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首页 公告 雷尔伟:2021年度财务决算报告

雷尔伟:2021年度财务决算报告

公告日期:2022-03-31

雷尔伟:2021年度财务决算报告 PDF查看PDF原文

                南京雷尔伟新技术股份有限公司

                    2021 年度财务决算报告

      一、2021 年度财务报表审计情况

      2021 年度财务报表经天衡会计师事务所(特殊普通合伙)审计,出具了标准无保留意
  见的审计报告(天衡审字〔2022〕00030 号),天衡会计师事务(特殊普通合伙)认为公司
  的财务报表已经按照企业会计准则以及有关规定编制,在所有重大方面公允地反映了公司
  2021 年 12 月 31 日的财务状况以及 2021 年度经营成果和现金流量。

      二、经营利润情况

                                                                                单位:人民币元

    项 目        2021 年度      2020 年度    增减幅度      大额变动原因说明

营业总收入      510,230,072.92  466,864,574.41      9.29%

营业成本        289,747,856.33  262,242,513.00      10.49%

税金及附加        4,948,502.53    4,724,640.93      4.74%

                                                                      主要系报告期按照新会计准则,
销售费用          6,188,861.96  14,779,394.53      -58.13%  将原销售费用中运输费、包装费
                                                                      重分类计入营业成本所致。

管理费用          44,363,639.93  34,920,212.25      27.04%

研发费用          20,895,343.15  19,676,214.35      6.20%

                                                                      主要系报告期募集资金和自有
财务费用          -367,007.69    2,840,959.12    -112.92%  资金存银行利息收入,且报告期
                                                                      未发生票据贴现业务所致。

其他收益                                                            主要系报告期收到政府补助所
                  2,386,790.94    1,662,500.00      43.57%  致。

投资收益                                                            主要系报告期银行理财收益增
                  1,348,069.44      168,198.80    701.47%  加所致。

                                                                      主要系报告期其他应收款、应收
信用减值损失      -816,378.37    2,677,873.76    -130.49%  账款、应收票据坏账损失下降所
                                                                      致。

资产减值损失      -1,043,751.40    -1,003,552.28      -4.01%

营业利润        146,327,607.32  131,185,660.51      11.54%

营业外收入        3,098,011.83    4,099,099.08      -24.42%

营业外支出                                                          主要系报告期售后服务费用增
                    224,879.27      77,928.35    188.57%  加所致。

利润总额        149,200,739.88  135,206,831.24      10.35%


 所得税费用        22,303,070.32  20,785,770.19      7.30%

 净利润          126,897,669.56  114,421,061.05      10.90%

 归属于母公司股  126,897,669.56  114,421,061.05      10.90%

 东的净利润

 每股收益                  1.21          1.27      -4.72%

      三、资产负债情况

                                                                                  单位:人民币元

    项 目      2021 年 12 月 31 日  2020年12月31日  增减幅度    大额变动原因说明

货币资金                                                                  主要系报告期收到募集资金
                    526,547,793.46    148,198,331.40    255.30%  3.825 亿元。

交易性金融资产      60,000,000.00                -    100.00%  主要系报告期购买理财 6000
                                                                          万元,尚未到期。

应收票据                                                                  主要系报告期票据收款减少
                      4,258,010.82      13,813,361.29    -69.17%  所致。

应收账款                                                                  主要系报告期销售产品未到
                    78,321,785.90      46,249,461.62    69.35%  回款期所致。

应收款项融资                                                            主要系报告期银行承兑汇票
                      4,220,324.92      7,277,244.72    -42.01%  到期兑现所致。

预付款项                                                                  主要系报告期预付材料采购
                      1,374,885.37      2,603,704.87    -47.20%  款及工程设备款减少所致。

其他应收款                                                              主要系报告期待收回保证金
                      564,186.22        424,850.03    32.80%  和押金增加所致。

存货                135,283,529.74    147,443,148.87    -8.25%

合同资产            17,841,235.37      17,893,278.41    -0.29%

其他流动资产                                                            主要系报告期增值税留抵税
                      4,316,879.81      10,723,455.65    -59.74%  额减少所致。

流动资产合计        832,728,631.61    394,626,836.86    111.02%

固定资产                                                                  主要系报告期新厂区部分厂
                    174,662,254.36    107,092,798.30    63.09%  房及设备转固。

在建工程                                                                  主要系报告期新厂区部分厂
                    30,784,995.80      78,810,823.45    -60.94%  房及设备转固。

无形资产            32,263,363.38      33,103,734.99    -2.54%

递延所得税资产        2,859,006.36      2,673,445.12      6.94%

非流动资产合计      240,569,619.90    221,680,801.86      8.52%

资产总计          1,073,298,251.51    616,307,638.72    74.15%

短期借款                                                                  主要系报告期还清银行借
                                -      40,000,000.00  -100.00%  款。


应付票据                                                                  主要系报告期票据付款增加
                    54,554,979.06      30,311,850.38    79.98%  所致。

应付账款            101,224,695.48    107,672,267.37    -5.99%

合同负债              3,163,379.28      2,435,848.40    29.87%

应付职工薪酬          9,114,988.87      9,932,215.36    -8.23%

应交税费              2,784,167.86      2,966,238.01    -6.14%

其他应付款           
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