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海融科技:2022年年度财务报告

公告日期:2023-04-26

海融科技:2022年年度财务报告 PDF查看PDF原文

                  2022 年度财务决算报告

  上海海融食品科技股份有限公司(以下简称“公司”) 2022 年度财务决算报告汇总如下:

  报告期内,公司实现营业收入 868,163,477.37 元,较去年同期增加 16.23%;
实现归属于母公司所有者的净利润 93,311,771.57 元,较去年同期减少 17.01%;实现基本每股收益 1.0368 元,同比减少 17.01%。

    一、2022 年度公司主要会计数据和财务指标

                                                            单位:元

            项目                      2022 年            2021 年      本年比上年增减

 营业收入(元)                          868,163,477.37    746,934,444.44          16.23%

 归属于上市公司股东的净利润(元)        93,311,771.57    112,435,917.87        -17.01%

 归属于上市公司股东的扣除非经常性损      68,527,453.97      85,235,117.06        -19.60%
 益的净利润(元)

 经营活动产生的现金流量净额(元)        55,473,202.48      57,060,292.66          -2.78%

 基本每股收益(元/股)                          1.0368            1.2493        -17.01%

 稀释每股收益(元/股)                          1.0368            1.2493        -17.01%

 加权平均净资产收益率                            6.56%              8.27%          -1.71%

 资产总额(元)                        1,722,197,316.05  1,599,203,161.21          7.69%

 归属于上市公司股东的净资产(元)      1,453,184,900.08  1,396,429,252.22          4.06%

二、2022 年度资产及负债状况分析

                                                            单位:元

                2022/12/31            2021/12/31        本年比  变动 30%以上原因

  项目        金额      占总资      金额      占总资  上年增  分析

                        产比例                产比例    减

 货币资金  314,876,912.6  18.28%  342,412,484.0  21.41%  -8.04%

                        0                        4

 交易性金  932,450,083.7  54.14%  900,598,888.8  56.32%    3.54%

  融资产                8                        9

 应收账款  37,361,089.12    2.17%  34,397,009.43    2.15%    8.62%

 预付款项    8,037,260.21    0.47%    7,566,857.66    0.47%    6.22%

 其他应收                                                      116.92  主要系报告期内公司
    款      1,650,734.63    0.10%      760,997.91    0.05%        %  租赁厂房履约保证金
                                                                        增加所致。

  存货    183,359,537.9  10.65%  137,588,763.1    8.60%  33.27%  主要系公司为生产经

                      4                        6                    营备货所致。

其他流动    1,909,474.79    0.11%      913,977.39    0.06%  108.92  主要系报告期内公司
 资产                                                            %  预缴税款增加所致。

固定资产  112,054,077.9    6.51%  117,218,446.3    7.33%  -4.41%

                      4                        1

                                                                      主要系报告期间在建
在建工程    8,459,611.70    0.49%  12,449,640.34    0.78%        -  工程达到预定可使用
                                                              32.05%  状态转入固定资产所
                                                                      致。

使用权资  49,892,418.87    2.90%    1,114,531.74    0.07%  4376.5  主要系报告期内公司
  产                                                            4%  新增厂房租赁所致。

无形资产  25,156,220.98    1.46%  25,145,258.21    1.57%    0.04%

递延所得                                                          -  主要系报告期内公司
 税资产    2,983,977.38    0.17%    5,563,207.98    0.35%  46.36%  弥补以前年度亏损所
                                                                      致。

其他非流                                                      226.62  主要系报告期内公司
 动资产    44,005,916.11    2.56%  13,473,098.15    0.84%        %  预付长期设备款增加
                                                                      所致。

                                                                  -  主要系报告期内公司
短期借款  10,000,000.00    0.58%  17,287,857.28    1.08%  42.16%  根据现金管理计划向
                                                                      银行借款减少所致。

应付账款  79,261,561.42    4.60%  61,721,974.21    3.86%  28.42%

合同负债  68,690,616.65    3.99%  44,458,927.38    2.78%  54.50%  主要系报告期间公司
                                                                      预收账款增加所致。

应付职工  34,501,764.77    2.00%  37,151,883.51    2.32%  -7.13%

 薪酬

应交税费    6,172,821.84    0.36%  23,837,055.24    1.49%        -  主要系报告期间公司
                                                              74.10%  税金减少所致。

其他应付    8,019,467.17    0.47%    7,496,161.26    0.47%    6.98%

  款

一年内到                                                      378.48  主要系报告期内公司
期的非流    2,208,283.76    0.13%      461,521.62    0.03%        %  新增厂房租赁所致。
 动负债

其他流动    7,548,751.93    0.44%    4,430,952.07    0.28%  70.36%

 负债

租赁负债  47,912,511.96    2.78%      685,835.48    0.04%  6886.0  主要系报告期内公司
                                                                  1%  新增厂房租赁所致。

预计负债      42,062.76    0.00%      42,837.56    0.00%  -1.81%

递延收益    4,282,696.19    0.25%    5,104,402.07    0.32%        -

                                                              16.10%

递延所得                                                      309.10  主要系报告期内公司
 税负债      367,512.57    0.02%      89,833.33    0.01%        %  购买理财产品公允价
                                                                      值变动所致。

三、2022 年度所有者权益分析

          项目              2022/12/31      2021/12/31      本年比上年增减

      实收资本(或股本)          90,000,000.00      90,00
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