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首页 公告 爱乐达:2021年度财务决算报告

爱乐达:2021年度财务决算报告

公告日期:2022-04-20

爱乐达:2021年度财务决算报告 PDF查看PDF原文

          成都爱乐达航空制造股份有限公司

                2021 年度财务决算报告

    一、2021年度公司财务报表的审计情况

        公司2021年度财务报表经信永中和会计师事务所(特殊普通合伙)审计,并

    出具了标准无保留意见的审计报告( XYZH/2022BJAG10136)。

    二、2021年度财务决算情况

    (一)资产情况

                                                                单位:人民币元

    项 目          期末余额          期初余额      增减幅度        大幅变动原因说明

                                                                主要系本年向特定对象发行股
货币资金          563,469,309.93    149,835,036.06    276.06%  份募集资金到账,银行存款增
                                                                加。

                                                                主要系本年购买的银行结构性
交易性金融资产    304,719,821.92    30,186,739.73    909.45%  存款理财产品增加且尚未到
                                                                期。

应收票据          16,086,464.90      9,787,062.62    64.36%    主要系本年业务大幅增长,应
                                                                收票据结算增加。

                                                                主要系本年度业务增长,根据
应收账款          436,462,750.78    293,289,287.94    48.82%    合同约定部分款项尚未到结算
                                                                期。

预付款项          11,841,788.00      2,399,924.16    393.42%  主要系本年新增无人机装配业
                                                                务,新增采购尚未到货。

其他应收款            51,999.81        725,776.99    -92.84%  主要系理财产品到期利息收
                                                                回,应收利息减少。

其中:应收利息                          660,000.00    -100.00%

存货              156,189,198.39  157,728,323.65    -0.98%

合同资产                            30,648,685.99    -100.00%  主要系期末不存在附条件的应
                                                                收款项


    项 目          期末余额          期初余额      增减幅度        大幅变动原因说明

                                                                主要系购买的理财产品到期结
其他流动资产            48,287.51    78,523,594.68  -99.94%

                                                                算及待退回投资款减少。

 流动资产合计  1,488,869,621.24    753,124,431.82    97.69%

长期股权投资        26,993,416.60    27,339,037.72    -1.26%

固定资产          255,266,693.43    242,259,243.53    5.37%

                                                                主要系航空零部件智能制造及
在建工程            65,054,193.82      7,346,614.35  785.50%  系统集成中心项目厂房及设备
                                                                投入增加。

无形资产          30,497,032.86      31,677,051.08    -3.73%

长期待摊费用      2,927,341.19          613,771.84  376.94%  主要系增加新都厂区装修支
                                                                出。

递延所得税资产      8,231,841.83      7,219,418.31    14.02%

其他非流动资产      23,998,786.38    34,810,305.58  -31.06%  主要系采购设备到货,预付设
                                                                备款减少。

 非流动资产合计    412,969,306.11    351,265,442.41    17.57%

  资产总计    1,901,838,927.35  1,104,389,874.23    72.21%

    (二)负债情况

                                                              单位:人民币元

    项 目          期末余额        期初余额        增减幅度      大幅变动原因说明

                                                                    主要系本年新增无人机
                                                                    装配业务及加工订单增
应付账款            90,569,869.16    25,874,964.95    250.03%

                                                                    加,采购随之增加,根
                                                                    据合同约定尚未结算。

                                                                    主要系收到合同预付

合同负债              270,000.00                      100.00%

                                                                    款。

                                                                    主要系本年度员工人数
应付职工薪酬        16,934,298.35    11,448,418.01    47.92%

                                                                    增加和奖金计提增加。

应交税费            39,226,493.65    29,518,152.52    32.89%      主要系本年销售收入增

                                                                    加,相应应交增值税增
                                                                    加。

                                                                    主要系部分股权激励回
其他应付款          8,490,675.00    16,387,347.46    -48.19%

                                                                    购义务到期冲回。

  流动负债合计    155,491,336.16    83,228,882.94    86.82%

                                                  -50.00%    主要系根据借款合同约
长期借款            15,000,000.00    30,000,000.00

                                                                    定归还部分本金。

递延收益            28,041,704.10    29,730,929.29    -5.68%

 非流动负债合计    43,041,704.10    59,730,929.29    -27.94%

    负债合计      198,533,040.26  142,959,812.23    38.87%

    (三)股东权益情况

                                                              单位:人民币元

    项目          期末余额          期初余额          增减幅度      大幅变动原因说明

                                                                        主要系根据 2020 年
                                                                        度利润分配方案资
 实收资本          244,297
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