联系客服

300549 深市 优德精密


首页 公告 优德精密:2020年度财务决算报告

优德精密:2020年度财务决算报告

公告日期:2021-04-28

优德精密:2020年度财务决算报告 PDF查看PDF原文

              优德精密工业(昆山)股份有限公司

                    2020 年度财务决算报告

  优德精密工业(昆山)股份有限公司(以下简称“公司”)2020 年财务报表已经大华会计师事务所(特殊普通合伙)审计,《审计报告》(大华审字[2021]007008 号),会计师的审计意见:公司财务报表在所有重大方面按照企业会计准则的规定编制,公允反映了优德精密公司 2020
年 12 月 31 日合并及母公司的财务状况以及 2020 年度的合并及母公司经营成果和现金流量。
  一、总体经营情况

  2020 年,公司实现营业收入 31,147.48 万元,比上年同期下降 11.89%;实现营业利润
2,501.81 万元,比上年同期增长 2.65%;实现利润总额 2,562.23 万元,比上年同期增长 5.21%;
实现净利润 2,268.56 万元,比上年同期增长 8.15%。

  1、2020 年度主要财务数据

                                                                        单位:元

            项  目                  2020 年度          2019 年度      增减变动(+/-)

            营业收入                311,474,840.08    353,521,069.74    -11.89%

            营业成本                220,331,369.67    251,178,354.96    -12.28%

            营业利润                  25,018,107.50      24,372,631.57      2.65%

            利润总额                  25,622,283.81      24,353,482.24      5.21%

  归属于母公司普通股股东净利润        22,639,740.37      20,975,794.64      7.93%

 扣除非经常性损益后的归属于母公      16,423,417.34      13,774,824.77      19.23%

      司普通股股东净利润

  2、主要财务指标

                                                                        单位:元

              项目                    2020 年            2019 年        增减变动(+/-)

            资产负债率                  26.50%            31.90%          -16.93%

            流动比率                    2.52              2.67            -5.62%

            速动比率                    1.48              1.57            -5.73%

          应收账款周转率                2.11              2.32            -9.05%

            存货周转率                  2.99              3.74            -20.05%


  每股经营活动的现金流量            0.42              0.21            100.00%

        每股净资产                  3.94              3.82            3.14%

归属于公司普通股股东的每股收益        0.17              0.16            6.25%

 二、财务状况、经营成果及现金流量
 (一)资产变化情况

                                                                      单位:元

      项 目                期末余额              期初余额        增减变动(+/-)

      货币资金                  70,932,427.76          74,536,560.22      -4.84%

  交易性金融资产              115,636,383.56        133,879,851.38    -13.63%

      应收票据                  4,195,740.63                    -    100.00%

      应收账款                151,053,657.95        144,446,602.23      4.57%

    应收款项融资                51,155,840.86          77,115,940.55    -33.66%

      预付款项                  1,132,420.82          1,285,823.70    -11.93%

    其他应收款                    846,681.57            888,608.33      -4.72%

        存货                    76,049,631.99          71,347,687.04      6.59%

    其他流动资产                  166,741.23                    -    100.00%

    流动资产合计              471,169,526.37        503,501,073.45      -6.42%

    投资性房地产                11,541,262.61          12,346,789.61      -6.52%

      固定资产                196,361,065.01        194,497,684.17      0.96%

      在建工程                  1,992,785.55          8,800,988.75    -77.36%

      无形资产                  27,796,137.09          25,592,310.53      8.61%

    长期待摊费用                  673,384.25                    -    100.00%

  递延所得税资产                1,891,907.84          1,342,392.06      40.94%

  其他非流动资产                3,682,590.45          1,629,717.49    125.96%

  非流动资产合计              243,939,132.80        244,209,882.61      -0.11%

      资产总计                715,108,659.17        747,710,956.06      -4.36%

 相关数据增减变动 30%以上原因说明:

 1.报告期内, 应收票据期末余额较期初余额增加 419.57 万元,增长 100.00%,主要原因
系公司将不能终止确认的商业承兑汇票于本科目列示所致。

  2.报告期内, 应收款项融资期末余额较期初余额减少 2,596.01 万,下降 33.66%,主要原
因系公司上期票据到期兑付减少所致。

  3.报告期内,其他流动资产期末余额较期初余额增加 16.67 万元,增长 100.00%,主要原
因系公司待抵扣进项税影响所致。

  4.报告期内,在建工程期末余额较期初余额减少 680.82 万元, 下降 77.36% ,主要原因
系公司将安装调试完毕的机器设备结转固定资产所致。

  5.报告期内,长期待摊费用余额较期初余额增加 67.34 万元,增长 100.00%,主要原因系
公司租入房屋装修费待摊所致。

  6.报告期内,递延所得税资产余额较期初余额增加 54.95 万元,增长 40.94%,主要原因
系公司资产减值准备变动所致。

  7.报告期内, 其他非流动资产余额较期初余额增加 205.29 万元,增长 125.96%,主要原
因系公司支付的由境外采购设备的款项所致。
 (二)负债变化情况

                                                                        单位:元

          项 目                  期末余额            期初余额      增减变动(+/-)

          短期借款                    78,478,229.87    84,532,246.99      -7.16%

          应付票据                    20,487,494.62    19,653,337.58      4.24%

          应付账款                    62,215,737.06    67,283,186.49      -7.53%

          预收款项                      300,000.00      482,400.00      -37.81%

          合同负债                    3,475,421.56      742,409.91      368.13%

        应付职工薪酬                  13,694,190.75    11,618,515.71      17.87%

          应交税费                    4,311,381.96    2,594,823.30      66.15%

        其他应付款                    3,393,134.83      578,351.28      486.69%

  一年内到期的非流动负债                121,914.39      628,884.33      -80.61%

        其他流动负债                    392,275.27        62,905.98      523.59%

        流动负债合计                186,869,780.31  188,177,061.57      -0.69%

          长期借款                              -    47,601,439.20      -100.00%
[点击查看PDF原文]