联系客服

300256 深市 *ST星星


首页 公告 *ST星星:关于2021年年度报告的更正公告

*ST星星:关于2021年年度报告的更正公告

公告日期:2022-06-29

*ST星星:关于2021年年度报告的更正公告 PDF查看PDF原文

证券代码:300256          证券简称:*ST星星          公告编号:2022-067
            江西星星科技股份有限公司

        关于 2021 年年度报告的更正公告

  本公司及董事会全体成员保证信息披露内容的真实、准确和完整,没有虚假记载、误导性陈述或重大遗漏。

    江西星星科技股份有限公司(以下简称“公司”)于 2022 年 4 月 28 日在巨潮资
讯网(http://www.cninfo.com.cn)披露了《2021 年年度报告》及《2021 年年度审计报告》。经事后核查发现部分内容有误,现对相关内容更正如下:

    一、第三节管理层讨论与分析之“四、主营业务分析”之“2、收入与成本”之“(8)主要销售客户和主要供应商情况”

    更正前:

    公司前 5 大客户资料

  序号              客户名称                      销售额(元)            占年度销售总额比例

  1  第一名                                            380,267,995.87                  11.82%

  2  第二名                                            294,655,462.22                    9.16%

  3  第三名                                            272,570,639.44                    8.47%

  4  第四名                                            227,827,877.80                    7.08%

  5  第五名                                            174,660,334.83                    5.43%

  合计                  --                              1,349,982,310.16                  41.95%

    更正后:

    公司前 5 大客户资料

  序号              供应商名称                    销售额(元)            占年度销售总额比例

    1    第一名                                          490,228,956.31                  15.23%

    2    第二名                                          272,570,639.44                  8.47%

    3    第三名                                          227,827,877.80                  7.08%

    4    第四名                                          201,868,626.43                  6.27%

    5    第五名                                          155,444,753.50                  4.83%

  合计                  --                              1,347,940,853.48                  41.88%

    二、第十节财务报告之“七、合并财务报表项目注释”之“24、其他应付款”之“(2)其他应付款”之“1)按款项性质列示其他应付款”

    更正前:

                                                                                        单位:元

              项目                          期末余额                        期初余额

应付房租                                                                            89,705,716.94

应付杂费                                                                            110,349,888.26

代扣代缴款                                          1,669,911. 49                    10,057,143.04

应付运费                                                                              9,121,887.89

押金及保证金                                        5,000,000.00

关联方往来                                        1,097,281,402.54                  150,555,555.56

其他往来款                                        612,595,399.84                  1,238,758,232.81

合计                                              1,716,546,713.87                  1,608,548,424.50

    更正后:

                                                                                        单位:元

              项目                          期末余额                        期初余额

应付房租                                                                            89,705,716. 94

应付杂费                                                                          110,349,888. 26

代扣代缴款                                          1,669,911. 49                    10,057,143. 04

应付运费                                                                            9,121,887.89

押金及保证金                                        5,000,000.00

关联方往来                                      1,097,281,402.54                  482,470,011.70

其他往来款                                        612,595,399.84                  906,843,776.67

合计                                            1,716,546,713.87                  1,608,548,424.50

    “按款项性质列示其他应付款”的修改内容在《2021 年年度审计报告》中已同
步更正。

    三、第十节财务报告之“七、合并财务报表项目注释”之“49、营业外收入”
    更正前:

                                                                                        单位:元

          项目                本期发生额            上期发生额      计入当期非经常性损益的金额

政府补助                            2,271,674.24            173,100.00                2,271,674.24

不需支付的应付账款                  2,340,745.14          17,759,407.02                2,340,745.14

其他                                1,301,952.19          16,886,156.78                1,301,952.19

合计                                5,914,371.57          34,818,663.80                5,914,371.57

    更正后:

                                                                                        单位:元

          项目                本期发生额              上期发生额        计入当期非经常性损益的
                                                                                  金额

政府补助                            2,265,574.76              173,100.00              2,265,574.76

不需支付的应付账款                  2,340,745.14            17,759,407. 02              2,340,745.14

其他                                1,308,051.67            16,886,156. 78              1,308,051.67

合计                                5,914,371.57            34,818,663. 80              5,914,371.57

    四、第十节财务报告之“七、合并财务报表项目注释”之“54、现金流量表补充资料”之“(1)现金流量表补充资料”

    更正前:

                                                                    
[点击查看PDF原文]