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首页 公告 杭州高新:2022年度财务决算报告

杭州高新:2022年度财务决算报告

公告日期:2023-04-27

杭州高新:2022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

                  2022 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、2022 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 2022 年 12 月 31 日的财务

状况以及 2022 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        2022 年      2021 年    变动比例      变动原因

      营业收入      367805472.55  387131927.41      -4.99%  销售单价同比下降

      营业成本      340200962.19  351503330.90      -3.22%  原材料价格同比下降

                                                                          限制性股票加速行权,影
      销售费用        11844927.81  10157176.29      16.62%  响额 238 万计入销售费
                                                                          用所致

      管理费用        19509091.78  26693954.09      -26.92%  工资、折旧、维修费、办
                                                                          公费用等均有下降

      研发费用        19620673.33  22048518.97      -11.01%  根据研发政策变动,对研
                                                                          发项目调整

      财务费用        11026818.48  10640696.98        3.63%  增加银行贷款所致

      净利润        -21653342.50    14,812,776.06    -246.18%  主要系去年部分预计负
                                                                          债冲回记入非经常性损


                                                                      益所致

 三、资产负债情况                                    单位:元

  资产类        2022 年      2021 年    变动比例    变动原因

                                                                      主要系福镭德案件被冻
  货币资金          16840498.51  23242674.55    -27.54%  结的款项在本期被执行
                                                                      所致

  应收账款          95587811.93  123378486.46    -22.52%  季节性回款增加,减少了
                                                                      应收账款

 应收款项融资        19304835.93  32716346.02    -40.99%  主要系银行承兑汇票采
                                                                      购支付增加所致

  预付款项          4393602.07    924474.30    375.25%  年底原材料备货增加

  其他应收款          4268259.26    11004487.93    -61.21%  收回部分其他应收款项
                                                                      所致

    存货            24118302.29  19663228.15    22.66%  按照订单量材料备货增
                                                                      加所致

  固定资产        135087542.78  161150093.72    -16.17%  主要系计提折旧和出售
                                                                      闲置厂房所致

  在建工程          5554177.24    4231651.67    31.25%  主要系新增技改项目所
                                                                      致

  无形资产          24635061.27  30321802.73    -18.75%  主要系处置资产所致

非流动资产合计      167752543.55  197807766.41    -15.19%  主要系处置资产所致

  资产合计        333873733.33  411394823.22    -18.84%  主要系亏损和处置资产
                                                                      所致

  短期借款        155217555.56  140192500.00    10.72%  增加银行贷款所致

                                                                      主要系为了降低采购成
  应付账款          18169939.96  21748734.45    -16.46%  本货到付款方式采购增
                                                                      加所致

  合同负债            77526.94    100847.73    -23.12%

 应付职工薪酬        3768569.24    3662827.45      2.89%


    应交税费          5206247.06    4204429.86    23.83%  主要系处置资产待缴纳
                                                                        的土地及房产税所致

    其他应付款        81219144.07  87467604.82    -7.14%  向关联方借款减少所致

    负债合计        265249919.56  328336808.16    -19.21%

      股本          126673000.00  128748000.00    -1.61%  注销限制性股票所致

    资本公积        188916814.63  189997674.42    -0.57%

    盈余公积          43038103.51  43038103.51      0.00%

    未分配利润      -290004104.37  -268350762.87    -8.07%  经营性亏损

    所有者权益        68623813.77  83058015.06    -17.38%  经营性亏损

负债和股东权益总计    333873733.33  411394823.22    -18.84%

  四、现金流情况                                      单位:元

  主要项目      2022 年      2021 年    变动比率      变动原因

                                                            上年同期票据支付的货
经营活动产生的                                              款回笼增加,同期合并
现金流量净额      -35022668.96  -71283894.15      -50.87%  高新文创子公司减少,
                                                            以及本年度加速货款回
                                                            笼所致

投资活动产生的    40334389.85  72111586.76      -44.07%  主要系上年度收回部分
现金流量净额                                                其他应收款项所致

筹资活动产生的                                              主要系归还以前年度投
现金流量净额      -5978394.17    1534260.32    -489.66%  资所筹集的资金所致

  五、主要财务指标

            项目                2022 年      2021 年      增减幅度

盈利能力    销售毛利率                    7.15%        9.08%          -1.93%
              净资产收益率                -28.55%        19.78%        -48.33%

偿债能力    流动比率                    62.63%        79.90%        -17.27%
              资产负债率                  79.45%   
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