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英杰电气:2020年度财务决算报告

公告日期:2021-04-10

英杰电气:2020年度财务决算报告 PDF查看PDF原文

              四川英杰电气股份有限公司

                2020 年度财务决算报告

  四川英杰电气股份有限公司(以下简称“公司”)2020 年 12 月 31 日资产负债
表、2020 年度利润表、2020 年度现金流量表、2020 年度所有者权益变动表及相关报表附注经信永中和会计师事务所(特殊普通合伙)审计,并出具标准无保留意见的审计报告。现将公司 2020 年度财务决算的相关情况汇报如下:
一、2020 年度财务状况、经营成果和现金流量情况分析
(一)资产情况分析

                                                                      单位:万元

          项目              2020/12/31      2019/12/31      增减额        增减率

        货币资金                17,779.81      20,654.74      -2,874.93        -13.92%

      交易性金融资产              50,000.00              -      50,000.00        100.00%

        应收票据                  1,734.69        175.96        1,558.73        885.82%

        应收账款                  5,653.53      7,005.18      -1,351.65        -19.30%

      应收款项融资              15,517.38      11,154.42        4,362.96        39.11%

        预付款项                  1,332.21        323.46        1,008.75        311.86%

        其他应收款                  151.46        112.15          39.31        35.05%

          存货                  31,415.56      25,779.73        5,635.83        21.86%

        合同资产                  3,299.36              -        3,299.36        100.00%

  一年内到期的非流动资产                  -        241.50        -241.50      -100.00%

      其他流动资产                6,334.18      5,263.56        1,070.62        20.34%

      流动资产合计              133,218.18    70,710.70      62,507.48        88.40%

      投资性房地产                  219.39        229.69          -10.30        -4.48%

        固定资产                  4,482.52      4,558.03          -75.51        -1.66%

        在建工程                      5.55              -            5.55        100.00%

        无形资产                  1,033.00        899.41          133.59        14.85%

      长期待摊费用                  19.43          9.61            9.82        102.19%

      递延所得税资产                646.87        556.20          90.67        16.30%

      其他非流动资产                  96.90              -          96.90        100.00%

      非流动资产合计              6,503.66      6,252.94          250.72          4.01%

        资产总计                139,721.84    76,963.64      62,758.20        81.54%

  公司资产流动性良好,2020 年末流动资产为 133,218.18 万元,占资产总额的
比例为 95.35%,非流动资产占资产总额的比例为 4.65%。
变动较大的资产项目分析

(1)应收票据 2020 年末为 1,734.69 万元,较 2019 年末增加 885.82%,主要系
将评级低的银行承兑汇票从应收款项融资重分类要到应收票据所致。

(2)应收款项融资 2020 年末为 15,517.38 万元,较 2019 年末增加 39.11%,主要
系报告期末银行承兑汇票增加所致。
(3)交易性金融资产 2020 年末为 50,000.00 万元,主要系报告期公司购买银行理财产品所致。

(4)预付款项 2020 年末为 1,332.21 万元,较 2019 年末增加 311.86%,主要系
报告期采购材料预付款增加所致。

(5)其他应收款 2020 年末为 151.46 万元,较 2019 年末增加 35.05%,主要系保证金
的增加所致。

(6)合同资产 2020 年末为 3,299.36 万元,2019 年末无余额, 主要系报告期公司首
次执行新收入准则科目应收质保金重分类所致。

(7)长期待摊费用 2020 年末为 19.43 万元,较 2019 年末增加 102.19%,主要系报告
期出口通等待摊费用增加所致。
(二)负债情况以及股东权益分析

                                                                      单位:万元

        项目              2020/12/31        2019/12/31    增减额        增减率

      应付账款                  5,890.10          4,577.82      1,312.28      28.67%

      预收款项                        -          17,332.08    -17,332.08    -100.00%

      合同负债                22,232.46                  -    22,232.46      100.00%

    应付职工薪酬                1,460.08          1,132.11        327.97      28.97%

      应交税费                    496.33            182.42        313.91      172.08%

      其他应付款                    9.31            262.63      -253.32      -96.46%

    其他流动负债                3,380.10                  -      3,380.10      100.00%

    流动负债合计              33,468.38          23,487.06      9,981.32      42.50%

      递延收益                    273.91            315.04        -41.13      -13.06%

    非流动负债合计                273.91            315.04        -41.13      -13.06%

      负债合计                33,742.29          23,802.11      9,940.19      41.76%

          股本                  9,501.00          4,750.00      4,751.00      100.02%

        资本公积              47,797.70          6,898.12      40,899.58      592.91%

        项目              2020/12/31        2019/12/31    增减额        增减率

      应付账款                  5,890.10          4,577.82      1,312.28      28.67%

      预收款项                        -          17,332.08    -17,332.08    -100.00%

      合同负债                22,232.46                  -    22,232.46      100.00%

    应付职工薪酬                1,460.08          1,132.11        327.97      28.97%

      应交税费                    496.33            182.42        313.91      172.08%

      其他应付款                    9.31            262.63      -253.32      -96.46%

    其他流动负债                3,380.10                  -      3,380.10      100.00%

    流动负债合计              33,468.38          23,487.06      9,981.32      42.50%

      递延收益                    273.91            315.04        -41.13      -13.06%

    非流动负债合计                273.91            315.04        -41.13      -13.06%

      负债合计                33,742.29          23,802.11      9,940.19      41.76%

      盈余公积                  3,436.97          2,375.00      1,061.97      
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