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鸿铭股份:2023年度财务决算报告

公告日期:2024-04-23

鸿铭股份:2023年度财务决算报告 PDF查看PDF原文

                广东鸿铭智能股份有限公司

                  2023 年度财务决算报告

  公司 2023 年度会计报表已经致同会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告致同审字(2023)第 332A008966 号《审计报告》。根据该《审计报告》并按照企业会计准则的规定,公司编制了 2023 年度的财务决算报告,具体情况如下:

    一、经营利润情况

                                                                      单位:人民币元

  指标项目      2023 年年度      2022 年年度    增减幅度      大额变动原因说明

                                                            在社会面多重因素的冲击
                                                            下,整体经济下行造成终端
 营业收入      174,840,339.68    230,151,934.60    -24.03%  客户的需求减少致使公司下
                                                            游客户减缓了固定资产投
                                                            资,从而造成公司销量下滑

 营业成本      126,303,717.81    138,317,882.95    -8.69%

 销售费用      38,766,018.45                      29.65%  主要是本报告期工资、展会
                                  29,900,179.90            费及股权激励费用增加所致

 管理费用      18,145,396.41    16,012,026.14    13.32%

 研发费用      13,380,400.46    11,376,130.95    17.62%

 财务费用      -9,424,542.83                      29.74%  主要是本报告期闲余资金管
                                  -7,263,906.98            理利息收入增加所致

 其他收益        2,419,977.97                      -76.29%  主要是本报告期计入其他收
                                  10,204,851.63            益的政府补助同比下降所致

                                                            主要是本报告期用于现金管
 投资收益        2,271,462.00      1,209,600.00    87.79%  理的银行理财产品收益增加
                                                            所致

 信用减值损失  -5,968,692.65                      65.88%  主要是本报告期应收账款计
                                  -3,598,102.35            提的坏账准备同比增加所致

 营业外支出      2,947,380.55                    2386.33%  主要是本报告期涉诉案件赔
                                    118,543.39            款增加所致

 归属于母公司  -16,773,283.53                    -142.46%  主要是本报告期营业收入下
 股东的综合收                    39,505,194.80            降,利润减少所致

 益总额

 基本每股收益        -0.3355            1.0498  -131.96%  主要是本报告期营业收入下
                                                            降,利润减少所致

二、资产负债情况

                                                                      单位:人民币元

    指标项目          2023 年          2022 年      增减幅度    大额变动原因说明
                    12 月 31 日        12 月 31 日

 流动资产:

 货币资金          371,201,808.67  460,455,869.79    -19.38%

 交易性金融资产                                                  主要是本报告期购买
                    51,000,000.00    79,400,000.00    -35.77%  理财产品减少所致

 应收票据            6,070,272.51    7,434,058.88    -18.35%

 应收账款            74,824,161.25    89,288,705.23    -16.20%

                                                                主要是本报告期收到
 应收款项融资                                                    银行承兑汇票减少所
                        548,014.45    2,244,635.96    -75.59%  致

                                                                主要是本报告期向供
 预付款项                                                        应商预付采购款减少
                    2,129,109.89    3,648,548.13    -41.65%  所致

 其他应收款                                                      主要是本报告期收回
                    1,714,142.47    3,075,509.87    -44.26%  上期其他应收款所致

 存货              144,868,146.44  144,893,430.66    -0.02%

                                                                主要是本报告期期末
 其他流动资产                                                    进项留抵金额增加所
                    13,348,806.87    7,521,597.43    77.47%  致

 流动资产合计      665,704,462.55  797,962,355.95    -16.57%

 非流动资产:

 固定资产                                                        主要是本报告期在建
                  149,998,640.59    42,772,096.54    250.69%  厂房转固增加所致

 在建工程                                                        主要是本报告期在建
                    91,375,951.98  173,211,375.49    -47.25%  厂房转固减少所致

                                                                主要是本报告期计提
 使用权资产                                                      租赁资产折旧减少所
                    17,991,688.67    25,912,842.05    -30.57%  致

 无形资产            21,863,306.53    22,093,924.74    -1.04%


                                                                主要是本报告期租赁
长期待摊费用                                                    的厂房装修费用增加
                      209,833.22      101,803.86    106.12%  所致

                                                                主要是本报告期未弥
递延所得税资产                                                  补亏损、计提资产减
                                                                值、预计负债等增加所
                    13,966,286.61    10,295,363.75    35.66%  致

                                                                主要是本报告期随着
其他非流动资产                                                  实施进度确认工程量
                    4,745,527.65    1,008,980.00    370.33%  预付所致

非流动资产合计    300,151,235.25  275,396,386.43      8.99%

资产总计                            1,073,358,742.3

                  965,855,697.80                8    -10.02%

流动负债:

短期借款                                                        主要是本报告期归还
                                -    28,216,995.67  -1
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