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*ST美尚:2021年财务决算报告

公告日期:2022-04-30

*ST美尚:2021年财务决算报告 PDF查看PDF原文

              美尚生态景观股份有限公司

                2021 年度财务决算报告

      美尚生态景观股份有限公司(以下简称“公司”)2021 年度财务报表已经

  北京中天华茂会计师事务所(普通合伙)审计,并出具了中天华茂审字

  [2022]035 号的带强调事项段的无保留意见审计报告。现将公司 2021 年度财务

  决算情况报告如下:

  一、2021 年度主要财务指标

                                                                  单位:人民币元

            项目                    2021 年              2020 年        本年比上年增减

营业收入                        213,773,346.55    1,316,317,423.62          -83.76%

归属于上市公司股东的净利润    -1,045,680,580.98      -94,562,664.16        -1005.81%
(元)
归属于上市公司股东的

扣除非经常性损益的净利润      -1,023,166,878.81      -95,778,847.38        -968.26%
(元)

经营性活动产生的现金流量净      -808,041,066.42      -20,362,050.00        -3868.37%
额(元)

基本每股收益(元/股)                  -1.5508            -0.1402        -1006.13%

稀释每股收益(元/股)                  -1.5508            -0.1402        -1006.13%

加权平均净资产收益率                    -54.81%              -3.82%          -50.99%

            项目                    2021 年末            2020 年末        本年比上年增减

资产总额(元)                    5,938,402,495.85    7,331,150,251.32          -19.00%

归属于上市公司股东的净资产        1,389,194,583.97    2,429,708,135.02          -42.82%
(元)

  二、2021 年财务状况分析

  1、资产结构

                                                                单位:人民币元

          项目              期末余额            期初余额          同比增减

    货币资金                385,855,604.75      254,948,799.38          51.35%


 应收票据                  4,505,566.46      29,964,784.28          -84.96%

 应收账款                982,818,599.10      974,577,969.63            0.85%

 预付款项                10,162,126.26      31,501,903.76          -67.74%

 其他应收款              27,411,429.65    1,048,086,448.51          -97.38%

 存货                    126,918,650.42      126,719,666.38            0.16%

 合同资产                608,306,567.49      921,537,989.21          -33.99%

 其他流动资产            127,242,382.55      92,148,964.44          38.08%

 长期应收款              83,471,122.10      450,441,233.85          -81.47%

 固定资产                144,837,861.45      164,303,376.52          -11.85%

 无形资产                49,934,848.49      51,983,330.88          -3.94%

 商誉                                -      60,189,069.34        -100.00%

 递延所得税资产          206,418,736.34      31,228,289.20          561.00%

 其他非流动资产        3,137,769,216.08    3,049,347,170.57            2.90%

 资产总计              5,938,402,495.85    7,331,150,251.32          -19.00%

    2021 年末,公司资产总额为 593,840.25  万元,比上期 733,115.03 万元
减少 19.00%,资产变动的主要原因系:

    (1)2021 年货币资金期末余额为 38,585.56 万元,较上期增加 51.35%,
主要系报告期内非金融机构借款增加所致;

    (2)2021 年应收票据期末余额为 450.56 万元,较上期减少 84.96%,主
要系报告期内应收票据未兑付调整至应收账款及计提应收票据减值准备增加所致;

    (3)2021 年预付款项期末余额为 1,016.21 万元,较上期减少 67.74%,
主要系报告期内计提预付账款减值准备增加所致;

    (4)2021 年其他应收款期末余额为 2,741.14 万元,较上期减少 97.38%,
主要系报告期内控股股东偿还资金占用款及计提坏账准备增加所致;

  (5)2021 年合同资产期末余额为 60,830.66 万元,较上期减少 33.99%,主
要系报告期内计提合同资产减值准备及办理结算增加所致;

    (6)2021 年其他流动资产期末余额为 12,724.24 万元 ,较上期增加

    (7)2021 年长期应收款期末余额为 8,347.11 万元 ,较上期减少
81.47%,主要系报告期内计提金点园林长期应收款减值准备增加所致;

    (8)2021 年商誉期末余额为 0 万元,较上期减少 100%,主要系报告期内全
额计提子公司江苏绿之源商誉减值准备所致;

    (9)2021 年递延所得税资产期末余额为 20,641.87 万元,较上期增加
561.00%,主要系报告期内母公司所得税税率由 15%调整至 25%所致。
2、负债结构
负债中主要项目增减变化如下:

        项目              期末余额          期初余额        同比增减

 短期借款                  931,183,471.00    948,306,312.12          -1.81%

 应付票据                    18,459,078.48    137,331,206.22        -86.56%

 应付账款                1,464,444,496.78  2,057,898,713.58        -28.84%

 应付职工薪酬                38,166,070.71      8,028,034.52        375.41%

 应交税费                    1,907,651.45      12,798,126.04        -85.09%

 其他应付款                489,664,447.06    110,060,981.81        344.90%

 一年内到期的非流动负债    650,260,168.72    126,284,231.63        414.92%

 其他流动负债              324,213,010.12    308,585,574.92          5.06%

 长期借款                  226,271,840.56    260,293,563.67        -13.07%

 应付债券                  220,973,539.48    808,292,577.26        -72.66%

 预计负债                    46,018,273.63                  -        100.00%

 递延收益                    8,291,229.48      9,020,397.65          -8.08%

 负债合计                4,499,508,329.72  4,848,374,268.91          -7.20%

    2021 年末,公司负债总额为 449,950.83  万元,比上期 484,837.43 万元
减少 7.20%,负债变动的主要原因系:

    (1)2021 年应付票据余额为 1,845.91 万元,较上期减少 86.56%,主要
系报告期内票据到期未兑付调整至应付账款所致;

    (2)2021 年应付职工薪酬余额为 3,816.61 万元,较上期增加 375.41%,

    主要系报告期内第四季度工资及奖金未支付所致;

        (3)2021 年应交税费期末余额为 190.77 万元,较上期减少 85.09%,主

    要系子公司金点园林差错更正后利润减少导致应交所得税减少所致;

        (4)2021 年其他应付款期末余额为 48,966.44 万元,较上期增加

    344.90%,主要系报告期内非金融机构借款增加所致;

        (5)2021 年一年内到期的非流动负债期末余额为 65,026.02 万元,较上

    期增加 414.92%,主要系报告期内应付债券重分类所至一年内到期的非流动负

    债所致;

        (6)2021 年应付债券期末余额为 22,097.35 万元,较上期减少 72.66%,

    主要系报告期内应付债券重分类所至一年内到期的非流动负债所致;

        (7)2021 年预计负债期末余额为 4,601.83 万元,较上期增加 100%,主

    要系报告期内计提未决诉讼费
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