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首页 公告 骏成科技:2021年度财务决算报告

骏成科技:2021年度财务决算报告

公告日期:2022-03-29

骏成科技:2021年度财务决算报告 PDF查看PDF原文

                江苏骏成电子科技股份有限公司

                  2021 年度财务决算报告

    报告期内,江苏骏成电子科技股份有限公司(以下简称“公司”)严格按照《公司法》、《会计法》、《企业会计准则》等规定进行会计核算,公司编制的 2021年度财务报表经中天运会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告(编号:中天运[2022]审字第 90124 号)。现将公司 2021 年度的财务决算情况报告如下:

    一、2021 年度公司主要财务数据

    报告期内,公司实现营业总收入为56,475.39万元,比去年同期上升24.50%;归属于母公司的净利润 7,856.57 万元,比去年同期上升 22.16%;经营活动产生的现金流量净额 5,215.90 万元,比去年同期下降 2.67%;归属于母公司的净资产44,539.33 万元,比去年同期增长 17.56%。

                                                            单位:元

          项目                2021 年度        2020 年度          同比

营业收入                      564,753,877.46    453,620,390.53          24.50%

归属于公司所有者的净利润      78,565,707.59      64,311,868.73          22.16%

归属于公司扣除非经常性损      73,837,494.76      68,501,214.51            7.79%
益的净利润

经营活动产生的现金流量净      52,158,986.04      53,595,268.19            -2.67%


基本每股收益(元/股)                1.4426            1.1790          22.36%

稀释每股收益(元/股)                1.4426            1.1790          22.36%

加权平均净资产收益率                19.24%          18.60%            3.41%

资产总额                      663,831,378.21    553,275,216.29          19.98%

归属于母公司的净资产          445,393,339.27    378,860,430.75          17.56%

    二、财务状况分析

    (一)公司资产情况分析

                                                            单位:元

          资产            2021 年 12月 31日  2020 年 12月 31日        同比

货币资金                      75,506,915.50      88,722,995.93          -14.90%

应收账款                      184,892,530.92    147,067,912.32          25.72%

预付账款                        4,857,127.64      4,680,249.84            3.78%

其他应收款                      637,279.65      1,203,020.87          -47.03%

存货                          128,192,658.06      84,133,623.18          52.37%

其他流动资产                    1,392,911.83      1,537,950.14            -9.43%

固定资产                      121,945,086.16    103,550,818.84          17.76%

在建工程                      32,154,806.14      22,650,951.91          41.96%

无形资产                      53,338,913.67      54,804,646.88            -2.67%

长期待摊费用                    449,879.39        399,063.70          12.73%

递延所得税资产                  2,934,282.33      1,771,997.04          65.59%

其他非流动资产                  262,015.00      1,656,684.13          -84.18%

资产总计                      663,831,378.21    553,275,216.29          19.98%

    变动说明:

    其他应收款期末余额减少 47.03%,主要系暂付供应商的保证金减少所致。
    存货期末余额增加 52.37%,主要系 IC 等原材料涨价,公司进行集中采购以
及订单增加期末在产品增加所致。

    在建工程期末余额增加 41.96%,主要系公司募投项目基建工程及设备投入
增加所致。

    递延所得税资产期末余额增加 65.59%,主要系公司信用减值准备的计提增
加影响递延所得税资产增加所致。

    其他非流动资产期末余额减少 84.18%,主要系预付长期资产购置款减少所
致。

    (二)公司负债及权益情况分析

                                                            单位:元

          负债            2021 年 12月 31日  2020 年 12月 31日        同比

短期借款                      10,011,763.89      12,716,191.67          -21.27%

应付票据                      30,458,377.01      21,992,012.37          38.50%

应付账款                      111,926,207.64      86,126,264.83          29.96%

合同负债                        2,824,442.69      2,394,524.74          17.95%

应付职工薪酬                  22,425,777.43      17,458,526.12          28.45%

应交税费                        9,057,090.79      8,786,899.93            3.07%

其他应付款                      2,359,491.82      1,480,391.04          59.38%

其他流动负债                  29,374,887.67      23,459,974.84          25.21%

负债合计                      218,438,038.94    174,414,785.54          25.24%

    变动说明:


    应付票据期末余额增加 38.50%,主要系公司采购业务量增加,开出的承兑
汇票增加所致。

    其他应付款期末余额增加 59.38%,主要系应付代垫费用款增加所致。

    三、经营成果情况分析

                                                            单位:元

          科目            2021 年 12月 31日  2020 年 12月 31日        同比

营业收入                      564,753,877.46    453,620,390.53          24.50%

营业成本                      411,774,378.62    312,356,324.76          31.83%

税金及附加                      4,621,108.92      3,789,765.53          21.94%

销售费用                      14,442,963.44      10,635,721.25          35.80%

管理费用                      15,929,663.02      21,613,091.44          -26.30%

研发费用                      25,469,805.81      20,371,354.29          25.03%

财务费用                        2,762,044.60      6,640,688.12          -58.41%

其他收益                          39,221.09                -                -

投资收益                                -          20,328.77          -100.00%

信用减值损失                  -5,257,298.41      -2,347,016.10          124.00%

资产减值损失                  -1,237,187.78      -1,004,689.05          23.14%

资产处置收益                      25,004.52                -                -

营业利润                      83,323,652.47      74,882,068.76          11.27%

营业外收入                      5,677,279.95      1,842,580.37          208.12%

营业外支出                      158,547.68        350,060.32          -54.71%

所得税费用                    10,276,677.15      12,062,720.08          -14.81%

净利润                        78,565,707.59      64,311,868.73          22.16%

    变动说明:

    营业成本同比增加 31
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