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首页 公告 巴安水务:2020年度财务决算报告

巴安水务:2020年度财务决算报告

公告日期:2021-04-08

巴安水务:2020年度财务决算报告 PDF查看PDF原文

                上海巴安水务股份有限公司

                  2020年度财务决算报告

  2020年度,在上海巴安水务股份有限公司董事会的领导下,经管理层和全体员工的不断努力,积极降低疫情对公司造成的影响,推动公司整体战略的实施及各业务主体之间的协同发展。公司2020年度财务报表已经众华会计师事务所(特殊普通合伙)审计,并出具标准无保留意见的审计报告。公司2020年度财务报表按照《企业会计准则》的规定编制,在所有重大方面公允反映了公司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。现将2020年度合并财务报表反映的主要财务情况报告如下:

    一、2020年主要财务数据

                                                                  金额单位:人民币万元

            主要财务数据                2020 年      2019 年    本年比上年增减(%)

 营业收入                                42,904.57    95,897.08              -55.26%

 营业成本                                31,688.11    62,333.93              -49.16%

 营业利润                                -54,191.03    7,644.02            -808.93%

 利润总额                                -54,999.05    11,739.85            -568.48%

 归属于上市公司普通股股东的净利润        -47,024.86    8,052.54            -683.98%

 资产总额                                530,762.31  591,976.52              -10.34%

 负债总额                                346,033.90  353,978.67              -2.24%

 归属于上市公司普通股股东的所有者权益    185,314.35  236,170.70              -21.53%

 经营活动产生的现金流量净额                18,845.23    -9,789.78            -292.50%

  二、2020年末资产负债状况

                                                                  金额单位:人民币元

  项目      2020 年度      2019 年度    本年比上年增 本年比上年      说明

                                              减额    增减(%)

                                                                  公司加强对应收账款
应收账款      185,962,579.16  238,627,176.39  -52,664,597.23    -22.07%的管理,加快应收账
                                                                  款的回收。


应收款项融      9,180,052.00    48,965,651.00  -39,785,599.00    -81.25%银行承兑汇票到期承
资                                                                兑减少

预付款项      177,564,506.49  150,388,573.34  27,175,933.15    18.07%供应商合同约定需要
                                                                  支付预付款

在建工程      10,523,626.70    25,367,431.96  -14,843,805.26    -58.52%生产工厂投资建设完
                                                                  工所致

无形资产      280,125,870.05  275,356,371.68  4,769,498.37      1.73%主要系报告期内新购
                                                                  买土地使用权所致

长期待摊费      8,314,168.29    8,512,546.60    -198,378.31    -2.33%      无



递延所得税                                                        由于未确认可弥补亏
资产          97,718,512.41    27,222,967.11  70,495,545.30    258.96% 损以及资产减值损失
                                                                  的增加

其他非流动  2,271,085,743.84    50,120,233.652,220,965,510.19  -4431.28%新收入准则资产科目
资产                                                              重分类

短期借款      277,403,443.86  466,621,969.55 -189,218,525.69    -40.55% 融资金额较去年减少

预收款项              0.00    71,896,059.78  -71896059.78    -100%新收入准则资产科目
                                                                  重分类

应付职工薪    12,397,442.06    8,476,877.73  3,920,564.33    46.25%主要系人工成本增加
酬                                                                所致

应交税费      113,715,724.79  196,324,571.85  -82,608,847.06    -42.08%营收降低以及经营亏
                                                                  损

其他应付款    477,818,999.48    52,349,947.32 425,469,052.16    812.74% 应付股权转让款增加

一年内到期                                                        即将到期的长期借款
的非流动负    573,024,985.69  249,400,596.21 323,624,389.48    129.76%列报本科目



长期应付款                    59,305,130.92  -4,272,353.00      7.20%偿还融资租赁减少所
              55,032,777.92                                        致

预计负债        8,789,778.53    17,766,479.23  -8,976,700.70    -50.53%准则变化,不在计提
                                                                  修理支出

库存股                0.00          0.00          0.00      0.00%      无

    三、2020年经营成果

                                                                金额单位:人民币元

                                        本年比上年增  本年比

  项目    2020 年度      2019 年度        减额      上年增          说明

                                                      减(%)

 营业总                                                        主要是因受新冠疫情及
 收入    429,045,719.95  958,970,781.77 -529,925,061.82  -55.26% 市场融资大环境影响,
                                                                公司外部订单量有所减

                                                              少;另外受此影响公司
                                                              部分项目延迟开工,并
                                                              且放缓了在建项目的工
                                                              程建设进度所致。

营业成  316,881,081.34  623,339,276.38 -306,458,195.04  -49.16% 在建项目的工程建设进
本                                                            度放缓所致

税金及    5,869,867.41    2,692,408.81    3177,,458.60  118.02% 主要系项目估算的增值
附加                                                          税附加税增加

销售费    59,401,496.45    81,077,543.51  -21,676,047.06  -26.73% 收入下滑,大幅减少营
用                                                            销费用开支

管理费  134,052,308.91  129,199,273.25    4,853,035.66    3.76
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