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首页 公告 爱乐达:2022年度财务决算报告

爱乐达:2022年度财务决算报告

公告日期:2023-04-26

爱乐达:2022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

                2022 年度财务决算报告

    一、2022年度公司财务报表的审计情况

        公司2022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/2023BJAG1B0175)。

    二、2022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

货币资金            478,164,366.41    563,469,309.93  -15.14%

交易性金融资产      175,356,657.53    304,719,821.92  -42.45%  主要系理财产品到期赎回。

应收票据            15,091,605.23      16,086,464.90    -6.18%

应收账款            725,372,888.98    436,462,750.78    66.19%    主要系合同约定部分款项尚
                                                                      未到结算期。

预付款项              7,971,382.31      11,841,788.00  -32.68%    主要系采购材料等物资到
                                                                      货,预付款项减少。

其他应收款            1,193,421.65          51,999.81  2195.05%  主要系本期向成都海关缴纳
                                                                      进口材料保证金。

存货              186,250,459.44    156,189,198.39  19.25%

其他流动资产                                              10231.20%  主要系本期收到的进项税尚
                    4,988,677.64          48,287.51

                                                                      未在税务机关认证抵扣。

 流动资产合计    1,594,389,459.19  1,488,869,621.24    7.09%


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

长期股权投资        34,302,105.17      26,993,416.60  27.08%

固定资产            287,270,514.62    255,266,693.43    12.54%

                                                                      主要系航空零部件智能制造
在建工程            135,534,236.66      65,054,193.82  108.34%  及系统集成中心项目建设投
                                                                      入增加。

使用权资产          21,299,449.24                  -  100.00%  主要系确认新都厂房租赁资
                                                                      产。

无形资产            29,686,813.93      30,497,032.86    -2.66%

长期待摊费用          2,146,251.55      2,927,341.19  -26.68%

递延所得税资产      10,725,054.06      8,231,841.83    30.29%    主要系应收款项计提坏账准
                                                                      备。

其他非流动资产      29,562,933.90      23,998,786.38    23.19%

 非流动资产合计      550,527,359.13    412,969,306.11    33.31%

  资产总计      2,144,916,818.32  1,901,838,927.35    12.78%

    (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

                                                                      主要系根据工程完工情况,
应付账款          173,242,375.64  90,569,869.16      91.28%      确认尚未到合同约定结算期
                                                                      的债务。

合同负债              509,819.00      270,000.00      88.82%      主要系收到合同预付款。

应付职工薪酬        18,721,424.68  16,934,298.35      10.55%

应交税费            8,756,781.11  39,226,493.65                  主要系期末尚未缴纳的增值
                                                          -77.68%

                                                                      税、企业所得税减少。

其他应付款            300,500.00    8,490,675.00    -96.46%    主要系部分股权激励回购义

                                                                        务到期冲回。

 一年内到期的非流                                                      主要系子公司未来一年需支
 动负债                3,930,236.82                      100.00%

                                                                        付的租金。

  流动负债合计      205,461,137.25  155,491,336.16      32.14%

 长期借款            15,000,000.00    15,000,000.00        -

 租赁负债            21,392,936.67                                    主要系子公司确认厂房租赁
                                                          100.00%

                                                                        负债。

 递延收益            25,839,513.62    28,041,704.10      -7.85%

  非流动负债合计      62,232,450.29    43,041,704.10      44.59%

    负债合计        267,693,587.54  198,533,040.26      34.84%

    (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

实收资本          293,156,493.00    244,297,078.00      20.00%

资本公积          812,481,748.23    860,776,654.84      -5.61%

 库存股                        -      8,190,675.00      -100.00%    主要系部分股权激励
                                                                      回购义务到期冲回。

专项储备            13,795,398.62    12,404,060.84      11.22%

盈余公积            92,705,976.13    71,040,533.43      30.50%      主要系根据本期净利
                                                                      润按照 10%比例计提。

未分配利润        665,083,614.80  522,978,234.98      27.17%

股东权益合计    1,877,223,230.78 1,703,305,887.09      10.21%

    (四)经营情况


                                                                单位:人民币元

    项目          2022 年度        2021 年度      本年比上年增减        大幅变动

                                                          幅度            原因说明

营业收入          561,227,816.24  614,009,403.72        -8.60%

营业成本       
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