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首页 公告 杭州园林:2022年度财务决算报告

杭州园林:2022年度财务决算报告

公告日期:2023-04-28

杭州园林:2022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

                2022 年度财务决算报告

  一、基本情况

  2022 年度公司共实现营业收入 656,695,404.32 元,同比下降 12.27%;营业利
润 25,954,085.98 元,同比下降 27.74%;净利润 11,306,942.76 元,同比下降 65.39%。
资产总额 1,240,003,710.48 元,其中流动资产 942,264,945.07 元,非流动资产297,738,765.41 元。负债总额 701,607,690.23 元,所有者权益总额 538,396,020.25元。

  二、财务状况

  截止 2022 年 12 月 31 日,公司资产总额 1,240,003,710.48 元,同比下降了
12.10%;负债总额 701,607,690.23 元,同比下降 20.25%;所有者权益总额538,396,020.25 元,同比上升了 1.41%。

  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 12.76%、14.52%、47.99%、13.46%。资产方面变动较大的是货币资金、应收账款,其中货币资金较上一年末减少了 91,781,784.94 元,降幅 36.71%;应收账款较上一年末减少了 43,053,147.69 元,降幅 19.30%。

  负债主要构成项目为应付账款、应付职工薪酬,它们分别占资产总额的50.62%、3.15%。负债方面变动较大的是应付账款,其较上一年末减少了170,849,786.42 元,降幅 21.39%。

  所有者权益主要构成项目为股本、资本公积、未分配利润,它们分别占资产总额的 10.68%、10.33%、18.93%。所有者权益方面变动较大的是资本公积,较上一年末增加了 4,109,990.93 元,增幅 3.32%。

  2022 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


                        2022 年            2021 年        变动增幅    2022 年  2021 年  变动增幅

  货币资金            158,254,223.76    250,036,008.70    -36.71%  12.76%    17.72%    -4.96%

  应收票据                                  310,000.00    -100.00%    0.00%    0.02%    -0.02%

  应收账款            179,988,197.79    223,041,345.48    -19.30%  14.52%    15.81%    -1.30%

  预付款项              1,546,234.88      1,661,690.65      -6.95%    0.12%    0.12%    0.01%

  其他应收款            5,871,429.27      5,314,567.55      10.48%    0.47%    0.38%    0.10%

  合同资产            595,099,878.95    693,321,020.35    -14.17%  47.99%    49.15%    -1.15%

  其他流动资产          1,504,980.42                                  0.12%    0.00%    0.12%

  长期股权投资          85,197,680.09      30,844,904.04    176.21%    6.87%    2.19%    4.68%

  投资性房地产          3,806,254.84      4,006,880.80      -5.01%    0.31%    0.28%    0.02%

  固定资产            166,869,738.20    175,020,467.20      -4.66%  13.46%    12.41%    1.05%

  使用权资产            10,291,888.32      12,412,557.30    -17.08%    0.83%    0.88%    -0.05%

  无形资产                735,470.80        691,201.67      6.40%    0.06%    0.05%    0.01%

  递延所得税资产        16,335,833.16      13,866,019.55      17.81%    1.32%    0.98%    0.33%

  其他非流动资产        5,000,000.00        196,991.14  2,438.19%    0.40%    0.01%    0.39%

  应付账款            627,736,332.45    798,586,118.87    -21.39%  50.62%    56.61%    -5.98%

  预收款项                                  340,911.59    -100.00%    0.00%    0.02%    -0.02%

  合同负债              1,428,723.59      1,407,094.25      1.54%    0.12%    0.10%    0.02%

  应付职工薪酬          39,025,282.62      35,181,936.64      10.92%    3.15%    2.49%    0.65%

  应交税费              15,109,595.34      29,363,612.44    -48.54%    1.22%    2.08%    -0.86%

  其他应付款            16,090,924.42      9,247,267.13      74.01%    1.30%    0.66%    0.64%

  一年内到期的非

流动负债                1,591,787.36      2,846,873.19    -44.09%    0.13%    0.20%    -0.07%

  其他流动负债              13,901.49          12,995.83      6.97%    0.00%    0.00%    0.00%

  租赁负债                286,114.98      1,170,105.20    -75.55%    0.02%    0.08%    -0.06%

  长期应付款              325,027.98        337,269.61      -3.63%    0.03%    0.02%    0.00%

  递延所得税负债                          1,305,386.58    -100.00%    0.00%    0.09%    -0.09%

  股本                132,416,609.00    132,416,609.00      0.00%  10.68%    9.39%    1.29%

  资本公积            128,089,305.51    123,979,314.58      3.32%  10.33%    8.79%    1.54%

  盈余公积              43,213,614.23      42,145,447.31      2.53%    3.48%    2.99%    0.50%

  未分配利润          234,676,491.51    232,382,712.21      0.99%  18.93%    16.47%    2.45%

资产总计              1,240,003,710.48    1,410,723,654.43    -12.10%  100.00%  100.00%    0.00%

    三、经营成果

    2022 年度公司共实现营业收入 656,695,404.32 元,同比下降 12.27%。其中设
计业务收入 173,465,257.03 元,工程总承包业务收入 480,076,252.97 元,其他业务
收入 3,153,894.32 元;营业利润 25,954,085.98 元,同比下降 27.74%;营业外支出
14,458,200.00 元,同比增长 11,057.01%;净利润 11,306,942.76 元,同比下降 65.39%。
    2022 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

                        2022 年        2021 年      变动增幅  2022 年  2021 年  变动增幅

    营业收入          656,695,404.32  748,523,310.21    -12.27%

    营业成本          544,009,634.58  608,186,820.64    -10.55%  82.84%  81.25%      1.59%

      税金及附加        3,874,050.20    4,637,920.72    -16.47%    0.59%    0.62%      -0.03%

      销售费用          3,913,280.98    3,307,370.36      18.32%    0.60%    0.44%      0.15%

      管理费用          43,278,411.10    48,083,101.28      -9.99%    6.59%    6.42%      0.17%

      研发费用          29,624,736.15    25,528,455.42      16.05%    4.51%    3.41%      1.10%

      财务费用          -2,103,265.94      -564,632.10    272.50%  -0.32%  -0.08%      -0.24%

    其他收益            3,703
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