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喜悦智行:2023年度财务决算报告

公告日期:2024-04-24

喜悦智行:2023年度财务决算报告 PDF查看PDF原文

          宁波喜悦智行科技股份有限公司

              2023 年度财务决算报告

  宁波喜悦智行科技股份有限公司(以下简称“公司”)2023 年度财务报表已经容诚会计师事务所(特殊普通合伙)审计,并出具了容诚审字[2024]230Z0129 号标准无保留意见的审计报告。为了更全面、详细地了解公司 2023 年的财务状况和经营成果,现将 2023 年度财务决算报告情况汇报如下:

    一、 主要会计数据及财务指标变动情况

      报表项目            2023 年度        2022 年度      本年比上年增减

营业收入(元)              403,190,820.48    427,980,263.13            -5.79%

归属于上市公司股东的净

                            36,120,679.16      65,835,141.30            -45.13%
利润(元)
归属于上市公司股东的扣

除非经常性损益的净利润      31,173,945.52      48,991,095.22            -36.37%
(元)
经营活动产生的现金流量

                            -10,127,946.56      -18,219,120.62            44.41%
净额(元)

基本每股收益(元/股)                0.21              0.39            -46.15%

稀释每股收益(元/股)                0.21              0.39            -46.15%

加权平均净资产收益率              3.81%            7.11%            -3.30%

      报表项目          2023 年 12 月 31    2022 年 12 月 31

                              日                日

资产总额(元)            1,294,376,778.11    1,123,437,501.26            15.22%

归属于上市公司股东的净

                            953,939,311.16    945,500,418.39              0.89%
资产(元)

  二、财务状况、经营成果及现金流量情况分析


  (一)资产构成及变动分析

                                                            单位:元

              2023 年 12 月 31  2022 年 12 月 31                  变动较大项目
  报表项目                                          变动比例

                    日              日                          原因分析

                                                                主要系本期购
货币资金          256,107,621.63    320,713,987.76    -20.14%    买银行理财产
                                                                品及募投项目
                                                                投入增加所致。

应收账款          253,413,231.32    236,627,473.24    7.09%

存货              110,733,417.74      88,917,782.06    24.53%

                                                                主要系尚未到
其他流动资产      38,049,484.78      2,302,000.00    1552.89%    期的理财产品
                                                                金额较大所致。

流动资产合计      782,321,571.41    769,813,956.29    1.62%

固定资产          145,223,420.65    149,537,291.57    -2.88%

                                                                主要系本期募
在建工程          161,286,479.90      61,219,289.24    163.46%    投项目投入增
                                                                加所致。

                                                                主要系本期租
使用权资产          4,516,937.76      7,956,123.74    -43.23%    赁资产摊销金
                                                                额较大所致。

无形资产          54,369,407.53      55,617,143.84    -2.24%

                                                                主要系本期租
长期待摊费用      117,558,368.10      74,616,581.96    57.55%    赁业务增加,租
                                                                赁资产投入增
                                                                加所致。

递延所得税资

                    2,101,409.61      1,897,294.47    10.76%



其他非流动资                                                    主要系本期预
                    6,081,506.17      2,779,820.15    118.77%    付工程设备款
产                                                              增加所致。

非流动资产合

                  512,055,206.70    353,623,544.97    44.80%



资产合计        1,294,376,778.11  1,123,437,501.26    15.22%

  (二)负债情况构成及变动分析


                                                            单位:元

                2023 年 12 月 31  2022 年 12 月 31                  变动较大项目原
    报表项目                                        变动比例

                      日              日                            因分析

                                                                主要系本期采购
 应付账款        107,477,728.82    64,498,782.74    66.64%    增加,相应的应
                                                                付货款和工程设
                                                                备款增加所致。

 合同负债            529,844.56    1,403,879.34    -62.26%    主要系本期预收
                                                                货款减少所致。

 应付职工薪酬      8,776,981.63    10,400,051.84    -15.61%

                                                                主要系本期利润
 应交税费          4,278,954.55    8,043,088.64    -46.80%    下降,相应缴纳
                                                                的企业所得税减
                                                                少所致。

 其他应付款          246,987.10      205,764.09    20.03%

                                                                主要系将于

 一年内到期的非                                                  2023 年到期的
                  22,938,991.33    4,926,951.53    365.58%    长期借款金额较
 流动负债

                                                                大所致。

 其他流动负债          68,879.79      179,444.03    -61.61%    主要系待转销项
                                                                税额减少所致。

 流动负债合计    333,730,103.30  172,659,595.52    93.29%

                                                                主要系本期租赁
 租赁负债          1,507,843.83    3,0
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