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华业香料:2023年财务决算报告

公告日期:2024-04-23

华业香料:2023年财务决算报告 PDF查看PDF原文

              安徽华业香料股份有限公司

                2023 年度财务决算报告

    公司 2023 年度财务报表已经大华会计师事务所(特殊普通合伙)审计,并出具了“大华审
字[2024]0011003117 号”标准无保留意见的审计报告。

    一、2023 年主要财务数据:

                            2023 年              2022 年          本年比上年增减            2021 年

 营业收入(元)              269,418,412.06        254,836,775.96                5.72%          246,413,472.86

 归属于上市公司股东的          -3,945,839.45          20,783,528.87            -118.99%            17,552,194. 93
 净利润(元)
 归属于上市公司股东的

 扣除非经常性损益的净          -7,247,915.40          14,127,863.25            -151.30%            10,741,839. 38
 利润(元)

 经营活动产生的现金流        39,419,395.19          21,470,305.04              83.60%            27,689,981. 43
 量净额(元)

 基本每股收益(元/                  -0.0529                0.2788            -118.97%                  0.2354
 股)

 稀释每股收益(元/                  -0.0529                0.2788            -118.97%                  0.2354
 股)

 加权平均净资产收益率              -0.73%                3.91%              -4.64%                  3.39%

                            2023 年末            2022 年末        本年末比上年末增减        2021 年末

 资产总额(元)              602,320,218.77        616,169,061.01              -2.25%          569,379,494.75

 归属于上市公司股东的        538,554,722.60        540,043,367.76              -0.28%          522,226,449.03
 净资产(元)

  注:本表数据为公司合并表数据。

    二、2023 年主要财务状况:

    1、主要资产及负债变动情况:

                    2023 年末                  2023 年初          比重增

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

                              产比例                    产比例

 货币资金        59,553,889. 73    9.89%    117,242,080. 08    19.03%    -9.14%  主要系本年购买理财产品在期末未
                                                                            到期所致

 应收账款        76,059,776. 59  12.63%    75,169,138. 54    12.20%    0.43%

 存货            96,981,635. 02  16.10%    110,586,877. 95    17.95%    -1.85%  主要系库存商品减少所致

 固定资产      253,028,056.51  42.01%    139,841,622.33    22.70%  19.31%  主要系 3000 吨丙位内酯二期部分资
                                                                            产达到预定可使用状态转固所致

 在建工程        10,132,946. 29    1.68%    112,017,030. 87    18.18%  -16.50%  主要系 3000 吨丙位内酯二期部分资
                                                                            产达到预定可使用状态转固所致

 短期借款        3,003,025.00    0.50%      9,909,982.50    1.61%    -1.11%  主要系本年归还部分短期借款所致

 合同负债        1,288,065.15    0.21%        528,921.37    0.09%    0.12%

    2、费用情况:

                            2023 年              2022 年              同比增减          重大变动说明

 销售费用                      3,773,077.72          3,288,062.01              14.75%  主要系业务人员拓展

                                                                                      市场差旅费增加所致

 管理费用                    34,496,678.15          30,465,434.60              13.23%  主要系计提股份支付

                                                                                      费用所致

 财务费用                    -1,861,429.78          -5,895,527.79              -68.43%  主要系汇率波动形成

                                                                                      的汇兑收益减少所致

 研发费用                    14,851,731.62          15,414,261.25              -3.65%

    3、现金流情况

            项目                    2023 年                  2022 年                  同比增减

 经营活动现金流入小计                  295,165,425.06              300,936,636.81                    -1.92%

 经营活动现金流出小计                  255,746,029.87              279,466,331.77                    -8.49%

 经营活动产生的现金流量净额              39,419,395. 19              21,470,305.04                    83.60%

 投资活动现金流入小计                    90,912,539. 52              215,126,347.39                    -57.74%

 投资活动现金流出小计                  177,447,251.62              187,469,556.92                    -5.35%

 投资活动产生的现金流量净额            -86,534,712. 10              27,656,790.47                  -412.89%

 筹资活动现金流入小计                    10,000,000. 00                9,930,000.00                    0.70%

 筹资活动现金流出小计                    20,896,764. 95                3,914,695.00                  433.80%

 筹资活动产生的现金流量净额            -10,896,764. 95                6,015,305.00                  -281.15%

 现金及现金等价物净增加额              -57,688,190. 35              57,335,798.92                  -200.61%

注:
1、经营活动产生的现金流量净额较上年增加83.60%,主要系本期购买商品支付的现金相对减少所致;
2、投资活动产生的现金流量净额较上年同期减少412.89%,主要系本期收到的其他与投资有关的现金减少所致;
3、筹资活动产生的现金流量净额较上年同期减少281.15%,主要系本期归还银行借款所致。

                                                        安徽华业香料股份有限公司
                                                                          董事会
                                                                2024 年 4 月 22 日
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