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首页 公告 安居宝:2023年度财务决算报告

安居宝:2023年度财务决算报告

公告日期:2024-04-23

安居宝:2023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

                  2023年度财务决算报告

  公司 2023 年 12 月 31 日资产负债表、2023 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 2023 年
12 月 31 日财务状况以及 2023 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

                          2023 年末                  2022 年末

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

    货币资金      451,618,353.84  29.77%  593,818,649.83    37.21%      -7.44%    -23.95%

 交易性金融资产    45,300,049.15    2.99%    69,857,183.42    4.38%      -1.39%    -35.15%

    应收票据        7,549,091.42    0.50%    38,190,229.31    2.39%      -1.89%    -80.23%

    应收账款      236,484,349.56  15.59%  325,172,639.01    20.38%      -4.79%    -27.27%

      存货          81,058,648.21    5.34%  115,703,549.43    7.25%      -1.91%    -29.94%

一年内到期的非流    21,696,072.44    1.43%    38,977,926.25    2.44%      -1.01%    -44.34%
    动资产

  其他流动资产      32,882,418.91    2.17%    37,543,923.01    2.35%      -0.18%    -12.42%

    债权投资      254,648,083.33  16.79%                                  16.79%    100.00%

  长期应收款      68,196,585.16    4.50%    46,834,801.46    2.94%      1.56%    45.61%

  投资性房地产      45,965,530.27    3.03%    45,735,276.76    2.87%      0.16%      0.50%

  使用权资产        1,378,578.78    0.09%    2,742,398.63    0.17%      -0.08%    -49.73%

      商誉          8,492,419.75    0.56%    15,720,237.85    0.99%      -0.43%    -45.98%

  长期待摊费用      4,624,834.00    0.30%    5,054,615.75    0.32%      -0.02%    -8.50%

 递延所得税资产    53,386,904.79    3.52%    42,813,817.95    2.68%      0.84%    24.70%

 其他非流动资产      7,115,709.57    0.47%    11,381,773.13    0.71%      -0.24%    -37.48%

    应付账款        87,642,765.50    5.78%  106,006,377.92    6.64%      -0.86%    -17.32%

    合同负债        24,914,036.48    1.64%    31,103,319.82    1.95%      -0.31%    -19.90%

  应付职工薪酬      13,045,617.26    0.86%    15,696,765.71    0.98%      -0.12%    -16.89%

  其他应付款      14,851,168.58    0.98%    19,131,957.81    1.20%      -0.22%    -22.38%

  其他流动负债      23,360,326.55    1.54%    23,120,553.94    1.45%      0.09%      1.04%

重大变动项目说明如下:
1、交易性金融资产 2023 年年末比年初下降 35.15%,主要原因系报告期公司购买证券投资理财产品减少;
2、应收票据 2023 年年末比年初下降 80.23%,主要原因系公司收紧信用政策,收取商业承兑汇票减少;3、应收账款 2023 年年末比年初下降 27.27%,主要原因系报告期公司营业收入下降且公司收紧信用额度;4、一年内到期的非流动资产 2023 年年末比年初下降 44.34%,主要原因系报告期末一年内到期的长期应收款金额减少;
5、债权投资 2023 年年末比年初增长 100.00%,主要原因系报告期公司一年以上银行定期存款和大额存单金额增加;
6、长期应收款 2023 年年末比年初增长 45.61%,主要原因系报告期内分期收款销售商品项目增加;
2、所有者权益状况

                                                                                单位:元

      项目            2023 年末          2022 年末          增减额          增减比例

  未分配利润        243,589,750.12    282,774,455.32    -39,184,705.20        -13.86%

  其他综合收益        1,047,462.51        872,888.81        174,573.70        20.00%

 归属于母公司所    1,309,469,238.94  1,348,249,533.23    -38,780,294.29        -2.88%
  有者权益合计

  2023 年,公司未分配利润比年初余额下降 13.86%,归属母公司所有者权益比年初余额下降 2.88%,主
要原因系为本期净利润的下降;其他综合收益比年初余额增长 20.00%,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                360,960,480.60    436,971,440.62            -17.39%

        营业成本                  215,097,283.19    275,375,148.88            -21.89%

      税金及附加                  5,859,085.34      6,373,228.33            -8.07%

        销售费用                  56,242,678.17      64,802,962.08            -13.21%

        管理费用                  42,863,471.07      50,941,400.42            -15.86%

        研发费用                  43,479,786.63      59,431,549.02            -26.84%

        财务费用                  -16,674,973.83    -16,161,043.63            -3.18%

    公允价值变动损益                -765,128.94        651,184.07          -217.50%

        投资收益                    5,889,178.16          89,055.36          6512.94%

        其他收益                    9,790,472.70      12,837,758.38            -23.74%


      信用减值损失                -71,253,962.52    -41,969,757.95            -69.77%

      资产减值损失                -11,219,114.97    -30,564,726.60            63.29%

      资产处置收益                    172,098.85        -984,557.95            117.48%

        营业利润                  -53,293,306.69    -63,732,849.17            16.38%

      营业外收入                      44,047.35      1,420,641.06            -96.90%

      营业外支出                  2,166,894.91      1,694,402.38            27.89%

        利润总额                  -55,416,154.25    -64,006,610.49            13.42%

      所得税费用                -11,059,816.97    -13,568,662.14            18.49%

        净利润                  -44,356,337.28    -50,437,948.35            12.06%

 归属于母公司股东的净利          -39,184,705.20    -46,623,930.97            15.96%

          润

      少数股东损益                -5,171,632.08      -3,814,017.38          
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