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首页 公告 宜安科技:宜安科技2023年度财务决算报告

宜安科技:宜安科技2023年度财务决算报告

公告日期:2024-04-25

宜安科技:宜安科技2023年度财务决算报告 PDF查看PDF原文

                    东莞宜安科技股份有限公司

                      2023 年度财务决算报告

  东莞宜安科技股份有限公司(以下简称“公司”)2023 年 12 月 31 日母公司及合并的
资产负债表、2023 年度母公司及合并的利润表、现金流量表、所有者权益变动表及相关报表附注已经天职国际会计师事务所(特殊普通合伙)审计,并出具标准无保留意见的审计报告。

  截至 2023 年 12 月 31 日,本公司合并财务报表范围如下:

      序号                              子公司名称

      1                            宜安(香港)有限公司

      2                        东莞市镁安医疗器械有限公司

      3                        东莞德威铸造制品有限公司

      4                        巢湖宜安云海科技有限公司

      5                      辽宁金研液态金属科技有限公司

      6                      东莞市逸昊金属材料科技有限公司

      7                      深圳市欧普特工业材料有限公司

      8                      东莞宜安新材料研究院有限公司

      9                        株洲宜安新材料研发有限公司

      10                        株洲宜安精密制造有限公司

      11                        成都宜安投资管理有限公司

  注:公司之孙公司成都鹏安企业管理咨询有限公司于 2023 年 9 月 12 日注销登记,
除上述外本集团不存在其他导致合并范围变动的情况。

  公司 2023 年度财务决算情况如下:
一、经营成果及相关数据

  2023 年公司合并经营成果及相关数据情况如下表:

                                                                  单位:万元

          项  目            2023 年度      2022 年度      增减额      增减比例

          营业收入            170,692.02    161,598.65      9,093.37        5.63%

          营业成本            147,226.79    138,019.63      9,207.16        6.67%

          税金及附加              1,023.36        578.95        444.41        76.76%

          销售费用              5,243.31      4,071.42      1,171.89        28.78%

          管理费用              10,737.49    10,184.01        553.48        5.43%

          研发费用              9,280.73      8,839.39        441.34        4.99%

          财务费用              2,585.60      1,991.40        594.20        29.84%

          其他收益              5,044.47      1,744.09      3,300.38      189.23%

          投资收益                -172.33        54.89      -227.22      -413.96%

        信用减值损失                48.78    -1,411.39      1,460.17      103.46%
    (损失以“-”号填列)

        资产减值损失            -1,560.76      -617.70      -943.06      -152.67%
    (损失以“-”号填列)

        资产处置收益                84.45        99.12        -14.67      -14.80%
    (损失以“-”号填列)

          营业利润              -1,960.67    -2,217.12        256.45        11.57%

          营业外收入                18.95        35.99        -17.04      -47.35%

          营业外支出                125.57        131.44        -5.87        -4.47%

          利润总额              -2,067.29    -2,312.57        245.28        10.61%

          所得税费用            -1,018.36    -1,443.15        424.79        29.43%

            净利润              -1,048.93      -869.41      -179.52      -20.65%

  归属于母公司股东的净利润          340.68        328.79        11.89        3.62%

        少数股东损益            -1,389.62    -1,198.21      -191.41      -15.97%

    基本每股收益(元/股)          0.0049        0.0048        0.0001        2.08%

    加权平均净资产收益率            0.31%        0.30%        0.01%

  税金及附加:2023 年度公司税金及附加为 1,023.36 万元,较上年度增加 444.41 万
元,增长 76.76%,主要是本期按税法规定核算的城市维护建设税、教育费附加及房产税增加所致;

  其他收益:2023 年度公司其他收益为 5,044.47 万元,较上年度增加 3,300.38 万元,
增长 189.23%,主要是本期确认的政府补助增加所致;

  投资收益:2023年度公司投资收益为-172.33万元,较上年度增加损失227.22万元,增长 413.96%,主要是本期联营企业亏损增加所致;

  信用减值损失:2023 年度公司信用减值损失为 48.78 万元,较上年度减少计提
1,460.17 万元,下降 103.46%,主要是本期根据会计政策计提信用资产减值损失减少所致;

  资产减值损失:2023 年度公司资产减值损失为-1,560.76 万元, 较上年度多计提
943.06 万元,增加 152.67%,主要是本期根据会计政策计提存货跌价准备增加所致;
二、资产情况

  2023 年末公司合并资产相关情况如下表:

                                                                  单位:万元

      项  目        2023 年 12 月 31 日    2023 年 1 月 1 日      增减额      增减比例

      货币资金                28,510.94          28,953.86        -442.92      -1.53%

    交易性金融资产              3,123.09          1,742.50      1,380.59      79.23%

      应收票据                5,874.36          5,827.89          46.47      0.80%

      应收账款                51,126.94          54,719.40      -3,592.46      -6.57%

    应收款项融资              3,050.11          2,004.61      1,045.50      52.15%

      预付款项                  611.41            463.29        148.12      31.97%

      其他应收款                  551.54            965.44        -413.90    -42.87%

        存货                  31,785.55          36,000.98      -4,215.43    -11.71%

    其他流动资产              3,875.11          5,021.91      -1,146.80    -22.84%

      长期应收款                  263.00            263.00              -      0.00%

    长期股权投资              1,815.15          2,043.74        -228.59    -11.18%

      固定资产              111,781.60          95,763.33      16,018.27      16.73%

      在建工程                8,513.15          21,739.75    -13,226.60    -60.84%

      使用权资产                1,445.29            798.75        646.54      80.94%

      无形资产                8,954.15          4,086.49      4,867.66    119.12%

      开发支出                2,535.71          1,446.68      1,089.03      75.28%

        商誉                  1,376.94          1,376.94              -      0.00%

    长期待摊费用              5,090.97          3,236.59      1,854.38      57.29%

    递延所得税资产              7,671.87          6,184.53      1,487.34      24.05%

    其他非流动资产              4,
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