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拉芳家化:2023年度财务决算报告

公告日期:2024-04-30

拉芳家化:2023年度财务决算报告 PDF查看PDF原文

                      拉芳家化股份有限公司

                      2023 年度财务决算报告

    拉芳家化股份有限公司(以下简称“公司”或“本公司”)根据华兴会计师事务所(特殊普通合伙)出具的华兴审字[2024]23011680011 号标准无保留意见的审计报告及公司财务决算相关资料,现将公司 2023 年度财务决算报告概述如下:

    一、主要会计数据及财务指标变动情况

    1、主要经营情况

                                                                单位:人民币元

              项目                  2023 年度        2022 年度    增减变动幅

                                                                    度(%)

 营业总收入                        859,785,238.35    887,124,422.08      -3.08%

 营业利润                            69,731,372.05    60,963,128.12      14.38%

 利润总额                            70,857,740.33    60,995,300.55      16.17%

 净利润                              54,374,912.59    57,800,913.07      -5.93%

 其中:归属于母公司股东的净利润      65,499,027.03    59,233,721.50      10.58%

 经营活动产生的现金流量净额        146,826,829.83    141,763,274.58      3.57%

    2、主要资产情况

                                                                单位:人民币元

        项目            2023 年度          2022 年度      增减变动幅度(%)

 总资产                  2,180,442,832.01    2,161,849,768.53              0.86%

 总负债                    195,219,310.24      199,891,275.59              -2.34%

 所有者权益              1,985,223,521.77    1,961,958,492.94              1.19%

 其中:归属于母公司      1,968,547,704.00    1,934,008,412.41              1.79%
 股东的所有者权益

    3、主要销售构成情况,主营业务收入分产品变动分析


                                                                单位:人民币元

        项目            2023 年度          2022 年度      增减变动幅度(%)

        洗护类            732,106,092.04      721,236,226.99              1.51%

        香皂              25,909,521.26      27,206,503.17              -4.77%

        其他              96,568,848.10      137,727,135.78            -29.88%

        合计              854,584,461.40      886,169,865.94              -3.56%

    二、财务状况、经营成果分析

    1、资产、负债和净资产变动较大的项目基本情况

                                                                单位:人民币元

    项        目    2023 年 12 月 31 日  2022 年 12 月 31 日  增减变动幅度(%)

    交易性金融资产                0.00        9,000,000.00            -100.00%

    应收款项融资                  0.00        100,000.00            -100.00%

    其他应收款            43,046,727.32        5,855,943.21            635.09%

    在建工程              30,528,476.87        3,577,497.25            753.35%

    使用权资产              2,836,412.40        4,863,545.20            -41.68%

    商誉                          0.00      11,698,741.15            -100.00%

    长期待摊费用            752,835.49        247,751.61            203.87%

    其他非流动资产          4,130,146.88        7,128,082.03            -42.06%

    应交税费                9,988,392.55        6,121,745.50            63.16%

    其他应付款            20,593,885.14      13,717,669.74            50.13%

    租赁负债                912,241.95        2,862,987.50            -68.14%

    减:库存股              1,409,056.00              0.00              不适用

    少数股东权益            16,675,817.77      27,950,080.53            -40.34%

    2、资产、负债和净资产的主要变动原因

    (1)交易性金融资产:主要系涅生科技的股份已被回购,公司不再持有涅生科技的股权。

    (2)应收款项融资:主要系应收银行承兑票据减少所致。

    (3)其他应收款:主要系本期应收股权转让款增加所致。

    (4)在建工程:主要系产供研一体化产业基地建设项目投入增加所致。

    (5)使用权资产:主要系本期计提折旧所致。


    (6)商誉:主要系本期确认上海诚儒商誉减值损失。

    (7)长期待摊费用:主要系本期新增专柜装修费所致。

    (8)其他非流动资产: 主要系本期预付设备款减少所致。

    (9)应交税费:主要系期末应交企业所得税增加所致。

    (10)其他应付款: 主要系本期保证金增加所致。

    (11)租赁负债:主要系租赁付款额减少所致。

    (12)库存股:主要系本期回购股份,库存股增加所致。

    (13)少数股东权益:主要系非全资子公司所有者权益较上期减少。

    3、经营成果

    公司 2023 年度实现营业收入 85,978.52 万元,与上年同期相比下降 2,733.92 万元,降幅为
 3.08%;净利润为 5,437.49 万元,与上年同期相比下降 342.60 万元,降幅为 5.93%。具体主要财
 务数据如下:

                                                                    单位:人民币元

                                                                            增减变动
                项        目                    2023 年度    2022 年度      幅度
                                                                              (%)

一、 营业总收入                                859,785,238.35 887,124,422.08    -3.08%

    其中:营业收入                            859,785,238.35 887,124,422.08    -3.08%

          利息收入

          已赚保费

          手续费及佣金收入

二、营业总成本                                  744,511,417.88 836,441,000.20  -10.99%

    其中:营业成本                              448,542,263.21 468,619,521.70    -4.28%

          利息支出

          手续费及佣金支出

          退保金

          赔付支出净额

          提取保险责任合同准备金净额

          保单红利支出

          分保费用

          税金及附加                              6,391,451.08  5,225,365.55    22.32%

          销售费用                              214,035,105.16 285,010,142.26  -24.90%

          管理费用                              58,416,075.81  61,672,195.60    -5.28%

          研发费用                              34,792,091.28  33,135,988.99    5.00%

          财务费用                              -17,665,568.66  -17,222,213.90    不适用

          其中:利息费用                          196,708.37    155,523.81    26.48%

                利息收入                        17,888,438.43  17,395,032.50    2.84%

    加:其他收益             
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