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首页 公告 中文在线:2022年度财务决算报告

中文在线:2022年度财务决算报告

公告日期:2023-04-26

中文在线:2022年度财务决算报告 PDF查看PDF原文

                    中文在线集团股份有限公司

                    2022 年度财务决算报告

  中文在线集团股份有限公司(以下简称“公司”)2022 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 2022 年 12 月 31 日的财务状况以
及 2022 年度的经营成果和现金流量。公司 2022 年度财务报表已经中兴华会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的《审计报告》。2022 年度合并财务报表的主要数据报告如下:

    一、财务状况

                                                                                    单位:人民币元

 序号                项目                  2022 年 12 月 31 日      2022 年 1 月 1 日      变动率

 一、资产

  1    总资产                                1,864,833,071.02      2,195,140,363.02    -15.05%

  2    货币资金                                510,181,151.50        495,297,542.03      3.00%

  3    交易性金融资产                          101,739,037.87        396,355,054.01    -74.33%

  4    应收账款                                105,527,521.88        111,641,663.82      -5.48%

  5    预付账款                                182,324,816.05        150,659,503.49      21.02%

  6    其他应收款                              12,779,054.49        21,334,422.22    -40.10%

  7    存货                                      1,473,739.17          1,581,621.45      -6.82%

  8    合同资产                                11,381,648.99          4,235,978.09    168.69%

  9    一年内到期的非流动资产                  120,013,000.13        130,834,910.60      -8.27%

  10  其他流动资产                            25,444,727.69          8,183,552.47    210.93%

  11  长期应收款                                  197,148.04        47,460,132.42    -99.58%

  12  长期股权投资                            157,812,651.54        172,110,154.55      -8.31%

  13  其他权益工具投资                          7,244,033.56        68,488,483.10    -89.42%

  14  其他非流动金融资产                      205,840,009.15        61,995,586.83    232.02%

  15  投资性房地产                            86,384,164.79        91,357,333.45      -5.44%

  16  固定资产                                26,246,610.23        22,997,335.00      14.13%

  17  使用权资产                              16,763,790.30        15,889,117.09      5.50%

  18  无形资产                                286,031,005.03        239,743,819.49      19.31%

  19  开发支出                                            -        126,405,424.37    -100.00%

  20  商誉                                        221,929.74        16,319,665.09    -98.64%

  21  长期待摊费用                              2,255,515.37          3,834,186.87    -41.17%

  22  递延所得税资产                            1,657,808.50          2,602,396.01    -36.30%

 序号                项目                  2022 年 12 月 31 日      2022 年 1 月 1 日      变动率

 23  其他非流动资产                            3,313,707.00          5,812,480.57    -42.99%

二、负债

  1    负债合计                                652,674,676.84        576,841,602.48      13.15%

  2    流动负债                                622,125,451.63        544,339,285.72      14.29%

  3    短期借款                                268,000,000.00        245,000,000.00      9.39%

  4    应付账款                                106,109,807.10        95,339,257.12      11.30%

  5    预收账款                                  1,384,901.49          1,478,891.42      -6.36%

  6    合同负债                                143,221,964.68        104,138,797.73      37.53%

  7    应付职工薪酬                            70,572,116.55        62,624,658.23      12.69%

  8    租赁负债                                  6,379,695.80          4,812,191.12      32.57%

  9    预计负债                                  7,000,000.00          6,000,000.00      16.67%

 10  递延所得税负债                            4,994,507.88          8,315,410.59    -39.94%

三、所有者权益

  1    所有者权益合计                        1,212,158,394.18      1,618,298,760.54    -25.10%

  2    股本                                    735,746,509.00        727,295,310.00      1.16%

  3    库存股                                  58,939,943.65                      -    100.00%

  4    资本公积                              2,538,052,909.11      2,498,452,550.79      1.58%

  5    其他综合收益                            -61,972,287.55        -25,571,552.39    -142.35%

  6    盈余公积                                30,930,203.91        30,930,203.91          -

  7    未分配利润                          -2,030,296,519.25    -1,668,279,426.81    -21.70%

  8    归属于母公司所有者权益合计            1,153,520,871.57      1,562,827,085.50    -26.19%

  9    少数股东权益                            58,637,522.61        55,471,675.04      5.71%

    主要变动项目分析:

  1. 总资产较年初减少 15.05%,主要系本年度受宏观政策环境影响,公司在线教
      育平台项目与立项时相比发生重大变化,项目不再具备商业化条件计提开发
      支出减值损失;以及部分股权投资项目公允价值下降计提减值损失所致;

  2. 货币资金较期初增加 3.00%,主要系本年度理财产品投资收回金额净增加所致;
  3. 交易性金融资产较期初减少 74.33%,主要系本年度部分理财产品转入其他非
      流动金融资产所致;

  4. 应收账款较期初减少 5.48%,主要系本年度文化业务销售回款所致;

  5. 预付账款较期初增加 21.02%,主要系本年度预付的定制类影视剧制作费增加

  所致;
6. 其他应收款较期初减少 40.10%,主要系本年度股权项目投资完成往来款转入
  长期股权投资所致;
7. 存货较期初减少 6.82%,主要系本年发出商品余额减少所致;
8. 合同资产较期初增加 168.69%,主要系本年度文化业务附条件收取合同对价权
  利金额增加所致;
9. 一年内到期的非流动资产较期初减少 8.27%,主要系本年度一年以内到期的长
  期应收款计提减值损失所致;
10.其他流动资产较期初增加 210.93%,主要系本年度保本保息理财增加所致;11.长期应收款较期初减少 99.58%,主要系本年度长期应收款部分金额转入一年
  内到期的非流动资产所致;
12.长期股权投资较期初减少 8.31%,主要系本年度
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