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秀强股份:2023年度财务决算报告

公告日期:2024-04-10

秀强股份:2023年度财务决算报告 PDF查看PDF原文

                江苏秀强玻璃工艺股份有限公司

                  2023 年度财务决算报告

  江苏秀强玻璃工艺股份有限公司(以下简称“公司”)2023年度财务报告已经大华会计事务所(特殊普通合伙)审计,并出具标准无保留意见的《审计报告》(大华审字[2024] 0011007020号),公司2023年度财务决算情况如下:

    一、主要财务情况

  2023年公司实现营业收入143,749.22万元,较上年同期下降4.62%;营业利润23,418.34万元,较上年同期增长11.55%;利润总额23,344.42万元,较上年同期增长12.38%;归属于上市公司股东的净利润20,803.10万元,较上年同期增长12.99%。

    二、经营情况分析

                                                                        单位:万元

                项目                    2023 年度      2022 年度    同比变动幅度

              营业收入                  143,749.22      150,705.76        -4.62%

              营业成本                  99,769.92      108,709.94        -8.22%

              税金及附加                  1,423.82        1,470.07        -3.15%

              销售费用                  4,510.19        3,827.34        17.84%

              管理费用                  10,395.56      11,567.28        -10.13%

              研发费用                  5,610.13        5,668.35        -1.03%

              财务费用                  -1,869.40      -2,761.37          -

              其他收益                  1,710.28        867.81        97.08%

    投资收益(损失以“-”号填列)        1,197.25        256.25        367.22%

 公允价值变动收益(损失以“-”号填列)      327.10          0.00            -

  信用减值损失(损失以“-”号填列)        61.75          310.28        -80.10%

  资产减值损失(损失以“-”号填列)      -3,769.81        -937.18            -

  资产处置收益(损失以“-”号填列)        -17.23        -1,727.26          -

              营业利润                  23,418.34      20,994.06        11.55%

              营业外收入                  20.95          8.52          145.89%

              营业外支出                  94.86          229.17        -58.61%

              利润总额                  23,344.42      20,773.42        12.38%


              所得税费用                  2,608.90        2,337.17        11.63%

          归属上市公司净利润              20,803.10      18,412.19        12.99%

    经营情况同比变动幅度较大的原因说明如下:

  (1)财务费用-1,869.40万元较上年同期-2,761.37万元增加891.97万元,主要原因是报告期汇兑收益1,219.21万元,较上年同期2,953.64万元减少1,734.43万元。

  (2)其他收益1,710.28万元较上年同期867.81万元增长97.08%,主要原因是报告期公司及子公司计入当期损益的政府补助款增加。

  (3)投资收益和公允价值变动收益之和1,524.35万元较上年同期256.25万元增长494.87%,主要原因是报告期购买的银行大额存单及结构性存款理财收益增加。

  (4)信用减值损失-61.75万元较上年同期-310.28万元增加248.53万元,主要原因是报告期应收票据和应收账款计提的坏账准备增加。

  (5)资产减值损失3,769.81万元较上年同期937.18万元增加2,832.63万元,主要原因是报告期公司对部分生产线实施了自动化升级改造,对不能正常使用的固定资产等在本报告期进行报废处理、计提固定资产减值准备。

  (6)资产处置损失17.23万元较上年同期1,727.26万元减少1,710.03万元,主要原因是报告期处置固定资产报废减少。

    三、财务状况

                                                                        单位:万元

          项目              2023 年 12 月 31 日      2022 年 12 月 31 日    增减变动

        货币资金                51,331.99              117,181.90        -56.19%

      交易性金融资产              40,327.10                0.00              -

        应收票据                30,887.56              27,245.73        13.37%

        应收账款                35,948.35              32,999.96          8.93%

      应收款项融资              2,026.94                2,794.16        -27.46%

        预付款项                1,783.30                2,185.74        -18.41%

        其他应收款                387.61                536.72          -27.78%

          存货                  19,035.74              18,506.81          2.86%

  一年内到期的非流动资产            19.53                5,489.99        -99.64%


    其他流动资产              48,920.57              3,106.27        1474.90%

    长期应收款                113.74                133.27          -14.65%

  其他权益工具投资              500.00                500.00          0.00%

      固定资产                54,364.15              53,972.64          0.73%

      在建工程                2,432.70                2,773.53        -12.29%

    使用权资产                469.56                349.24          34.45%

      无形资产                5,061.67                5,161.86          -1.94%

    长期待摊费用                460.61                337.19          36.60%

  递延所得税资产              1,888.36                2,352.64        -19.73%

  其他非流动资产              693.69                1,755.91        -60.49%

      资产总计                296,653.18              277,383.57        6.95%

      短期借款                7,015.96                7,549.04          -7.06%

      应付票据                19,797.08              12,138.62        63.09%

      应付账款                10,638.02              21,964.98        -51.57%

      合同负债                2,008.59                157.39          1176.19%

    应付职工薪酬              3,849.32                3,408.83          12.92%

      应交税费                  583.15                445.00          31.04%

    其他应付款                2,226.67                3,336.96        -33.27%

一年内到期的非流动负债          146.22                250.92          -41.73%

    其他流动负债              8,211.43                1,497.68        448.28%

      租赁负债                  277.64                  46.11          502.13%

      预计负债                  339.81                231.03          47.08%

      递延收益                2,654.73                1,775.93          49.48%

  递延所得税负债              131.67                
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