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雪浪环境:公司2022年度财务决算报告

公告日期:2023-04-25

雪浪环境:公司2022年度财务决算报告 PDF查看PDF原文

              无锡雪浪环境科技股份有限公司

                  2022 年度财务决算报告

        报告期内,无锡雪浪环境科技股份有限公司(以下简称“公司”)管理层紧

    紧围绕年初制定的经营计划,统筹发力,积极应对各项困难与挑战,稳步推进各

    项工作,在传统市场及新业务领域的拓展方面均取得了较大突破。但受国内外复

    杂严峻的经济形势影响,公司整体经营业绩出现下滑,全年实现营业收入

    1,800,024,752.39 元,较去年同期下降 0.69%;实现利润总额-111,435,157.19

    元,同比下降 171.14%;实现归属于公司股东的净利润-116,586,981.40 元,同比

    下降 195.68%。

        公司 2022 年 12 月 31 日的合并及母公司资产负债表、2022 年度的合并及母

    公司利润表、现金流量表、股东权益变动表以及财务报表附注已经中审华会计师

    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。现对公司

    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的基本情况

    简述如下:

      一、 财务状况

        1、资产状况

                                                          单位:人民币元

                              报告期末                            报告期初

      项目

                        金额        占总资产的比重        金额        占总资产的比重

货币资金            268,796,537.91          8.44%    269,789,472.75          7.44%

交易性金融资产        68,000,000.00          2.13%      56,000,000.00          1.55%

应收票据              82,978,700.92          2.60%      33,153,676.33          0.91%

应收账款            829,100,600.75          26.03%    841,211,153.59          23.21%

应收款项融资          34,253,764.48          1.08%      20,186,920.44          0.56%

预付款项              60,747,617.48          1.91%      46,750,193.92          1.29%

其他应收款            17,430,546.63          0.55%      8,581,610.98          0.24%

存货                413,073,790.13          12.97%    846,157,413.61          23.35%

合同资产            212,614,709.10          6.67%    154,062,694.25          4.25%


其他流动资产          6,243,322.60          0.20%      31,158,283.47          0.86%

流动资产合计      1,993,239,590.00          62.57%  2,307,051,419.34          63.65%

固定资产            598,410,487.50          18.79%    618,316,435.45          17.06%

在建工程              8,442,755.14          0.27%      1,347,168.24          0.04%

无形资产            134,771,504.79          4.23%    139,150,081.08          3.84%

其他权益工具投资        9173402.00          0.29%        23773402.00          0.66%

商誉                382,703,786.49          12.01%    486,558,382.33          13.42%

长期待摊费用          14,838,584.23          0.47%      16,233,234.59          0.45%

递延所得税资产        43,870,796.63          1.38%      32,080,823.90          0.89%

非流动资产合计    1,192,211,316.78          37.43%  1,317,459,527.59          36.35%

    资产总计      3,185,450,906.78        100.00%  3,624,510,946.93        100.00%

        总体变动:2022 年末资产总额为 3,185,450,906.78 元,同比下降 12.11%。

    其中流动资产为 1,993,239,590.00 元,同比下降 13.60%;非流动资产为

    1,192,211,316.78 元,同比下降 9.51%。主要增减变动的原因如下:

  报表项目      期末余额    期初余额  本期增减变动  变动幅度        变动原因

                                                            (%)

应收票据          82,978,700.92  33,153,676.33  49,825,024.59    150.29  主要原因系银票结算
                                                                    增多

应收款项融资      34,253,764.48  20,186,920.44  14,066,844.04      69.68  主要原因系银行承兑
                                                                    汇票结算减少

其他应收款        17,430,546.63  8,581,610.98    8,848,935.65    103.12  主要原因系投标保证
                                                                    金增加

存货            413,073,790.13  846,157,413.61  -433,083,623.48      -51.18  主要原因系期初在执
                                                                    行项目已完工结转

合同资产        212,614,709.10  154,062,694.25  58,552,014.85      38.01  主要原因系本期验收
                                                                    完工项目增加

其他流动资产      6,243,322.60  31,158,283.47  -24,914,960.87      -79.96  主要原因系本期理财
                                                                    产品减少

其他权益工具投    9,173,402.00  23,773,402.00  -14,600,000.00      -61.41  主要原因系对股权投
资                                                                  资单位计提减值

在建工程          8,442,755.14  1,347,168.24    7,095,586.90      526.7  主要原因系子公司新
                                                                    增资源化利用项目


 递延所得税资产    43,870,796.63  32,080,823.90  11,789,972.73      36.75  主要原因系本期母公
                                                                    司未弥补亏损

        2、负债状况

                                                            单位:人民币元

                              报告期末                            报告期初

    项目

                      金额        占总负债的比重        金额          占总负债的比重

短期借款            222,278,700.00      9.46%          324,597,800.00      13.07%

应付票据            176,720,593.65      7.52%          308,093,076.88      12.41%

应付账款            649,608,724.43      27.66%        636,511,543.47      25.63%

合同负债            106,088,735.75      4.52%          504,593,931.77      20.32%

应付职工薪酬        33,953,409.71      1.45%          32,343,421.71        1.30%

应交税费            13,880,345.58      0.59%            6,948,333.68        0.28%

其他应付款          46,701,033.84      1.99%          21,593,235.74        0.87%

一年内到期的非      214,660,000.00      9.14%          51,540,000.00        2.08%

流动负债

其他流动负债        84,643,667.38      3.60%          28,233,874.65  
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