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首页 公告 杭州高新:2023年度财务决算报告

杭州高新:2023年度财务决算报告

公告日期:2024-04-20

杭州高新:2023年度财务决算报告 PDF查看PDF原文

              杭州高新材料科技股份有限公司

                  2023 年度财务决算报告

  报告期内,杭州高新材料科技股份有限公司(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。

    一、2023 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 2023 年 12 月 31 日的财务

状况以及 2023 年度经营成果和现金流量。

    二、主要会计数据和财务指标

  2023 年度,公司实现营业收入 38,856 万元,较上年同期增长 5.64% ;归属

于上市公司股东的净利润 2,364.7 万元,较上年同期增加 209.2%;扣除非经常
性损益的净利润-3,947.53 万元,较上年同期下降 21.94%。

                                                                  单位:元

                  2023 年          2022 年        变动率        变动原因

营业收入      388,560,853.95  367,805,472.55      5.64%  主要系销量上升所致

归属于上市                                                  主要系收回高长虹资
公司股东的      23,647,032.67  -21,653,341.50    209.21%    金占用款所致
净利润
归属于上市

公司股东的                                                  主要系毛利率下降,
扣除非经常    -39,475,336.60  -32,373,861.62    -21.94%    设备减值所致
性损益的净
利润
经营活动产

生的现金流    -34,613,264.63  -35,022,668.96      1.17%      基本持平

量净额

基本每股收            0.1867          -0.1709    209.25%  主要系收回高长虹资
益(元/股)                                                    金占用款所致

稀释每股收            0.1867          -0.1709    209.25%  主要系收回高长虹资
益(元/股)                                                    金占用款所致

加权平均净            29.39%          -28.55%    57.94%  主要系收回高长虹资
资产收益率


                                                              金占用款所致

资产总额      341,239,268.99  333,873,733.33      2.21%

归属于上市                                                  主要系收回高长虹资
公司股东的      92,270,846.44    68,623,813.77    34.46% 金占用款所致

净资产

    二、2023 年资产负债情况

                                                                  单位:元

  资产类        2023 年          2022 年      变动比例      变动原因

  货币资金    4,440,665.58    16,840,498.51    -73.63%  主要系上年度大额资
                                                                金受限所致

  应收票据    1,400,572.08    1,142,161.30    22.62%  主要系票据回款上升
                                                                  所致

  应收账款    114,035,977.82    95,587,811.93    19.30%  主要系业务量上升所
                                                                    致

 应收款项融  36,298,512.03    19,304,835.93    88.03%  主要系票据回款上升
    资                                                            所致

                                                            主要系管理提升,预
  预付款项    1,362,138.98    4,393,602.07    -69.00%  付款到货入账更及时
                                                                  所致

 其他应收款    3,857,246.55    4,268,259.26    -9.63%  主要系及时回款所致

    存货      19,961,588.91    24,118,302.29    -17.23%  主要系存货跌价及成
                                                              品库存减少所致

 其他流动资    413,694.13      465,718.49      -11.17%  主要系留抵税额减少
    产                                                            所致

 流动资产合  181,770,396.08  166,121,189.78    9.42%    主要系应收款增加所
    计                                                            致

  固定资产    135,126,687.33  135,087,542.78    0.03%

  在建工程      97,772.94      5,554,177.24    -98.24%  主要系大产能设备项
                                                            目已完工转固所致

  无形资产    24,018,536.53    24,635,061.27    -2.50%

 其他非流动    225,876.11      2,475,762.26    -90.88%  主要系上年度长期资
    资产                                                    产预付款所致

 非流动资产  159,468,872.91  167,752,543.55    -4.94%

    合计

  资产总计    341,239,268.99  333,873,733.33    2.21%

                                                            主要系业务量上升,
  短期借款    215,235,694.44  155,217,555.56    38.67%  增加银行短期借款所
                                                                    致

交易性金融    20,435.00

  负债

 应付票据    10,162,306.88    1,280,858.24    693.40%  主要系货款以票据支
                                                              付上升所致

 应付账款    17,787,996.82    18,169,939.96    -2.10%

 合同负债      47,717.97        77,526.94      -38.45%  主要系预付款项减少
                                                                  所致

应付职工薪    3,064,713.13    3,768,569.24    -18.68%  主要系人员精减降低
  酬                                                        人工成本所致

                                                            主要系 2022 年出售
 应交税费    1,260,498.51    5,206,247.06    -75.79%  不动产计提的应交增
                                                                值税所致

其他应付款    1,382,856.46    81,219,144.07    -98.30%  主要系关联方资金拆
                                                              借款减少所致

其他流动负                                                主要系管理提升,取
  债          6,203.34        310,078.49      -98.00%  得票据更及时,减少
                                                                挂账所致

流动负债合  248,968,422.55  265,249,919.56    -6.14%  主要系归还资金拆借
  计                                                          款所致

 负债合计    248,968,422.55  265,249,919.56    -6.14%  主要系归还资金拆借
                                                                款所致

  股本      126,673,000.00  126,673,000.00    0.00%

 资本公积    188,916,814.63  188,916,814.63    0.00%

 盈余公积    43,038,103.51    43,038,103.51    0.00%

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