

 归属于母公司所有

                    1,414,975,191.35  1,314,660,420.43    100,314,770.92        7.63%
 者权益合计

  2021 年,公司未分配利润比年初余额增长了 1.65%,系本期净利润的增加;归属母公司所有者权益比年初余额增长了 7.63%。其他综合收益比年初余额下降了 17.64%,主要系受汇率变动影响。

  二、盈利状况

                                                                                    单位:元

              项目                      本年金额          上年金额          同比增减

            营业总收入                759,399,709.42    937,307,627.18          -18.98%

            营业成本                  516,242,097.55    578,733,565.51          -10.80%

            税金及附加                  7,061,320.54      8,545,848.70          -17.37%

            销售费用                  81,045,637.67      92,459,937.22          -12.35%

            管理费用                  53,572,229.57      56,811,006.99            -5.70%

            研发费用                  77,730,122.30      86,517,334.16          -10.16%

            财务费用                  -13,358,555.32    -13,378,130.14            -0.15%

        公允价值变动损益                  993,139.69              0.00              100%

            其他收益                  16,771,274.11      24,855,024.92          -32.52%

            营业利润                  21,555,762.61    126,592,478.73          -82.97%

            营业外收入                  1,111,760.70        146,132.44          660.79%

            营业外支出                    688,846.68        478,987.38            43.81%

            利润总额                  21,978,676.63    126,259,623.79          -82.59%

            所得税费用                  -6,194,845.78      18,112,119.97          -134.20%

              净利润                    28,173,522.41    108,147,503.82          -73.95%

    归属于母公司股东的净利润          27,659,497.31    104,546,600.01          -73.54%

          少数股东损益                    514,025.10      3,600,903.81          -85.73%

      其他综合收益的税后净额              -124,963.46        -446,958.40          -72.04%

              项目                      本年金额          上年金额          同比增减

      基本每股收益(元/股)                      0.05              0.19          -73.68%

  (1)报告期内,营业收入比上年同期下降18.
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