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泉为科技:2023年度财务决算报告

公告日期:2024-04-24

泉为科技:2023年度财务决算报告 PDF查看PDF原文

                  广东泉为科技股份有限公司

                  2023 年度财务决算报告

  公司 2023 年报表经中兴财光华会计师事务所(特殊普通合伙)审计验证,并出具标准无保留意见审计报告,为更全面、详细地了解公司 2023 年的财务状况和经营成果,现将 2023 年度财务决算报告情况汇报如下:

    一、实现经济效益情况

  2023 年度营业收入为 116,548.18 万元,上年同期 127,688.06 万元,较上年同期减
少 11,139.88 万元,下降 8.72%;归属于母公司净利润-13,856.07 万元,较上年同期减少 14,653.27 万元,下降 1,838.09%,具体情况如下:

        项目        2023 年(万元)  2022 年(万元)    同比减少/增加  同比增减幅
                                                            (万元)        度

  营业收入                116,548.18        127,688.06      -11,139.88      -8.72%

  成本费用                131,804.42        133,083.60        -1,279.18      -0.96%

  营业利润                -14,064.77            767.11      -14,831.88  -1,933.47%

  净利润                  -16,758.64          1,268.91      -18,027.55  -1,420.71%

  归属于母公司所有        -13,856.07            797.2      -14,653.27  -1,838.09%
  者的净利润

    (一)营业收入

        项目        2023 年(万元)  2022 年(万元)  同比增加/下降  同比增减幅
                                                            (万元)        度

  橡胶和塑料制品            47,637.51        86,984.00      -39,346.49    -45.23%

  汽车配件                  53,663.44        39,723.73        13,939.71      35.09%

  太阳能光伏产品            12,588.27            0.00        12,588.27          /

  其他业务                  2,658.95          980.33        1,678.63    171.23%

  合计                    116,548.18      127,688.06      -11,139.88      -8.72%

    (二)成本费用合计

  2023 年度成本费用合计 131,804.42 万元,上年同期成本费用 133,083.60 万元,较
上年同期减少 1,279.18 万元,下降 0.96%,具体情况如下:

        项目        2023 年(万元)    2022 年(万元)  同比增长/下降  同比增减幅
                                                            (万元)        度

  营业成本                109,819.05        112,026.87      -2,207.82      -1.97%

  税金及附加                  535.32            585.75          -50.43      -8.61%

  销售费用                  1,811.59          3,066.68      -1,255.09    -40.93%

  管理费用                  13,317.20          10,007.74        3,309.46      33.07%

  研发费用                  3,527.48          4,045.18        -517.70    -12.80%

  财务费用                  2,793.78          3,351.38        -557.60    -16.64%

  成本费用合计            131,804.42        133,083.60      -1,279.18      -0.96%

  1、销售费用同比下降 40.93%,主要系本报告期内爱派客业务整体出售,相应的营销费用减少所致;

  2、管理费用同比上升 33.07%,主要系本报告期内橡塑业务人员剥离产生的补偿金1,596.49 万元;本报告期内新增光伏板块业务产生的人员、租金等管理费用;

  3、研发费用同比下降 12.80%,主要系本报告期内橡塑业务研发费用减少所致;
  4、财务费用同比下降 16.64%,主要系本报告期内橡塑业务银行借款减少,相应的财务费用减少所致。

    (三)盈利情况

  2023 年度净利润为-16,758.64 万元,上年同期 1,268.91 万元,较上年同期减少
18,027.55 万元,下降 1,420.71%;归属于母公司净利润-13,856.07 万元,较上年同期减少 14,653.27 万元,下降 1,838.09%,主要原因系:

  1、主营业务毛利贡献额下降 8,932.07 万元,主要因为市场波动,主营产品毛利降低所致;

  2、期间费用较去年同比略有上升 979.06 万元;

  3、减值损失较去年同比增加 3,162.73 万元,导致利润减少;

  4、资产处置收益较去年同比减少 4,609.51 万,导致利润减少;

  5、由于未弥补所得税到期,递延所得税费用较去年同比增加 2,171.83 万元,导致利润减少。

    二、本期财务状况

    (一)资产情况

  2023 年末资产总额 110,106.61 万元,年初 138,783.02 万元,较年初减少 28,
676.41 万元,下降 20.66%,具体情况如下:

            项目          期末余额(万元)    期初余额(万元)      同比增减幅度

    货币资金                        990.23          16,756.26              -94.09%

    应收票据                      1,568.00            5,684.08              -72.41%

    应收账款                      6,145.59          22,123.27              -72.22%

    应收款项融资                    178.61            6,903.24              -97.41%

    预付款项                      2,022.16            2,471.18              -18.17%

    其他应收款                    6,163.22            5,192.91              18.69%

    存货                          10,840.36          24,546.20              -55.84%

    其他流动资产                  4,018.07              760.81              428.13%

    流动资产合计                  31,926.24          84,437.95              -62.19%

    长期股权投资                      0.00            4,134.75            -100.00%

    其他权益工具投资                100.00                0.00                    /

    固定资产                      40,513.92          27,468.23              47.49%

    在建工程                      24,228.86            1,211.99            1899.10%

    使用权资产                    1,512.73          11,460.51              -86.80%

    无形资产                      10,052.13            2,142.98              369.07%

    商誉                              6.77                0.00                    /

    长期待摊费用                    565.51              971.44              -41.79%

    递延所得税资产                1,200.46            6,766.40              -82.26%

    其他非流动资产                    0.00              188.78            -100.00%

    非流动资产合计                78,180.38          54,345.07              43.86%

    资产总计                    110,106.61          138,783.02              -20.66%

  1、货币资金较上年同期下降 94.09%,主要系子公司银行承兑汇票保证金减少所致;
  2、应收票据较上年同期下降 72.41%,主要系期初已背书转让、贴现的未到期票据于期末到期终止确认所致;

  3、应收账款较上年同期下降 72.22%,主要系橡塑业务的子公司剥离出表,并加大收款力度所致;

  4、应收款项融资较上年同期下降 97.41%,主要系报告期内该类承兑票据减少所致;
  5、存货较上年同期下降 55.84%,主要系报告期内橡塑业务存货出售减少所致;
  6、其他流动资产较上年同期上升 428.13%,主要系报告期内山东及安徽厂房及设备租金增加的进项税额增加所致;

  7、长期股权投资较上年同期下降 100%,主要系公司合并范围变化所致;

  8、固定资产较上年同期上升 47.49%,主要系新增山东
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