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塞力医疗:2023年度财务决算报告

公告日期:2024-04-27

塞力医疗:2023年度财务决算报告 PDF查看PDF原文

            塞力斯医疗科技集团股份有限公司

                2023 年度财务决算报告

  塞力斯医疗科技集团股份有限公司(以下简称“公司”)2023 年度财务报
表已经中审众环会计师事务所(特殊普通合伙)审计,并于 2024 年 4 月 26 日
出具了带强调事项段保留意见的审计报告。
一、2023 年度主要会计数据及财务指标变动情况:
1、主要经营数据

                                                              单位:人民币 元

            项 目                  2023年度        2022年度      增减变动幅
                                                                      度(%)

营业收入                          2,006,134,334.99  2,308,631,655.32        -13.10

营业成本                          1,613,442,473.03  1,850,068,015.04        -12.79

销售费用                          146,985,940.69    135,333,544.87        8.61

管理费用                          183,769,105.24    208,628,378.20        -11.92

研发费用                            43,211,214.00    29,447,205.10        46.74

财务费用                            72,881,201.60    88,346,969.48        -17.51

信用减值损失                        -80,068,123.20    -91,920,743.71      不适用

资产减值损失                        -35,517,076.32    -39,820,573.42      不适用

投资收益                            -2,377,861.59      -5,950,930.48      不适用

资产处置收益                        -2,535,164.73        -22,696.71      不适用

其他收益                              4,111,346.55      3,085,553.76        33.25

营业外收入                          3,013,689.34        363,620.38      728.80

营业外支出                          15,194,461.37    43,552,968.48        -65.11

经营活动产生的现金流量净额        125,886,030.89    28,121,714.93      347.65

投资活动产生的现金流量净额          15,193,618.81    159,709,938.61        -90.49

筹资活动产生的现金流量净额        -214,307,025.74    -316,637,496.92      不适用
2、资产负债表主要数据

                                                              单位:人民币 元

            项目                  2023年度        2022年度      增减变动幅

                                                                      度(%)

            总资产              3,341,783,890.07  3,958,813,318.35    -15.59

            总负债              2,027,091,715.60  2,461,907,884.13    -17.66

          所有者权益            1,314,692,174.47  1,496,905,434.22    -12.17

其中:归属于母公司股东的所有者权  1,210,913,086.67  1,402,577,355.02    -13.67

              益

二、财务状况、经营成果和现金流量分析
(一)资产、负债和净资产情况
1、资产构成及变动情况

  截止 2023 年 12 月 31 日,公司资产总额 334,178.39 万元,较上年末减少

15.59%,资产构成及同期变动情况如下表:

                                                              单位:人民币 元

                      本期期              上期期末本期期末金

                      末数占              数占总资额较上期期

 项目名称  本期期末数 总资产  上期期末数  产的比例末变动比例    情况说明

                      的比例                (%)  (%)

                      (%)

 货币资金 278,585,654.81  8.34  394,543,645.52    9.97    -29.39主要系归还借款所致

 应收票据  39,507,368.25  1.18  24,055,206.51    0.61          主要系新增应收汇票
                                                          64.24所致

 预付款项  71,797,684.47  2.15  100,109,114.95    2.53    -28.28主要系预付采购款减
                                                              少所致

其他应收款 88,805,172.20  2.66  189,096,194.45    4.78          主要系收回往来借款
                                                          -53.04及计提坏账增加所致

其他流动资  6,082,201.20  0.18  13,687,020.76    0.35          主要系待抵扣税金减
                                                          -55.56少所致

  产

 在建工程  8,590,373.54  0.26    3,430,970.84    0.09          主要系装修工程增加
                                                        150.38所致

长期待摊费 24,935,384.15  0.75  31,456,450.52    0.79    -20.73主要系摊销所致

  用


递延所得税                                                    主要系本期未弥补亏
  资产  197,206,556.32  5.90  126,131,960.76    3.19    56.35损和资产减值递延增
                                                              加所致

2、负债结构及变动情况

  截止 2023 年 12 月 31 日,公司负债总额 202,709.17 万元,较上年减少

17.66%,公司资产负债率 60.66%,较上年减少 1.53%。主要负债构成及变动情
况如下:

                                                                单位:人民币 元

                        本期期              上期期 本期期

                        末数占              末数占 末金额

 项目名称  本期期末数  总资产  上期期末数  总资产 较上期        情况说明

                        的比例              的比例 期末变

                        (%)              (%)  动比例

                                                    (%)

短期借款  443,695,464.87  13.28 778,869,963.50  19.67  -43.03主要系归还借款所致

应付票据      906,308.64  0.03  4,844,819.09    0.12  -81.29主要系支付到期票据所致

应交税费    27,307,082.07  0.82 35,914,227.44    0.91  -23.97主要系应交增值税减少所
                                                            致

一年内到期                                                  主要系归还一年内到期的
的非流动负  10,689,011.32  0.32 97,812,077.98    2.47  -89.07长期借款、长期应付款、
债                                                          租赁负债所致

其他流动负  17,675,542.25  0.53 26,108,347.96    0.66  -32.30主要系未终止确认应收票
债                                                          据减少所致

长期应付款  20,905,713.37  0.63 33,765,658.93    0.85        主要系本期支付租赁款所
                                                      -38.09致

 预计负债                      14,432,134.80    0.36 -100.00诉讼结案所致

 递延收益      65,438.38  0.00    144,945.01    0.00        主要系政府补助在本期转
                                               
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