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天玑科技:2021年度财务决算报告

公告日期:2022-04-27

天玑科技:2021年度财务决算报告 PDF查看PDF原文

            上海天玑科技股份有限公司

              2021年度财务决算报告

  2021年度,公司实现营业收入542,102,816.33元,比上一年同期上升10.15%;归属于上市公司股东净利润为40,069,141.19元,比上一年同期上升2.77%。

  公司2021年度的合并资产负债表、合并利润表、合并现金流量表、合并股东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日的财务状况以及2021年年度的经营成果的基本情况简述如下:
一、  资产负债表变动较大的说明:

          项目            2021 年 12 月 31 日    2021 年 1 月 1 日      增减额      增减比例

  货币资金                    885,331,706.44      855,200,654.73  30,131,051.71      3.52%

  应收票据                        826,450.43        3,067,635.00  -2,241,184.57    -73.06%

  应收账款                    112,251,612.75      107,895,058.64    4,356,554.11      4.04%

  预付款项                      15,737,718.71        10,511,553.91    5,226,164.80      49.72%

  其他应收款                    10,509,453.80        12,326,354.73  -1,816,900.93    -14.74%

  存货                          31,528,852.67        32,926,027.27  -1,397,174.60      -4.24%

  合同资产                    139,808,744.31      112,553,201.94  27,255,542.37      24.22%

  其他流动资产                  4,944,477.64        4,656,143.02    288,334.62      6.19%

  长期股权投资                  41,674,582.76        34,786,488.17    6,888,094.59      19.80%

  其他权益工具投资              58,142,638.63        62,463,832.93  -4,321,194.30      -6.92%

  其他非流动金融资产          122,424,237.76      136,734,343.32  -14,310,105.56    -10.47%

  投资性房地产                  55,026,908.09        57,379,739.30  -2,352,831.21      -4.10%

  固定资产                    263,951,638.22      211,533,088.01  52,418,550.21      24.78%

  使用权资产                    8,185,873.90        10,189,312.67  -2,003,438.77    -19.66%

  无形资产                      6,002,709.23        13,492,407.16  -7,489,697.93    -55.51%

  开发支出                      4,938,070.66                  -    4,938,070.66    100.00%

  长期待摊费用                  2,574,508.94        1,028,308.59    1,546,200.35    150.36%

  递延所得税资产                8,281,331.07        7,148,815.60    1,132,515.47      15.84%

  其他非流动资产                          -        13,188,520.00  -13,188,520.00    -100.00%

  应付票据                      2,105,616.42                  -    2,105,616.42    100.00%

  应付账款                    111,345,786.68        93,400,190.58  17,945,596.10      19.21%

  预收款项                        651,326.71          714,041.62    -62,714.91      -8.78%

  合同负债                      59,989,143.32        29,842,774.41  30,146,368.91    101.02%

  应付职工薪酬                  28,069,125.57        24,005,325.64    4,063,799.93      16.93%

  应交税费                      6,403,078.23        10,684,405.49  -4,281,327.26    -40.07%

          项目            2021 年 12 月 31 日    2021 年 1 月 1 日      增减额      增减比例

  其他应付款                    8,869,808.90        4,847,194.56    4,022,614.34      82.99%

  一年内到期的非流动负债        3,064,685.99        2,902,687.91    161,998.08      5.58%

  其他流动负债                  13,547,087.52        8,687,941.17    4,859,146.35      55.93%

  租赁负债                      4,836,650.35        6,813,654.36  -1,977,004.01    -29.02%

  预计负债                      1,926,231.59        1,858,301.09      67,930.50      3.66%

  递延收益                        860,000.00        3,370,000.00  -2,510,000.00    -74.48%

  递延所得税负债                4,896,502.81        4,541,267.77    355,235.04      7.82%

  股本                        313,457,493.00      313,457,493.00            -      0.00%

  资本公积                    696,014,948.21      692,082,456.73    3,932,491.48      0.57%

  其他综合收益                  16,668,820.03        19,607,671.83  -2,938,851.80    -14.99%

  盈余公积                      66,864,549.74        62,405,757.52    4,458,792.22      7.14%

  未分配利润                  422,963,608.06      395,189,694.18  27,773,913.88      7.03%

  少数股东权益                  9,607,052.88        12,670,627.13  -3,063,574.25    -24.18%

公司对变动较大的界定是两个期间的数据变动幅度达 30%以上。
1、 报告期末应收票据较期初下降 73.06%,主要系银行承兑汇票到期兑现所致;
2、 报告期末预付款项较期初增长 49.72%,主要系报告期内预付项目款增加所致;3、 报告期末无形资产较期初下降 55.51%,主要系报告期内计提无形资产摊销所致;4、 报告期末开发支出较期初增长 100.00%,主要系报告期内新增研发资本化项目,
  其支出尚未结转至无形资产所致;
5、 报告期末长期待摊费用较期初增长 150.36%,主要系报告期内增加固定资产改良
  支出所致;
6、 报告期末其他非流动资产较期初下降 100.00%,主要系报告期内将期初预付北京
  市海淀区三里河路房产定金转为固定资产所致;
7、 报告期末应付票据较期初增长 100.00%,主要系报告期内银行承兑汇票尚未到期
  承兑所致;
8、 报告期末合同负债较期初增长 101.02%,主要系报告期内预收货款增加所致;9、 报告期末应交税费较期初下降 40.07%,主要系报告期末应交企业所得税和增值
  税较期初减少所致;
10、  报告期末其他应付款较期初增长 82.99%,主要系报告期末尚未支付海南常
  盛天科基金管理费余额增加所致;
11、  报告期末其他流动负债较期初增长 55.93%,主要系报告期末待转销项税额

  增加所致;
12、  报告期末递延收益较期初下降 74.48%,主要系报告期内项目评审验收所致。二、  利润表变动较大的说明

                项目                    2021 年度      2020 年度      增减额    增减比例

一、营业总收入                        542,102,816.33  492,167,172.22  49,935,644.11    10.15%

其中:营业收入                        542,102,816.33  492,167,172.22  49,935,644.11    10.15%

二、营业总成本                        534,202,022.30  458,775,318.22  75,426,704.08    16.44%

其中:营业成本                        367,110,033.21  325,211,232.97  41,898,800.24    12.88%

    税金及附加                        3,848,384.22    4,267,283.97    -418,899.75    -9.82%

    销售费用                 
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