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首页 公告 杭州园林:2020年度财务决算报告

杭州园林:2020年度财务决算报告

公告日期:2021-04-23

杭州园林:2020年度财务决算报告 PDF查看PDF原文

            杭州园林设计院股份有限公司

                2020 年度财务决算报告

  一、基本情况

  2020 年度公司共实现营业收入 806,344,385.74 元,同比下降 2.62%;营业利润
58,270,220.60 元,同比下降 21.92%;净利润 50,303,818.01 元,同比下降 24.59%。
资产总额 1,275,656,938.58 元,其中流动资产 1,042,663,359.69 元,非流动资产
232,993,578.89 元。负债总额 828,889,490.05 元,所有者权益总额 446,767,448.53 元。
  二、财务状况

  截止 2020 年 12 月 31 日,公司资产总额 1,275,656,938.58 元,同比上升了
30.65%;负债总额 828,889,490.05 元,同比上升 46.32%;所有者权益总额446,767,448.53 元,同比上升了 8.99%。

  资产主要构成项目为货币资金、应收账款、合同资产、固定资产,它们分别占资产总额的 6.72%、20.20%、53.79%、14.45%。资产方面变动较大的是应收账款和合同资产,其中应收账款较上一年度减少了 74,335,693.35 元,降幅 22.39%;
依据《企业会计准则第 14 号——收入》,本公司 2019 年末存货余额在 2020 年期
初余额中列示为合同资产,故合同资产较上一年度增加了 344,259,556.46 元,增幅100.69%。

  负债主要构成项目为应付账款、应付职工薪酬、应交税费,它们分别占资产总额的 59.91%、2.73%、1.82%。负债方面变动较大的是应付账款,其较上一年度增加了 310,481,894.59 元,增幅 68.43%。

  2020 年公司各项主要资产变动情况如下表所示:

                                                                                      单位:元

  项    目                                                          占总资产比例

                    2020 年          2019 年      变动增幅  2020 年    2019 年    变动增幅

 货币资金          85,726,092.55    74,899,276.04    14.46%    6.72%    7.67%      -0.95%

 应收票据                              50,000.00  -100.00%    0.00%    0.01%      -0.01%

 应收账款        257,660,120.21  331,995,813.56  -22.39%    20.20%    34.00%    -13.80%

 预付款项          3,080,740.20    2,139,986.45    43.96%    0.24%    0.22%      0.02%


 其他应收款        9,811,629.18    9,723,677.28    0.90%    0.77%    1.00%      -0.23%

 存货                            341,889,372.04  -100.00%    0.00%    35.02%    -35.02%

 合同资产        686,148,928.50                              53.79%    0.00%    53.79%

 其他流动资

 产                  235,849.05                                0.02%    0.00%      0.02%

 长期股权投

 资                29,201,659.92    7,262,539.31  302.09%    2.29%    0.74%      1.55%

 固定资产        184,374,868.13  190,892,062.93    -3.41%    14.45%    19.55%      -5.10%

 在建工程                                                      0.00%    0.00%      0.00%

 无形资产            782,429.41      663,923.56    17.85%    0.06%    0.07%      -0.01%

 长期待摊费

 用                9,050,680.28    9,398,783.36    -3.70%    0.71%    0.96%      -0.25%

 递延所得税

 资产              9,380,790.32    7,315,999.76    28.22%    0.74%    0.75%      -0.01%

 其他非流动

 资产                203,150.83      147,477.87    37.75%    0.02%    0.02%      0.00%

 应付账款        764,192,751.31  453,710,856.72    68.43%    59.91%    46.47%    13.44%

 预收款项            327,217.46    16,404,232.05  -98.01%    0.03%    1.68%      -1.65%

 合同负债            164,799.56                                0.01%    0.00%      0.01%

 应付职工薪

 酬                34,887,772.16    60,500,451.52  -42.33%    2.73%    6.20%      -3.46%

 应交税费          23,160,784.02    30,590,366.93  -24.29%    1.82%    3.13%      -1.32%

 其他应付款        4,426,768.27    3,468,670.65    27.62%    0.35%    0.36%      -0.01%

 其他流动负

 债                    9,887.97                                0.00%    0.00%      0.00%

 长期应付款          361,907.26      390,886.27    -7.41%    0.03%    0.04%      -0.01%

 递延所得税

 负债              1,357,602.04    1,409,817.50    -3.70%    0.11%    0.14%      -0.04%

 股本            128,000,000.00  128,000,000.00    0.00%    10.03%    13.11%      -3.08%

 资本公积          66,688,661.46    66,688,661.46    0.00%    5.23%    6.83%      -1.60%

 盈余公积          38,630,445.65    33,600,063.85    14.97%    3.03%    3.44%      -0.41%

 未分配利润      213,448,341.42  181,614,905.21    17.53%    16.73%    18.60%      -1.87%

 资产总计      1,275,656,938.58  976,378,912.16    30.65%  100.00%  100.00%      0.00%

  三、经营成果

  2020 年度公司共实现营业收入 806,344,385.74 元,同比下降 2.62%;营业利润
58,270,220.60 元,同比下降 21.92%;净利润 50,303,818.01 元,同比下降 24.59%。
  2020 年公司各项经营成果指标如下表所示:


                                                                                      单位:元

  项    目                                                        占收入比例

                2020 年        2019 年    变动增幅  2020 年    2019 年    变动增幅

 营业收入    806,344,385.74  828,007,428.12    -2.62%

 营业成本    735,432,482.42  735,625,149.38    -0.03%    91.21%    88.84%        2.36%

 税金及附

 加            3,418,344.86    4,560,313.69  -25.04%    0.42%    0.55%      -0.13%

 销售费用      2,685,342.73    3,140,452.85  -14.49%    0.33%    0.38%      -0.05%

 管理费用    39,669,606.36    42,462,049.15    -6.58%      4.92%    5.13%      -0.21%

 研发费用    30,418,186.45    37,398,044.64  -18.66%    3.77%    4.52%      -0.74%

 财务费用      1,335,648.78      23,615.19  5555.89%    0.17%    0.00%        0.16%

 投资收益        -60,879.39    -737,460.69  -91.74%    -0.01%    -0.09%        0.08%

 信用减值

 损失        -12,900,251.47  -19,078,534.85  -32.38%    -1.60%    -2.30%        0.70%

 资产减值

 损失          -3,417,403.13                              -0.42%    0.00%      -0.42%

 其他收益      3,496,384.26    2,000,016.02    74.82%    0.43%    0.24%        0.19%

 资产处置

 收益            240,467.01      66,920.00  259.34%      0.03%    0.01%        0.02%

 
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