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奥联电子:2022年度财务决算报告

公告日期:2023-04-25

奥联电子:2022年度财务决算报告 PDF查看PDF原文

              2022年度财务决算报告

    中天运会计师事务所(特殊普通合伙)已经完成了对公司 2022 年度财务报
表的审计,并出具了中天运[2023]审字第 90182 号标准无保留意见的审计报告,现将决算情况报告如下:

  一、主要财务数据与财务指标

    2022 年,公司实现营业收入 40,254.98 万元,同比上年-10.72%;归属于上
市公司股东的净利润 1,977.16 万元,同比上年-42.58%;归属于上市公司股东的扣除非经常性损益的净利润-1,166.47 万元,同比上年-165.96%,其他主要财务指标如下:

          项目                2022 年          2021 年      增减变动幅度

 基本每股收益(元/股)          0.1155            0.2104          -45.10%

 稀释每股收益(元/股)          0.1155            0.2104          -45.10%

 加权平均净资产收益率            2.83%            5.96%          -3.13%

  二、财务状况、经营成果和现金流量分析

  (一)报告期资产构成及变动情况

                                                                                  单位:元

      项目          2022 年 12 月 31 日    2021 年 12 月 31 日    增减变动幅度

    货币资金          87,909,965.67        170,229,150.61        -48.36%

 交易性金融资产        6,901,259.50            738,972.22          833.90%

    应收票据          29,583,973.38          40,613,272.42        -27.16%

    应收账款          120,568,367.73        108,557,779.70        11.06%

  应收款项融资        83,985,391.83          64,782,236.97          29.64%

    预付款项          1,288,879.12          5,756,226.26          -77.61%

  其他应收款          1,978,968.59          2,820,213.09          -29.83%

      存货            109,220,886.41        104,700,955.15          4.32%

 一年内到期的非      12,631,125.94          10,989,277.87          14.94%

    流动资产


    项目          2022 年 12 月 31 日    2021 年 12 月 31 日    增减变动幅度

 其他流动资产        5,147,166.09          1,857,151.68          177.15%

 流动资产合计        459,215,984.26        511,045,235.97        -10.14%

 长期应收款        46,061,486.92          62,245,587.10        -26.00%

 长期股权投资        50,565,754.84        105,437,620.69        -52.04%

其他权益工具投      93,250,000.00              0                  /

    资

其他非流动金融      28,209,341.98              0                  /

    资产

  固定资产          125,830,841.33        137,958,503.36        -8.79%

  在建工程          8,735,324.05          10,370,660.55        -15.77%

 使用权资产          543,047.03                0                0%

  无形资产          17,272,704.98          17,979,993.98          -3.93%

    商誉            51,553,460.26          51,553,460.26            0%

 长期待摊费用        14,102,350.10          13,700,397.57          2.93%

递延所得税资产      15,249,649.04          11,466,730.85          32.99%

其他非流动资产        9,490,118.96          3,645,264.92          160.34%

非流动资产合计      460,864,079.49        414,358,219.28        11.22%

  资产总计          920,080,063.75        925,403,455.25        -0.58%

1、货币资金期末数较期初数减少约 48%,主要系报告期内对外投资增加所致;2、交易性金融资产期末数较期初增加约834%,主要系购买银行结构性存款所致;
3、预付账款期末数较期初减少约 78%,主要系对供应商预付账款减少所致;
4、其他流动资产期末数较期初数增加约 177%,主要系期末留抵增值税额增加;5、长期应收款期末数较期初数减少约 26%,主要系对手方归还业绩补偿款所致;6、长期股权投资期末数较期初数减少约 52%,主要系报告期内出让参股公司股权所致;
7、其他权益工具投资期末较期初数增加,主要系报告期内对平江县鸿源矿业有限公司、上海豫兴电子科技有限公司股权投资所致;
8、其他非流动金融资产期末较期初数增加,主要系报告期内受让淄博盈科阳
 光蓝一号创业投资合伙企业(有限合伙)份额所致;
 9、其他非流动资产期末较期初数增加约160%,主要系报告期内预付的设备投 资款增加所致。
 (二)  报告期负债构成及变动情况

                                                                                  单位:元

    项目          2022 年 12 月 31 日    2021 年 12 月 31 日    增减变动幅度

    短期借款          19,922,346.81          35,040,791.67          -43.15%

    应付票据          41,807,923.19          53,152,841.11          -21.34%

    应付账款          83,157,720.38          67,679,024.73          22.87%

    合同负债          2,447,494.62          14,363,619.76          -82.96%

  应付职工薪酬        11,833,032.88          11,436,566.35          3.47%

    应交税费          5,871,548.14          5,539,903.90          5.99%

  其他应付款          8,207,228.36          10,960,800.64          -25.12%

一年内到期的非流      587,258.29                0                  /

    动负债

  其他流动负债        3,427,443.49          6,845,577.81          -49.93%

  流动负债合计        177,261,996.16        205,019,125.97        -13.54%

    预计负债          2,261,572.27          1,302,189.52          73.67%

    递延收益          3,898,349.14          6,392,455.92          -39.02%

 递延所得税负债        5,578,129.65          5,617,424.28          -0.70%

 非流动负债合计      11,738,051.06          13,312,069.72          -11.82%

 1、短期借款期末数较期初数减少约 43%,主要系报告期内归还银行贷款所致; 2、合同负债期末数较期初数减少约 83%,主要系报告期内某客户生产经营决 策变化,需要归还原保供预付款;
 3、其他流动负债期末数较期初数减少约 50%,主要系本期末已付出但未到期 票据较期初减少所致;
 4、递延收益期末数较期初数减少约 39%,主要系前期受托研发项目收款满足收 入确认条件所致。
 (三)  报告期损益情 况

                                                                                单 位 : 元

          项目              2022 年度          2021 年度      增减变动幅度

一、营业总收入            402,549,800.61      450,861,722.83        -10.72%

二、营业总成本            407,826,633.97      413,075,209.63        -1.27%

其中:营业成本            290,496,871.78      298,427,355.05        -2.66%

      税金及附加          3,232,605.95        3,461,101.03        -6.60%

        销售费用          23,642,018.26      29,627,945.06        -20.20%

        管理费用          53,362,407.06      44,562,227.43        19.75%

        研发费用          36,143,352.24      34,152,294.01        5.83%

        财务费用            949,378.68        2,844,287.05        -66.62%

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