联系客服

688661 科创 和林微纳


首页 公告 和林微纳:关于2022年年度报告更正的公告

和林微纳:关于2022年年度报告更正的公告

公告日期:2023-05-09

和林微纳:关于2022年年度报告更正的公告 PDF查看PDF原文

  证券代码:688661          证券简称:和林微纳          编号:2023-021

          苏州和林微纳科技股份有限公司

          关于 2022 年年度报告更正的公告

      本公司董事会及全体董事保证本公告内容不存在任何虚假记载、误导性陈述

  或者重大遗漏,并对其内容的真实性、准确性和完整性依法承担法律责任。

      苏州和林微纳科技股份有限公司(以下简称“公司”) 于 2023 年 4 月 28

  日在上海证券交易所网站(www.sse.com.cn)披露了《2022 年年度报告》,经事后

  核查发现部分内容有误,现将有关内容予以更正。本次更正不涉及对财务报表的

  调整,不会对公司 2022 年年度财务状况及经营成果产生影响。具体情况如下:

      一、“第三节 管理层讨论与分析”之“五、报告期内主要经营情况”之“(三)
  资产、负债情况分析”之“1.资产及负债状况”

  更正前:

                                                                        单位:万元

                          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  总资产  上期期末  总资产  较上期        情况说明

                  数      的比例    数    的比例  期末变

                            (%)              (%)  动比例

                                                        (%)

货币资金        20,592.19  15.37  11,152.38  16.04    -0.67  主要系公司募集资金账
                                                                户余额增加所致

交易性金融资  70,171.30  52.36  20,443.33  29.40    22.97  主要系公司购买结构性
产                                                              存款品未到期所致

应收款项融资    2,843.78    2.12  4,072.82    5.86    -3.73  主要系期末结存的银行
                                                                承兑汇票减少所致

预付款项          483.75    0.36    116.73    0.17    0.19  主要系预付的材料费增
                                                                加所致

存货            6,005.26    4.48  3,925.18    5.64    -1.16  主要系公司的库存商品
                                                                增加所致

其他流动资产      367.28    0.27    562.49    0.81    -0.53  主要系再融资相关发行
                                                                费用减少所致


固定资产        21,478.75  16.03  7,391.94  10.63    5.40  主要系公司购入厂房及
                                                                机器设备所致

                                                                主要系公司 2021 年待安
在建工程          697.56    0.52  1,317.38    1.89    -1.37  装调试的机器设备较多
                                                                所致

无形资产        1,932.35    1.44    825.35    1.19    0.26  主要系公司收购土地所
                                                                致

长期待摊费用    1,495.87    1.12    893.34    1.28    -0.17  主要系公司厂房装修费
                                                                增加所致

递延所得税资                                                  主要系纳税主体递延所
产                  25.92    0.02      86.65    0.12    -0.11  得税资产与递延所得税
                                                                负债互抵减少所致

其他非流动资  2,154.89    1.61  11,414.58  16.41  -14.81  主要系 2021 年预付的设
产                                                              备款较多所致

应交税费          101.69    0.08      53.32    0.08    -0.00  主要系公司的税金及附
                                                                加增加所致

一年内到期的      71.39    0.05    500.00    0.72    -0.67  主要系公司归还借款所
非流动负债                                                      致

长期借款                -      -  3,800.00    5.46    -5.46  主要系公司归还借款所
                                                                致

递延所得税负                                                  主要系纳税主体递延所
债                474.70    0.35    727.20    1.05    -0.69  得税资产与递延所得税
                                                                负债互抵减少所致

递延收益        1,258.00    0.94          0      0    0.94  主要系公司收到与资产
                                                                相关的政府补助所致

  更正后:

                                                                        单位:万元

                          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  总资产  上期期末  总资产  较上期        情况说明

                  数      的比例    数    的比例  期末变

                            (%)              (%)  动比例

                                                        (%)

货币资金        20,592.19  15.37  11,152.38  16.04    84.64  主要系公司募集资金账
                                                                户余额增加所致

交易性金融资  70,171.30  52.36  20,443.33  29.40  243.25  主要系公司购买结构性
产                                                              存款品未到期所致

应收款项融资    2,843.78    2.12  4,072.82    5.86  -30.18  主要系期末结存的银行
                                                                承兑汇票减少所致

预付款项          483.75    0.36    116.73    0.17  314.42  主要系预付的材料费增
                                                                加所致

存货            6,005.26    4.48  3,925.18    5.64    52.99  主要系公司的库存商品

                                                                增加所致

其他流动资产      367.28    0.27    562.49    0.81    -34.7  主要系再融资相关发行
                                                                费用减少所致

固定资产        21,478.75  16.03  7,391.94  10.63  190.57  主要系公司购入厂房及
                                                                机器设备所致

                                                                主要系公司 2021 年待安
在建工程          697.56    0.52  1,317.38    1.89  -47.05  装调试的机器设备较多
                                                                所致

无形资产        1
[点击查看PDF原文]