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泰和科技:2023年年度财务决算报告

公告日期:2024-03-30

泰和科技:2023年年度财务决算报告 PDF查看PDF原文

              山东泰和科技股份有限公司

                2023 年年度财务决算报告

    山东泰和科技股份有限公司(以下简称“公司”)2023 年年度财务报表已
 经天职国际会计师事务所(特殊普通合伙)审计,并出具了天职业字[2024]11544 号标准无保留意见的审计报告。

    为了更全面、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、2023 年度主要财务数据

                                单位:人民币元(除特别注明外,以下单位相同)

            项目                  2023 年度          2022 年度        与上年增减

          营业收入            2,205,564,670.67    2,727,016,064.17      -19.12%

          营业成本            1,823,901,506.28    2,094,190,906.56      -12.91%

          营业利润              179,868,435.50      474,904,330.35      -62.13%

 归属于上市公司股东的净利润    141,843,161.48      397,628,099.01      -64.33%

归属于上市公司股东的扣除非经常  115,877,493.84      391,104,439.48      -70.37%
      性损益后净利润

 经营活动产生的现金流量净额    407,019,810.55      476,754,998.25      -14.63%

        期末总股本            218,430,000.00      217,410,000.00        0.47%

          资产总额            3,117,749,142.07    2,907,785,475.07        7.22%

          负债总额              746,349,539.85      533,504,969.97        39.90%

归属于上市公司股东的所有者权益  2,371,399,602.22    2,374,630,031.56      -0.14%
            合计

  二、2023 年度主要财务指标

          项目              2023 年度      2022 年度        本年比上年增减

  基本每股收益(元/股)        0.6686        1.8376              -63.62%

  加权平均净资产收益率        6.04%        17.64%            -11.60%

 归属于上市公司股东的每股净    10.86          10.92              -0.55%

      资产(元/股)

        流动比率              2.76            4                -31.00%

        速动比率              2.14          3.02              -29.14%


        资产负债率            23.94%        18.35%              5.59%

      应收账款周转率            9.43          11.77              -19.88%

        存货周转率              9.18          10.94              -16.09%

        总资产周转率            0.73            1                -27.00%

      三、2023 年公司财务状况

      1、资产构成状况

    项目      2023 年 12 月 31 日  2022 年 12 月 31 日    增减额      变动幅度

  货币资金      473,243,039.26      588,346,307.71    -115,103,268.45    -19.56%

 交易性金融资产    351,481,692.34      285,000,303.01    66,481,389.33    23.33%

  应收票据      140,613,308.96                      140,613,308.96

  应收款项融资      8,619,736.82      34,272,235.85    -25,652,499.03    -74.85%

  应收账款      231,394,436.42      236,376,168.91    -4,981,732.49      -2.11%

  预付款项      30,584,675.28      56,064,720.56    -25,480,045.28    -45.45%

  其他应收款      49,383,256.56      45,171,126.17      4,212,130.39      9.32%

    存货        185,973,180.80      211,501,394.42    -25,528,213.62    -12.07%

  其他流动资产    149,046,808.33      117,523,784.61    31,523,023.72    26.82%

  流动资产合计    1,620,340,134.77    1,574,256,041.24    46,084,093.53      2.93%

  长期应收款      18,612,331.65                        18,612,331.65

其他权益工具投资  92,008,234.61      135,403,424.68    -43,395,190.07    -32.05%

  固定资产      493,015,235.52      452,590,841.27    40,424,394.25      8.93%

  在建工程      558,111,617.06      427,517,335.59    130,594,281.47    30.55%

  使用权资产      148,810,415.46      155,017,370.78    -6,206,955.32      -4.00%

  无形资产      103,485,877.93      106,204,066.19    -2,718,188.26      -2.56%

  长期待摊费用    36,123,717.83      1,106,096.02      35,017,621.81    3,165.88%

 递延所得税资产    40,560,293.91      12,151,264.68    28,409,029.23    233.79%

 其他非流动资产    6,681,283.33      43,539,034.62    -36,857,751.29    -84.65%

 非流动资产合计  1,497,409,007.30    1,333,529,433.83  163,879,573.47    12.29%

  资产总计      3,117,749,142.07    2,907,785,475.07  209,963,667.00    7.22%

      超过 30%增减变动的说明:

      (1)应收票据较去年增加 14,061.33 万元,主要系已背书未终止确认的票据

    (2)应收款项融资较去年减少 74.85%,主要系公司根据票据风险等级划分
标准,期末在手银行承兑汇票重分类所致;

    (3)预付款项较去年减少 45.45%,主要系预付租赁款减少所致;

    (4)其他权益工具投资较去年减少 32.05%,主要系本期收回对外股权投资
所致;

    (5)在建工程较去年增加 30.55%,主要系公司工程投入增加所致;

    (6)长期待摊费用较去年增加 3,165.88%,主要系公司租赁生产线改造所致;
    (7)递延所得税资产较去年增加 233.79%,主要系新租赁准则税会差异所
致;

    (8)其他非流动资产较去年减少 84.65%,主要系上期预付设备款,本期收
到发票所致。

    2、负债构成情况

    项目      2023 年 12 月 31 日 2022 年 12 月 31 日      增减额      变动幅度

  应付票据      258,734,720.48    153,645,200.00    105,089,520.48    68.40%

  应付账款      94,711,981.98    105,895,493.97    -11,183,511.99    -10.56%

  合同负债      14,267,547.89      24,048,903.88    -9,781,355.99    -40.67%

 应付职工薪酬    38,583,126.78      44,945,367.18    -6,362,240.40    -14.16%

  应交税费      15,936,413.11      34,119,114.02    -18,182,700.91    -53.29%

 其他应付款      2,624,530.37      1,656,815.27      967,715.10      58.41%

一年内到期的非  29,087,602.50      28,005,611.70      1,081,990.80      3.86%

  流动负债

 其他流动负债    132,172,351.41      1,308,513.00    130,863,838.41  10,000.96%

 流动负债合计    586,118,274.52    393,625,019.02    192,493,255.50    48.90%

  租赁负债      125,863,234.02    133,950,298.26    -8,087,064.24    -6.04%

  递延收益      3,342,888.65      4,358,777.55      -1,015,888.90    -23.31%

递延所得税负债  31,025,142.66      1,570,875.14      29,454,267.52    1,875.02%

非流动负债合计  160,231,265.33    139,879,950.95    20,351,314.38    14.55%

  负债合计      746,349,539.85    533,504,969.97    212,844,569.88    39.90
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