联系客服

300837 深市 浙矿股份


首页 公告 浙矿股份:2023年年度财务报告

浙矿股份:2023年年度财务报告

公告日期:2024-04-25

浙矿股份:2023年年度财务报告 PDF查看PDF原文

                浙矿重工股份有限公司

                2023 年度财务决算报告

    一、2023 年度财务报表审计情况

  浙矿重工股份有限公司(以下简称“公司”)2023 年度财务报表及相关报表附注经中汇会计师事务所(特殊普通合伙)审计,出具了标准无保留意见的审计报告(中汇会审[2024]4769 号),会计师审计意见为:我们审计了浙矿重工股份有限公
司财务报表,包括 2023 年 12 月 31 日的合并及母公司资产负债表,2023 年度的合
并及母公司利润表、合并及母公司现金流量表、合并及母公司所有者权益变动表以及财务报表附注。我们认为,后附的财务报表在所有重大方面按照企业会计准则的
规定编制,公允反映了浙矿重工股份有限公司 2023 年 12 月 31 日的合并及母公司
财务状况以及 2023 年度的合并及母公司经营成果和现金流量。

  现将报告期内公司合并财务报表所反映的主要财务数据报告分析如下:

    二、经营利润情况

                                                                单位:人民币元

    项 目          2023年度        2022年度      增减幅度    大额变动原因说明

                                                                            主要系经济下行,下游
  营业收入      547,965,471.71    694,801,321.15        -21.13% 需求疲软,导致收入减
                                                                            少。

  营业成本      320,407,393.58    406,099,884.87        -21.10% 主要系本期收入减少,
                                                                            相应成本减少所致

  税金及附加      7,389,524.90      3,792,300.68          94.86% 主要系本期公司附加税
                                                                            费增加所致

                                                                            主要系本期拓展市场及
  销售费用        28,131,568.79    21,060,722.21          33.57% 布局海外业务,相关费
                                                                            用增加所致


  管理费用        39,834,897.29    31,463,459.18          26.61% 主要系本期公司管理成
                                                                            本相应增加所致

                                                                            主要系本期公司发行可
  财务费用        -4,171,009.79    -14,228,784.12        -70.69% 转债,计提利息支出所
                                                                            致

                                                                            主要系本期公司与日常
  其他收益        5,063,125.41      1,475,239.92          243.21% 经营相关的政府补助增
                                                                            加及高新技术企业增值
                                                                            税加计扣除所致

                                                                            主要系本期公司被投资
  投资收益        137,358.26      4,891,661.08          -97.19% 单位的投资收益减少所
                                                                            致

公允价值变动收益        0          -1,890,400.00        -100.00% 主要系上期发生远期结
                                                                            汇所致

                                                                            主要系本期应收账款相
  信用减值损失    -12,245,121.24    -11,841,379.39          3.41% 应计提的坏账准备增加
                                                                            所致

                                                                            主要系本期合同资产相
  资产减值损失      -390,126.22      198,312.97          -296.72% 应计提的坏账准备调整
                                                                            所致

  营业外支出      1,053,342.40      1,542,947.62          -31.73% 主要系公司对外捐赠支
                                                                            出较上年减少所致

  所得税费用      20,734,507.58    29,521,795.25          -29.77% 主要系利润总额减少所
                                                                            致

  每股收益            1.07            1.87              -42.78% 主要系净利润减少所致

    三、资产负债情况

                                                                单位:人民币元

  项 目        2023年12月31日      2022年12月31日    增减幅度  大额变动原因说明

                                                                              主要系本期公司发行
 货币资金          657,550,657.74  399,129,939.67      64.75%    可转债募集资金到位
                                                                              所致

                                                                              主要系本期公司受经
 应收账款      235,628,313.75      160,797,927.63      46.54%    济环境影响,导致应
                                                                              收账款回款速度较慢

应收款项融资      18,606,745.30        12,890,000.00      44.35%    主要系本期收到的银
                                                                              行承兑增加所致

 预付款项        11,730,436.45        3,467,838.63      238.26%  主要系本期预付采购
                                                                              款项增加所致

 其他应收款      11,534,119.87        15,445,292.68      -25.32%    主要系本期公司收回
                                                                              投标保证金所致

                                                                              主要系期末设备已发
  存货        600,728,931.48      440,585,389.07      36.35%    出,大额生产线项目
                                                                              尚未竣工所致。

                                                                              主要系本期公司合同
  合同资产      20,367,959.15        23,106,831.00      -11.85%    相对应的质保金减少
                                                                              所致

其他流动资产      4,269,630.83          451,367.33        
[点击查看PDF原文]