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铁汉生态:2020年度财务决算报告

公告日期:2021-04-27

铁汉生态:2020年度财务决算报告 PDF查看PDF原文

              深圳市铁汉生态环境股份有限公司

                  2020年度财务决算报告

      2020 年,公司经营层围绕董事会制定的经营计划,以及在国资战略股东的
  大力支持下,持续调整业务布局,收缩全国的业务战线,将业务重心聚焦在粤港
  澳大湾区、长江经济带地区、京津冀等经济发达地区,逐步退出财政能力较为薄
  弱地区市场;公司大力推进经济责任制,强化项目结算回款工作,提升工程管控
  能力,降低工程成本,主营业务毛利率有所上升;公司强化全面预算管理,加强
  费用管控,期间费用同比有较大幅度下降;同时,公司积极处置部分闲置固定资
  产。受到上述因素的影响,公司 2020 年度实现了扭亏为盈。现将公司 2020 年度
  财务决算情况报告如下:

      一、2020 年度财务报表审计情况

      公司 2020 年度财务报表已经致同会计师事务所(特殊普通合伙)审计,并
  出具了“致同审字(2021)第 110A014063 号”标准无保留意见的审计报告。会计
  师的审计意见是:深圳市铁汉生态环境股份有限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,公允反映了铁汉生态 2020 年 12 月 31 日的财务状
  况以及 2020 年度的经营成果和现金流量。

      二、财务状况、经营成果及现金流量分析

      (一)财务状况分析

      公司 2020 年 12 月 31 日相关财务状况分析如下:

      1、资产结构

                                                        单位:人民币元

    项目            2020 年 12 月 31 日                2019 年 12 月 31 日            变动幅度
                      金额          比重            金额            比重

货币资金          3,345,365,854.15      11.08%      4,100,236,509.42        13.98%        -18.41%

应收票据            58,661,624.81      0.19%        190,075,543.55        0.65%        -69.14%

应收账款          2,668,201,224.69      8.84%      1,628,533,766.22        5.55%        63.84%

应收款项融资          185,983.00      0.00%        16,001,790.21        0.05%        -98.84%

    项目            2020 年 12 月 31 日                2019 年 12 月 31 日            变动幅度
                      金额          比重            金额            比重

预付款项            154,383,482.98      0.51%        184,250,463.20        0.63%        -16.21%

其他应收款          602,348,391.72      1.99%        716,796,918.64        2.44%        -15.97%

存货                422,884,411.27      1.40%      7,294,569,858.34        24.87%        -94.20%

合同资产          6,091,395,433.02      20.17%                    -              -              -

持有待售资产          3,907,436.45      0.01%                    -              -              -

一年内到期的非

流动资产            499,065,513.41      1.65%      1,345,217,547.16        4.59%        -62.90%

其他流动资产        75,279,303.43      0.25%        254,644,369.10        0.87%        -70.44%

流动资产合计    13,921,678,658.93      46.10%      15,730,326,765.84        53.62%        -11.50%

长期应收款        1,540,851,792.14      5.10%      10,452,424,450.78        35.63%        -85.26%

长期股权投资        895,602,652.51      2.97%        701,517,039.72        2.39%        27.67%

其他权益工具投

资                  129,267,331.88      0.43%        114,535,096.89        0.39%        12.86%

其他非流动金融

资产                26,992,956.95      0.09%        35,667,332.34        0.12%        -24.32%

固定资产            505,531,478.25      1.67%        580,147,208.64        1.98%        -12.86%

在建工程            77,427,355.28      0.26%        92,752,646.94        0.32%        -16.52%

无形资产            519,076,672.18      1.72%        583,220,084.73        1.99%        -11.00%

商誉                754,303,480.10      2.50%        754,303,480.10        2.57%              -

长期待摊费用        30,581,864.67      0.10%        54,284,448.03        0.19%        -43.66%

递延所得税资产      289,956,652.54      0.96%        235,448,312.14        0.80%        23.15%

其他非流动资产    11,509,024,895.73      38.11%            840,000.00        0.00%    1370022.01%

非流动资产合计    16,278,617,132.23      53.90%      13,605,140,100.31        46.38%        19.65%

资产总计        30,200,295,791.16    100.00%      29,335,466,866.15      100.00%        2.95%

      2020 年末,公司资产总额 3,020,029.58 万元,比上年末 2,933,546.69 万元增
  长 2.95%,其中:流动资产为 1,392,167.87 万元,比上年末 1,573,032.68 万元减
  少 11.50%;非流动资产为 1,627,861.71 万元,比上年末 1,360,514.01 万元增长
  19.65%。资产变动的主要原因是:

      (1)货币资金期末余额 334,536.59 万元,占总资产比重为 11.08%,较上年
  末减少 18.41%,主要是 2019 年 12 月 31 日,公司发行优先股收到募集资金净额
  9.22 亿元所致。

      (2)应收账款期末余额 266,820.12 万元,占总资产比重为 8.84%,较上年
  末增加 63.84%,主要是本期确认的工程结算未收款项增长所致。

      (3)存货及合同资产期末余额 651,427.98 万元,占总资产比重为 21.57%,
较上年末减少 10.70%,主要是本期工程结算增加所致。

    (4)长期应收款期末余额 154,085.18 万元,占总资产比重为 5.10%,较上
年末减少 85.26%,主要是本期执行新收入准则,将本科目期末余额中大部分余额转入“其他非流动资产”披露所致。

    (5)其他非流动资产期末余额 1,150,902.49 万元,占总资产比重为 38.11%,
较上年末增加 1370022.01%,主要是上述“(4)”所述原因所致。

    2、负债结构

                                                      单位:人民币元

  项目              2020 年 12 月 31 日                2019 年 12 月 31 日        变动幅度
                    金额              比重            金额          比重

短期借款        7,383,760,980.32          31.57%    6,209,863,568.41      27.68%      18.90%

应付票据            29,981,477.59          0.13%    503,125,085.16      2.24%    -94.04%

应付账款        5,586,625,925.99          23.89%    6,108,323,977.98      27.23%      -8.54%

预收款项                                            162,225,123.04      0.72%    -100.00%
                              -                -

合同负债          276,025,448.39          1.18%

                                                                -          -          -

应付职工薪酬      219,079,867.17          0.94%    238,565,614.66      1.06%      -8.17%

应交税费          130,701,838.90          0.56%    107,706,492.45      0.48%      21.35%

其他应付款        544,644,029.15 
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