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首页 公告 华蓝集团:2021年度财务决算报告

华蓝集团:2021年度财务决算报告

公告日期:2022-04-26

华蓝集团:2021年度财务决算报告 PDF查看PDF原文

                    华蓝集团股份公司

                2021 年度财务决算报告

      公司 2021 年度财务报表及报表附注已经天职国际会计师事务所(特殊普通
  合伙)(以下简称“天职国际”)审计,并出具了标准无保留意见。天职国际认为
  公司财务报表在所有重大方面公允反映了 2021 年 12 月 31 日的财务状况以及
  2021 年度的经营成果和现金流量。

      一、公司业务发展概要

      2021 年,公司主营业务未发生变更,一直从事工程设计、国土空间规划、
  工程咨询及工程总承包管理业务等。2021年公司实现营业收入 115,483.29 万元,
  同比增长5.79%;归属于母公司股东的净利润为12,754.68万元,同比增长5.04%。
      二、公司主要财务数据

      1、主要财务数据及指标

        项目                2021 年              2020 年        增减变动

营业收入(元)          1,154,832,938.93    1,091,632,151.62      5.79%

归属于上市公司股东的

                          127,546,790.25      121,432,572.63      5.04%
净利润(元)
归属于上市公司股东的

扣除非经常性损益的净      121,767,532.30      111,369,534.96      9.34%
利润(元)
经营活动产生的现金流

                          -44,592,225.08      127,676,811.75    -134.93%
量净额(元)

基本每股收益(元/股)          1.02                1.1            -7.27%

稀释每股收益(元/股)          1.02                1.1            -7.27%

加权平均净资产收益率          20.41%              33.53%          -13.12%

        项目                2021 年末            2020 年末        增减变动

资产总额(元)          1,791,927,957.23    1,267,422,979.81    41.38%

归属于上市公司股东的

                          919,831,482.87      422,836,327.66      117.54%

净资产(元)

      2、公司各项业务收入情况

                                                                单位:元

    业务类型                本期数                      上期数

工程设计                868,644,741.35              844,304,362.78

国土空间规划            136,533,345.76              127,873,960.76

工程总承包管理          68,571,368.35                47,010,738.74

工程咨询                49,460,956.10                44,036,762.59

其他主营业务(审

                        22,001,092.53                19,936,776.67

图、晒图等)

其他业务                9,621,434.84                8,469,550.08

    合计            1,154,832,938.93            1,091,632,151.62

      三、2021 年公司主要报表项目变动及原因

      1、合并资产负债表项目

                                                                单位:元

    项目          期末数        期初数      增减变动          变动原因

                                                          主要系收到募集资金增加
  货币资金    910,780,676.99 645,430,238.44    41.11%

                                                          所致

                                                          主要系商业汇票到期无法
  应收票据    1,829,822.52  9,980,000.07    -81.67%

                                                          承兑转入应收账款所致

                                                          主要系收入规模增长,以及
  应收账款    509,055,443.74 280,986,994.40    81.17%    受经济形势影响,本年销售
                                                          回款不及预期所致


  项目          期末数        期初数      增减变动          变动原因

                                                          主要系计划长期出租的经
固定资产    20,340,142.33  78,709,734.42    -74.16%    营出租资产转至投资性房
                                                          地产所致

                                                          主要系计划长期出租经营
投资性房地产  59,573,385.17        -            -      出租房屋建筑物及土地使
                                                          用权转入所致

长期待摊费用  5,266,934.67  8,218,936.48    -35.92%    主要系本期摊销增加所致

                                                          主要系已入账未支付的成
递延所得税资                                              本费用及计提减值准备产
              31,618,404.71  15,933,801.47    98.44%

    产                                                  生的待抵扣暂时性差异大
                                                          幅增长所致

                                                          主要系经济环境影响,销售
合同负债    68,613,729.42  100,799,438.96    -31.93%

                                                          预收款降低所致

                                                          主要系受业绩增长影响,应
应交税费    50,938,207.82  33,884,391.77    50.33%    交所得税和增值税大幅增
                                                          长所致

                                                          主要系销售预收款降低,待
其他流动负债  4,166,565.16  6,874,530.36    -39.39%

                                                          转销项税降低所致

                                                          主要系部分一年内到期的
                                                          租金重分类,且本年已支付
租赁负债    7,063,344.36  14,115,144.70    -49.96%

                                                          合同约定需支付的租金所
                                                          致

一年内到期非                                              主要系未来一年内需要支
              7,652,073.94  4,432,597.92    72.63%

流动负债                                                付的租金较本期有所增长

                                                          主要系未达到其他收益确
递延收益    1,657,082.37    482,343.06      243.55%    认条件的政府补助项目增
                                                          加所致

实收资本    147,000,000.00 110,200,000.00    33.39%    主要系发行新股股本增加

    项目          期末数        期初数      增减变动          变动原因

                                                          所致

  资本公积    390,406,812.15  57,758,447.19    575.93%    主要系发行新股溢价所致

 未分配利润  326,594,350.84 208,023,264.22    57.00%    主要系本期利润增加所致

             
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