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首页 公告 杭州高新:2021年度财务决算报告

杭州高新:2021年度财务决算报告

公告日期:2022-04-27

杭州高新:2021年度财务决算报告 PDF查看PDF原文

              杭州高新橡塑材料股份有限公司

                  2021 年度财务决算报告

    报告期内,杭州高新橡塑材料股份有限公司(以下简称“公司、杭州高新”)继续聚焦橡塑高分子产品的生产、研发、市场拓展,紧紧围绕公司整体战略目标,坚持以客户需求为导向,加强产品的质量管理和技术更新,持续提升公司的产品质量和服务水平,报告期内,公司经营持续向好。

    一、2021 年度财务报表审计情况

    经天健会计师事务所审计,认为本公司会计报表所有重大方面按照企业会计
准则的规定编制,在所有重大方面公允地反映了公司 2021 年 12 月 31 日的财务
状况以及 2021 年度经营成果和现金流量。

    本报告期内,因原杭州高新实控人高长虹的资金占用、违规借款和违规担保事项尚未解决,天健会计事务所为本公司继续出具保留意见的审计报告。

      二、经营利润情况                                    单位:元

 损益表类        2021 年          2020 年      变动比例  变动原因

 营业收入        387131927.41        411206776.59      -5.85%

 营业成本        351503330.9        388278835.58      -9.47%

                                                                    销售量下降,
 销售费用        10157176.29        15863451.83      -35.97%    降低销售提
                                                                    成比例

                                                                    加强公司各
                                                                    条线的内部
 管理费用        26693954.09        33192661.71      -19.58%    管理,减少不
                                                                    必要的费用
                                                                    开支

                                                                    根据研发政
 研发费用        22048518.97        34794427.71      -36.63%    策变动,对研
                                                                    发项目调整

 财务费用        10640696.98        10081459.63        5.55%

  净利润          14762805.20      -191865170.97      107.69%    收回非经收
                                                                    入


        三、资产负债情况                                    单位:元

  资产类          2021 年          2020 年      变动比例    变动原因

  货币资金        23242674.55          995587.61      2234.57%  银行冻结资金增
                                                                    加

                                                                    四季度销售增
  应收账款        123378486.46        105621436.87      16.81%    加,相应的应收
                                                                    账款增加

 应收款项融资      32716346.02        13323188.76      145.56%  银行承兑汇票

                                                                    采购货到付款,
                                                                    降低采购成本,
  预付款项          924474.30          3938547.59      -76.53%  提高资金使用效
                                                                    率,减少预付款
                                                                    项

  其他应收款        11004487.93        24168939.83      -54.47%  收回部分其他应
                                                                    收款项所致

                                                                    按订单生产,
    存货          19663228.15        29032899.02      -32.27%  降低产品库

                                                                    存

                                                                    淘汰落后生产设
  固定资产        161150093.72        187569800.42      -14.09%  备,计提减值增
                                                                    加

                                                                    增加了部分自动
  在建工程          4231651.67          1921142.04      120.27%  化包装线,减少
                                                                    用工成本

  无形资产        30321802.73        31132510.85      -2.60%

                                                                    淘汰落后生产设
非流动资产合计    197,807,766.41      222,749,230.10      -11.2%    备,计提减值增
                                                                    加

  资产合计        411,394,823.22      402,873,555.38      2.12%

  短期借款        140192500.00        200311208.33      -30.01%  减少银行贷款

                                                                    采购货到付款增
  应付账款        21748734.45        31274074.47      -30.46%  加,降低采购价
                                                                    格,应付款减少。

  合同负债          100847.73          1095541.15      -90.79%  预付账款减少

                                                                              公司工资发放政

                                                                              策调整,由 13

        应付职工薪酬        3662827.45          6051115.07      -39.47%  薪调整为 12 薪,

                                                                              工资计提比例发

                                                                              生变化。

          应交税费          4204429.86          275005.46      1428.85%  因政策影响,税

                                                                              款延缓支付

          其他应付款        87467604.82        5629534.25      1453.73%  向关联方借款增

                                                                              加

          负债合计        328,336,808.16      338,561,628.92      -3.02%

            股本          128,748,000.00      126,673,000.00      1.63%

          资本公积        189,997,674.42      180,139,564.59      5.47%

          盈余公积        43,038,103.51      
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