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首页 公告 正业科技:2023年度财务决算报告

正业科技:2023年度财务决算报告

公告日期:2024-04-26

正业科技:2023年度财务决算报告 PDF查看PDF原文

              广东正业科技股份有限公司

                2023 年度财务决算报告

    广东正业科技股份有限公司(以下简称“公司”)2023 年度财务报告已经
永拓会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告。
    2023 年度,公司实现营业收入 75,828.84 万元,同比下降 23.44%,归属于
上市公司股东的净利润-22,058.38 万元,同比下降 117.65%;经营活动产生的现金流量净额-7,529.98 万元,同比下降 13,272.79%。现将财务决算情况报告如下:

    一、财务状况

    (一)主要资产情况及重要变动原因

    公司截止 2023 年 12 月 31 日的总资产为 195,215.01 万元,相比年初增加
8%。

                                                          单位:万元

                                                              重要变动的原因(变
      资产        期末余额    期初余额    变动额  变动幅度 动幅度超出 30%及其
                                                                  他重要变动)

货币资金            17,703.90  15,385.85  2,318.05  15.07%

应收票据            8,882.48    7,241.44  1,641.03  22.66%

应收账款            47,937.00  56,497.78 -8,560.78  -15.15%

                                                              主要系本期收到的公
                                                              允价值计量且变动计
应收款项融资        2,393.19    3,505.62 -1,112.43  -31.73%入其他综合收益的票
                                                              据减少以及对符合条
                                                              件的票据进行终止确
                                                              认所致

                                                              主要系本期预付供应
预付款项            6,404.42    1,473.88  4,930.54  334.53%商货款但项目订单在
                                                              本期未结束所致

其他应收款          1,078.71    1,306.75  -228.04  -17.45%

                                                              主要系本期在产品及
存货                42,636.27  33,178.40  9,457.87  28.51%自制半成品、发出商
                                                              品增加所致

合同资产            2,512.44    5,830.02 -3,317.58  -56.91%主要系本期收回部分

                                                              产品质保款所致

                                                              主要系本期待取得/
其他流动资产        3,290.26    1,598.72  1,691.54  105.81%待抵扣增值税进项税
                                                              增加所致

  流动资产合计  132,838.65  1 26,018.46  6,820.19    5.41%

长期应收款            826.95      205.31    621.64  302.77%主要系本期应收融资
                                                              租赁保证金增加所致

固定资产            31,498.62  27,522.84  3,975.77  14.45%

在建工程            13,973.22  12,820.13  1,153.09    8.99%

                                                              主要系新设子公司本
使用权资产          4,558.89    1,341.05  3,217.84  239.95%期租赁场地合同增加
                                                              所致

无形资产            4,351.19    5,159.19  -808.00  -15.66%

商誉                    0.00    3,520.05 -3,520.05 -100.00%主要系本期计提商誉
                                                              减值准备所致

长期待摊费用        2,294.46      958.69  1,335.77  139.33%主要系本期装修、改
                                                              造厂房设施增加所致

                                                              主要系本期租赁负
递延所得税资产      4,739.28    2,941.42  1,797.86  61.12%债、资产减值准备可
                                                              抵扣暂时性差异增加
                                                              所致

                                                              主要系上期支付的高
其他非流动资产        133.74      272.10  -138.36  -50.85%瑞新能源股权投资款
                                                              于本期进行结转所致

 非流动资产合计    6 2,376.36  54,740.80  7,635.56  13.95%

  资产总计      195,215.01  180,759.26 14,455.75    8.00%

    (二)主要负债情况及重要变动原因

    公司截止 2023 年 12 月 31 日的总负债为 150,759.92 万元,相比年初增加
32.3%。

                                                          单位:万元

                                                                重要变动的原因(变
      负债        期末余额    期初余额    变动额  变动幅度 动幅度超出 30%及其
                                                                  他重要变动)

短期借款            34,926.01  24,866.69  10,059.32  40.45%主要系本期短期银行
                                                              借款增加所致

应付票据              9,149.76  14,732.78  -5,583.02  -37.90%主要系本期票据到期
                                                              兑付所致

应付账款            36,197.15  33,607.80  2,589.36    7.70%


预收款项                  0.00      73.51    -73.51 -100.00% 主要系本期结转预收
                                                              款项所致

合同负债            24,813.06  12,098.99  12,714.07  105.08%主要系本期子公司预
                                                              收销售款增加所致

应付职工薪酬          2,856.56  2,289.30    567.26  24.78%

应交税费                983.66  1,486.42    -502.77  -33.82%主要系本期末应交增
                                                              值税减少所致

                                                              主要系控股子公司部
                                                              分股东投资款尚未确
其他应付款            2,446.39    870.14  1,576.25  181.15%认资本金以及计提与
                                                              在建工程相关的城市
                                                              建设配套费等影响所
                                                       
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