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天晟新材:2023年财务决算报告

公告日期:2024-04-27

天晟新材:2023年财务决算报告 PDF查看PDF原文

            常州天晟新材料集团股份有限公司

                  2023年度财务决算报告

      一、会计师对公司2023年度财务报告的审计意见

      常州天晟新材料集团股份有限公司(以下简称“公司”)2023年度财务报
  告经北京兴华会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见
  审计报告。

      二、2023年经营完成情况及说明

      (一)主要会计数据

                          2023 年        2022 年      本年比      2021 年

                                                        上年增减

营业收入(元)          574,227,880.18  584,659,616.50    -1.78%  761,001,952.17

归属于上市公司股东的  -160,229,146.99  -187,721,964.07    14.65%  -164,090,770.94
净利润(元)
归属于上市公司股东的

扣除非经常性损益的净  -162,934,553.72  -192,862,203.00    15.52%  -166,178,786.47
利润(元)

经营活动产生的现金流  148,026,985.02    -9,300,068.48  1,691.68%  -24,966,307.47
量净额(元)

基本每股收益(元/股)            -0.49          -0.58    15.52%          -0.50

稀释每股收益(元/股)            -0.49          -0.58    15.52%          -0.50

加权平均净资产收益率          -84.02%        -52.22%    -31.80%        -30.56%

                          2023 年末      2022 年末    本年末比    2021 年末
                                                        上年末增

                                                          减

资产总额(元)        1,160,041,808.31 1,364,108,240.85    -14.96%  1,588,686,186.01

归属于上市公司股东的  112,558,236.09  270,807,932.48    -58.44%  453,351,346.46
净资产(元)

(1)2023 年度实现营业收入 57,422.79 万元,同比下降 1.78%;
(2)2023 年度实现营业利润-15,491.29 万元,同比上升 18.25%;
(3)2023 年度归属于上市公司股东的净利润-16,022.91 万元,同比上升 14.65%。
    (二)报告期内公司资产负债构成情况

                                                                      单位:元

                          2023 年末                2022 年末

    资产项目                      占本期                            变动幅度
                      金额                    金额      占本期总

                                  总资产                  资产比重

 货币资金          186,420,045.62  16.07%  90,937,301.57    6.67%  105.00%

 应收票据            1,927,212.72    0.17%  29,402,880.81    2.16%  -93.45%

 应收账款          349,100,249.75  30.09%  572,195,670.75    41.95%  -38.99%

 应收款项融资        3,343,530.29    0.29%    4,568,212.46    0.33%  -26.81%

 预付款项            5,882,357.46    0.51%    6,159,772.80    0.45%    -4.50%

 其他应收款          12,380,187.15    1.07%    6,639,546.08    0.49%    86.46%

 存货              75,403,355.38    6.50%  113,736,702.95    8.34%  -33.70%

 合同资产          11,618,600.09    1.00%    6,427,059.77    0.47%    80.78%

 其他流动资产      25,150,473.72    2.17%  12,890,888.44    0.95%    95.10%

 长期股权投资        7,420,047.33    0.64%    5,316,691.83    0.39%    39.56%

 其他非流动金融                -        -  10,000,000.00    0.73%  -100.00%
 资产

 固定资产          287,576,525.37  24.79%  316,448,931.09    23.20%    -9.12%

 在建工程          46,818,442.88    4.04%  27,900,487.30    2.05%    67.81%


 使用权资产          4,415,786.76    0.38%    3,640,251.91    0.27%    21.30%

 无形资产          101,262,393.00    8.73%  111,392,921.49    8.17%    -9.09%

 长期待摊费用        9,616,298.40    0.83%  12,058,872.73    0.88%  -20.26%

 递延所得税资产    31,418,561.64    2.71%  31,322,698.87    2.30%    0.31%

 其他非流动资产        287,740.75    0.02%    3,069,350.00    0.23%  -90.63%

    资产总计      1,160,041,808.31  100.00%  1,364,108,240.85  100.00%  -14.96%

(1)货币资金报告期末比期初上升 105.00%,主要系银行存款增加所致;
(2)应收票据报告期末比期初下降 93.45%,主要系银行承兑汇票减少所致;(3)应收账款报告期末比期初下降 38.99%,主要系应收账款减少所致;
(4)其他应收款报告期末比期初上升 86.46%,主要系应收往来款增加所致;(5)存货报告期末比期初下降 33.70%,主要系库存商品减少所致;
(6)合同资产报告期末比期初上升 80.78%,主要系工程质保金增加所致;
(7)其他流动资产报告期末比期初上升 95.10%,主要系短期债权投资增加所致;(8)长期股权投资报告期末比期初上升 39.56%,主要系权益法确认的长期股权投资金额增加所致;
(9)其他非流动金融资产报告期末比期初下降 100%,主要系其他非流动金融资产减少所致;
(10)在建工程报告期末比期初上升 67.81%,主要系新增溧阳厂房建设项目所致;
(11)其他非流动资产报告期末比期初下降 90.63%,主要系预付设备款减少所致。


                                                                    单位:元

                        2023 年末                2022 年末

  负债项目                                                        变动幅
                                占 本 期                占 本 期    度

                      金额      总 负 债      金额      总 负 债

                                比重                    比重

短期借款          427,817,554.19  40.79%  420,509,212.02  38.42%    1.74%

应付票据            2,531,987.55    0.24%    30,303,783.34    2.77%  -91.64%

应付账款          404,393,911.99  38.55%  388,620,961.57  35.50%    4.06%

合同负债            1,992,306.54    0.19%    3,762,970.27    0.34%  -47.05%

应付职工薪酬        15,282,981.10    1.46%    12,209,771.05    1.12%  25.17%

应交税费            6,606,638.26    0.63%    14,731,522.21    1.35%  -55.15%

其他应付款          61,144,295.60    5.83%    50,670,919.90    4.63%  20.67%

一年内到期的非      94,195,312.65    8.98%  102,722,711.09    9.38%    -8.30%
流动负债

其他流动负债          148,713.67    0.01%      413,873.33    0.04%  -64.07%

长期借款                      -        -    22,899,349.80    2.09%  -100.00%

租赁负债              247,999.16    0.02%      810,294.43    0.07%  -69.39%

长期应付款          21,313,485.20    2.03%    31,665,687.64    2.89%  -32.69%

预计负债              840,908.31    0.08%      689,913.88 
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