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华致酒行:2023年度财务决算报告

公告日期:2024-04-20

华致酒行:2023年度财务决算报告 PDF查看PDF原文

        华致酒行连锁管理股份有限公司

            2023 年度财务决算报告

  经审计,大华会计师事务所(特殊普通合伙)对华致酒行连锁管理股份有限公司(以下简称“公司”)2023 年财务报告出具了标准无保留意见的审计报告。根据一年来公司经营情况和财务状况,公司财务部门以合并报表数据为基础编制了 2023 年度财务决算报告。现将公司 2023 年度财务决算情况报告如下:

    一、公司2023年财务决算情况

    1. 全年实现营业收入 1,012,103.33 万元,同比上年度的 870,838.52 万元增
长 141,264.81 万元,增长 16.22%。

    2. 全年实现利润总额 26,221.70 万元,同比上年度的 42,331.16 万元下降
16,109.46万元,下降38.06%;实现归属于上市公司股东的净利润23,527.11万元,
同比上年度的 36,632.89 万元下降 13,105.78 万元,下降 35.78%。

    3. 截至 2023 年末,资产总额 725,148.78 万元;负债总额 334,918.26 万元,
所有者权益为 390,230.52 万元,其中股本 41,679.84 万股,资本公积 85,721.49
万元,盈余公积 18,476.83 万元,未分配利润 234,466.34 万元。

    4. 截至 2023 年末,资产负债率 46.19%;加权平均净资产收益率 6.32%;
每股净资产 9.12 元;基本每股收益 0.56 元。

    二、主要财务数据和指标

                                                                      单位:元

                            2023 年        2022 年    本年比上年    2021 年

                                                            增减

营业收入(元)          10,121,033,282.03 8,708,385,210.71    16.22% 7,459,995,050.92

归属于上市公司股东的净

利润(元)                  235,271,060.42  366,328,854.62    -35.78%  675,531,930.39

归属于上市公司股东的扣

除非经常性损益的净利润    179,368,380.91  337,558,071.01    -46.86%  657,543,065.70
(元)
经营活动产生的现金流量

净额(元)                  282,876,787.99  -329,928,526.23    185.74%  -373,493,891.92

基本每股收益(元/股)                0.56            0.88    -36.36%            1.62


稀释每股收益(元/股)                0.56            0.88    -36.36%            1.62

加权平均净资产收益率              6.32%        10.42%    -4.10%        21.75%

                            2023 年末      2022 年末    本年末比上    2021 年末

                                                          年末增减

资产总额(元)            7,251,487,754.94 8,440,901,496.54    -14.09% 6,830,910,281.93

归属于上市公司股东的净

资产(元)                3,800,351,925.09 3,639,055,301.91      4.43% 3,413,569,724.06

  三、财务状况、经营成果及现金流量情况分析

  1、 资产构成重大变动情况

                                                                      单位:元

                  2023 年末              2023 年初        比重增

                          占总资                占总资    减    重大变动说明
                金额      产比例      金额      产比例

货币资金    1,093,186,563.55 15.08% 1,178,380,002.73  13.96%  1.12%

                                                                  主要系麦德龙等大
                                                                  型 KA 卖场以及电
应收账款      207,976,755.17 2.87%  293,240,179.45  3.47%  -0.60% 商平台期末未结算
                                                                  的应收账款金额减
                                                                  少所致。

                                                                  主要系预付供应商
                                                                  的采购金额减少,
预付款项    1,791,534,688.97 24.71% 2,739,188,919.49  32.45%  -7.74% 以及年初预付供应
                                                                  商的货款已陆续到
                                                                  货所致。

                                                                  主要系销售收入增
                                                                  长消化年初存货,
存货                                                              以及本年为旺季准
            3,354,534,494.77 46.26% 3,429,376,872.11  40.63%  5.63% 备的存货还未全部
                                                                  到货所致期末库存
                                                                  同比减少

                                                                  主要系本期固定资
固定资产                                                          产折旧增加,导致
              233,336,797.39 3.22%  247,546,808.67  2.93%  0.29% 固定资产净额相比
                                                                  期初减少。

                                                                  主要系本期新增租
使用权资产    77,631,383.19 1.07%    52,093,637.27  0.62%  0.45% 赁办公室及仓库所
                                                                  致。

长期待摊费                                                        主要系本期摊销费
用            14,598,908.59 0.20%    23,920,750.39  0.28%  -0.08% 用增加,导致期末
                                                                  净额相比期初减少


其他非流动                                                        主要系预付装修工
资产          17,882,768.43 0.25%    4,533,485.36  0.05%  0.19% 程款增加所致

短期借款    1,323,816,303.61 18.26% 1,365,447,591.01  16.18%  2.08%

合同负债                                                          主要系预收客户的
              413,272,427.98 5.70%  654,187,787.10  7.75%  -2.05% 款项减少所致。

                                                                  主要系本期新增租
租赁负债      58,718,815.36 0.81%    36,947,635.31  0.44%  0.37% 赁办公室及仓库所
                                                                  致。

                                                                  主要系本期未到期
应付票据      984,541,860.00 13.58% 2,043,551,306.54  24.21% -10.63% 的应付票据减少所
                                                                  致

                                                                  主要系销售收入增
应交税费      56,361,444.94 0.78%    37,118,865.59  0.44%  0.34% 长导致应交税费
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