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金明精机:2022年度财务决算报告

公告日期:2023-03-17

金明精机:2022年度财务决算报告 PDF查看PDF原文

                广东金明精机股份有限公司

                  2022 年度财务决算报告

        2022 年,公司紧密围绕经营目标,全力组织生产经营,各项工作有序开展。现将 2022
    年财务决算的有关情况汇报如下:

      一、2022 年度公司财务报表的审计情况

        公司 2022 年财务报表已经大华会计师事务所(特殊普通合伙)审计,出具了大华审字
    [2023] 001686 号标准无保留意见的审计报告。会计师的审计意见是:金明精机财务报表在
    所有重大方面按照企业会计准则的规定编制,公允反映了金明精机公司 2022 年 12 月 31 日的
    合并及母公司财务状况,以及 2022 年度的合并及母公司经营成果和现金流量。

      二、2022 年度公司主要财务数据和指标

        (一)主要会计数据和财务指标

                                                                                    单位:元

                                            2021 年                本年比上                2020 年

                  2022 年                                            年增减

                                  调整前            调整后        调整后        调整前            调整后

营 业 收 入  472,408,649.42  523,273,453.58      528,572,696.14  -10.63%    406,543,713.95    406,543,713.95
(元)
归属于上市

公司股东的    -1,579,172.97  39,612,260.14      40,527,737.45  -103.90%    36,832,146.55    36,832,146.55
净利润(元)
归属于上市
公司股东的

扣除非经常  -20,339,149.09    27,109,298.66      28,024,775.97  -172.58%    14,097,746.79    14,097,746.79
性损益的净
利润(元)
经营活动产

生的现金流    7,245,190.95    74,800,007.04      76,171,281.99  -90.49%    50,267,776.73    50,267,776.73
量净额(元)

基本每股收          -0.0038          0.0946              0.0967  -103.93%            0.0879            0.0879
益(元/股)

稀释每股收          -0.0038          0.0946              0.0967  -103.93%            0.0879            0.0879
益(元/股)

加权平均净          -0.12%            3.12%              3.19%    -3.31%            2.96%            2.96%
资产收益率

                                                                    本年末比

                2022 年末                  2021 年末                上年末增                2020 年末

                                                                        减

                                    调整前            调整后        调整后        调整前            调整后

资 产 总 额  1,480,050,133.  1,479,373,255.48  1,480,288,732.79    -0.02%  1,429,565,073.53  1,429,565,073.53
(元)                    18

归属于上市  1,267,551,377.

公司股东的              07  1,285,350,478.43  1,286,265,955.74    -1.45%  1,258,494,263.89  1,258,494,263.89
净资产(元)

        (二)非经常性损益的项目及金额

                                                                                    单位:元

            项目              2022 年金额          2021 年金额          2020 年金额              说明

    非流动资产处置损益

    (包括已计提资产减            23,660.95            21,972.38          -40,461.13

    值准备的冲销部分)

    计入当期损益的政府

    补助(与公司正常经营

    业务密切相关,符合国        4,860,096.15        7,044,088.47        6,885,255.89

    家政策规定、按照一定

    标准定额或定量持续

    享受的政府补助除外)

    计入当期损益的对非

    金融企业收取的资金                                275,294.81        4,127,894.66

    占用费

    委托他人投资或管理                                                  14,452,343.06

    资产的损益

    除同公司正常经营业

    务相关的有效套期保

    值业务外,持有交易性

    金融资产、交易性金融

    负债产生的公允价值        9,929,391.09        7,684,328.73          858,237.52

    变动损益,以及处置交

    易性金融资产交易性

    金融负债和可供出售

    金融资产取得的投资

    收益

    除上述各项之外的其        1,564,352.81          -248,794.38              400.83

    他营业外收入和支出

    其他符合非经常性损            43,511.72            55,617.44          23,291.97

    益定义的损益项目

    减:所得税影响额          -2,338,963.40        2,329,545.97        3,572,563.04

    合计                      18,759,976.12        12,502,961.48      22,734,399.76          --

      三、2022 年主要财务数据分析

        (一)资产构成重大变动情况


                                                                                单位:元

                          2022 年末                        2022 年初            比重增  重大变动说明

                    金额        占总资产比例        金额        占总资产比例    减

货币资金          45,917,098.20          3.10%  168,264,724.80        11.37%  -8.27%

应收账款          25,966,515.34          1.75%    10,303,727.86          0.70%  1.05%

存货            284,457,069.05        19.22%  279,576,402.56        18.89%  0.33%

投资性房地产      1,662,195.50          0.11%    1,831,272.50          0.12%  -0.01%

长期股权投资      9,613,529.89          0.65%                                    0.65%

固定资产        466,822,621.73        31.54%  483,517,319.82        32.66%  -1.12%

在建工程          11,928,201.13          0.81%    2,337,411.74          0.16%  0.65%

使用权资产          234,660.48          0.02%                                    0.02%

短期借款          1,587,189.34          0.11%                                    0.11%

合同负债          57,230,092.66          3.87%    71,659,696.22          4.84%  -0.97%

  (二)期间费用同比变化情况

                                                                                单位:元

                          2022 年              2021 年            同比增减          重大变动说明

销售费用                  20,301,692.63        16,051,191.58              26.48%

管理费用                  22,516,052.01        23,027,753.00              -2.22%

                                                                                    主要是本期无购买七
财务费用                  -1,791,318.94        -4,244,815.95         
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