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首页 公告 劲拓股份:2022年年度财务报告

劲拓股份:2022年年度财务报告

公告日期:2023-04-15

劲拓股份:2022年年度财务报告 PDF查看PDF原文

              深圳市劲拓自动化设备股份有限公司

                2022 年度财务决算报告

    深圳市劲拓自动化设备股份有限公司(以下简称“公司”)2022 年财务报表
 已经中喜会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计
 报告(中喜财审 2023S00609 号),现将经审计后公司 2022 年度的财务决算情况
 报告如下:

    一、财务状况分析

                                                                单位:人民币元

            项目                    期末余额        上年年末余额      变动幅度

货币资金                            283,719,183.27      319,743,773.42      -11.27%

应收票据                              2,490,999.53          917,503.65    171.50%

应收账款                            350,929,459.48      342,690,818.99      2.40%

应收款项融资                          5,037,450.25        1,739,459.40      189.60%

预付款项                              7,523,094.61        5,364,324.60      40.24%

其他应收款                            2,312,607.70        2,430,158.18      -4.84%

存货                                264,513,679.88      218,058,714.80      21.30%

其他流动资产                          1,379,157.78        1,528,319.00      -9.76%

长期股权投资                          5,355,362.52                  -    100.00%

其他非流动金融资产                      180,000.00          180,000.00      0.00%

投资性房地产                          37,808,097.62      39,586,201.22      -4.49%

固定资产                            233,431,142.88      255,349,897.46      -8.58%

在建工程

无形资产                              15,145,753.49      16,484,245.08      -8.12%

商誉                                  2,182,657.85        2,182,657.85        0.00%

长期待摊费用                          2,483,533.63        4,121,527.24      -39.74%

递延所得税资产                        24,417,604.37      20,861,710.12      17.05%

其他非流动资产                                  -          600,000.00    -100.00%

资产总计                            1,238,909,784.86    1,231,839,311.01      0.57%

短期借款

应付票据                            107,103,721.42      167,662,103.01      -36.12%

应付账款                            225,895,639.24      177,804,811.97      27.05%

预收款项

合同负债                              47,144,454.45      44,327,487.88        6.35%

应付职工薪酬                          22,213,815.25      18,243,527.07      21.76%

应交税费                              11,535,330.30      12,558,847.63      -8.15%


            项目                    期末余额        上年年末余额      变动幅度

其他应付款                            45,437,848.36      24,521,208.50      85.30%

其他流动负债                          6,583,229.05        5,941,374.29      10.80%

长期借款

预计负债                              5,749,781.45        9,396,779.38      -38.81%

递延收益                              14,609,302.96      13,415,849.26        8.90%

负债合计                            486,273,122.48      473,871,988.99      2.62%

股本                                242,625,800.00      242,625,800.00      0.00%

资本公积                              33,770,091.18      81,957,510.31      -58.80%

减:库存股                            28,098,181.80      100,238,265.75      -71.97%

其他综合收益                              6,541.45          61,869.47      -89.43%

盈余公积                              75,672,983.06      67,265,664.49      12.50%

未分配利润                          417,000,795.03      456,137,274.19      -8.58%

归属母公司所有者权益(或股东权益)      740,978,028.92      747,809,852.71      -0.91%
合计

少数股东权益                          11,658,633.46      10,157,469.31      14.78%

所有者权益(或股东权益)合计            752,636,662.38      757,967,322.02      -0.70%

负债和所有者权益(或股东权益)总计    1,238,909,784.86    1,231,839,311.01      0.57%

    合并资产负债表变动比较大的项目分析如下:

    (一)期末应收票据 2,490,999.53 元,较上年年末余额 917,503.65 元增长
 171.50%,主要系本期收到商业承兑汇票增长所致;

    (二)期末应收款项融资 5,037,450.25 元,较上年年末余额 1,739,459.40 元
 增长 189.60%,主要系本期收到银行承兑汇票增长所致;

    (三)期末预付款项 7,523,094.61 元,较上年年末余额 5,364,324.60 元增长
 40.24%,主要系采购付款增加所致;

    (四)期末长期股权投资 5,355,362.52 元,较上年年末余额 0.00 元增长
 100.00%,主要系对合营企业深圳市捷特自动化设备有限公司投资所致;

    (五)期末长期待摊费用 2,483,533.63 元,较上年年末余额 4,121,527.24 元
 减少 39.74%,主要系本期摊销所致;

    (六)期末其他非流动资产 0.00 元,较上年年末余额 600,000.00 元减少
 100.00%,主要系本期相关资产已验收所致;

    (七)期末应付票据 107,103,721.42 元,较上年年末余额 167,662,103.01 元
 减少 36.12%,主要系本期开出银行汇票支付货款减少所致;


  增长 85.30%,主要系本期公司第二期员工持股计划收款所致;

      (九)期末预计负债 5,749,781.45 元,较上年年末余额 9,396,779.38 元减少
  38.81%,主要系本期销售额减少所致;

      (十)期末资本公积 33,770,091.18 元,较上年年末余额 81,957,510.31 元减
  少 58.80%,主要系公司第一期员工持股计划本期行权 60%所致;

      (十一)期末库存股 28,098,181.80 元,较上年年末余额 100,238,265.75 元减
  少 71.97%,主要系公司第一期员工持股计划本期行权 60%所致;

      (十二)期末其他综合收益 6,541.45 元,较上年年末余额 61,869.47 元减少
  89.43%,主要系本期汇率变动导致外币报表折算差额减少所致。

      二、经营成果分析

                                                                单位:人民币元

              项目                      本期金额          上期金额      变动幅度

一、营业收入                            791,177,847.70    989,178,447.86    -20.02%

  减:营业成本                          495,435,609.79    694,229,913.05    -28.64%

    税金及附加                          6,982,829.00      6,393,675.14      9.21%

    销售费用                            79,038,351.90    78,882,869.90      0.20%

    管理费用                            85,954,204.46    81,509,716.98      5.45%

    研发费用                     
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