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東華測試: 2022年度財(cái)務(wù)決算報(bào)告 全球觀察

時(shí)間:2023-03-09 21:16:41    來源:證券之星    

           江蘇東華測試技術(shù)股份有限公司

  江蘇東華測試技術(shù)股份有限公司(以下簡稱“公司”)2022 年 12 月 31 日


(資料圖片僅供參考)

母公司及合并的資產(chǎn)負(fù)債表、2022 年度母公司及合并的利潤表、2022 年度母公

司及合并的現(xiàn)金流量表、2022 年度母公司及合并的所有者權(quán)益變動(dòng)表及相關(guān)報(bào)

表附注已經(jīng)北京興華會(huì)計(jì)師事務(wù)所(特殊普通合伙)依照中國注冊會(huì)計(jì)師獨(dú)立審

計(jì)準(zhǔn)則審計(jì)驗(yàn)證,并出具了標(biāo)準(zhǔn)無保留意見的審計(jì)報(bào)告。公司 2022 年度財(cái)務(wù)決

算情況報(bào)告如下:

一、基本情況

現(xiàn)利潤總額 13,600.61 萬元,比上年同期上升 58.60%;實(shí)現(xiàn)歸屬于母公司凈利

潤 12,177.50 萬元,比上年同期上升 52.17%。

二、主要財(cái)務(wù)指標(biāo)

                                                           單位:元

營業(yè)收入(元)              367,082,438.42    257,042,601.70       42.81%

歸屬于上市公司股東的凈利潤(元)     121,774,983.07    80,023,924.21        52.17%

歸屬于上市公司股東的扣除非經(jīng)常

性損益的凈利潤(元)

經(jīng)營活動(dòng)產(chǎn)生的現(xiàn)金流量凈額(元)      31,377,544.40    27,481,524.61        14.18%

基本每股收益(元/股)                     0.88              0.58      51.72%

稀釋每股收益(元/股)                     0.88              0.58      51.72%

加權(quán)平均凈資產(chǎn)收益率                    22.17%         17.43%          4.74%

                                                         本年末比上年末

                                                           增減

資產(chǎn)總額(元)              692,310,717.17    545,294,354.68       26.96%

歸屬于上市公司股東的凈資產(chǎn)(元)     599,788,943.95    494,682,998.00       21.25%

三、會(huì)計(jì)報(bào)表主要項(xiàng)目的說明

(一)資產(chǎn)

                                                                     單位:元

項(xiàng)目              期末余額             期初余額               同比增減額            增減%

流動(dòng)資產(chǎn)           546,998,355.01   400,473,950.21      146,524,404.80    36.59%

貨幣資金           121,364,777.42   120,185,591.23        1,179,186.19     0.98%

應(yīng)收票據(jù)             3,879,986.18        2,612,307.60     1,267,678.58    48.53%

應(yīng)收賬款           225,292,466.94   111,071,751.42      114,220,715.52   102.84%

預(yù)付賬款            13,671,056.95    10,057,293.93        3,613,763.02    35.93%

其他應(yīng)收賬款          33,422,484.09    17,345,758.25      16,076,725.84     92.68%

存貨             136,820,624.42   132,784,475.67        4,036,148.75     3.04%

合同資產(chǎn)            12,546,959.01        6,405,404.90     6,141,554.11    95.88%

其他流動(dòng)資產(chǎn)                    —            11,367.21        -11,367.21   -100.00%

非流動(dòng)資產(chǎn)          145,312,362.16   144,820,404.47         491,957.69      0.34%

投資性房地產(chǎn)                    —          4,088,259.12    -4,088,259.12   -100.00%

固定資產(chǎn)           114,241,398.97   114,886,332.71         -644,933.74     -0.56%

在建工程              183,486.24          918,316.82       -734,830.58    -80.02%

使用權(quán)資產(chǎn)             828,457.41                  —        828,457.41          —

無形資產(chǎn)            16,311,846.23    16,258,027.65          53,818.58      0.33%

長期待攤費(fèi)用            741,535.55         1,409,822.07      -668,286.52    -47.40%

遞延所得稅資產(chǎn)          8,780,654.13        6,034,662.47     2,745,991.66    45.50%

其他非流動(dòng)資產(chǎn)          4,224,983.63        1,224,983.63     3,000,000.00   244.90%

變化較大項(xiàng)目說明:

據(jù)結(jié)算方式增加所致;

銷售增加所致;

增加,所需原材料增加所致;

增值稅享受緩繳政策,軟件企業(yè)增值稅即征即退稅額暫未到賬導(dǎo)致;

客戶轉(zhuǎn)讓商品而有權(quán)收取對(duì)價(jià)的權(quán)利增加所致;

他流動(dòng)資產(chǎn)所致;

投資性房產(chǎn)轉(zhuǎn)為自用房產(chǎn)所致;

工程轉(zhuǎn)固定資產(chǎn)所致;

攤銷各項(xiàng)長期待攤所致;

年計(jì)提壞賬、股權(quán)激勵(lì)在等待期內(nèi)確認(rèn)的成本費(fèi)用等稅會(huì)差異所致;

年預(yù)付工程款所致。

(二)負(fù)債和所有者權(quán)益

                                                                 單位:元

   項(xiàng)目        期末余額                期初余額           同比增減額            增減%

流動(dòng)負(fù)債         89,807,355.08   46,583,045.78      43,224,309.30     92.79%

應(yīng)付賬款         13,146,451.97       8,179,025.34     4,967,426.63    60.73%

合同負(fù)債          8,956,793.15       9,624,535.28     -667,742.13     -6.94%

應(yīng)付職工薪酬       15,211,158.11    13,518,176.11       1,692,982.00    12.52%

應(yīng)交稅費(fèi)         47,179,444.20   12,100,954.23      35,078,489.97    289.88%

其他應(yīng)付款         3,977,950.08       1,909,165.23     2,068,784.85   108.36%

一年內(nèi)到期的非流動(dòng)

負(fù)債

其他流動(dòng)負(fù)債        1,164,383.11       1,251,189.59       -86,806.48    -6.94%

非流動(dòng)負(fù)債合計(jì)       2,714,418.14       4,028,310.90    -1,313,892.76   -32.62%

租賃負(fù)債           676,800.16                 —        676,800.16          —

遞延收益          2,037,617.98       4,028,310.90    -1,990,692.92   -49.42%

所有者權(quán)益合計(jì)     599,788,943.95   494,682,998.00     105,105,945.95    21.25%

實(shí)收資本(或股本)   138,320,201.00   138,320,201.00                —       0.00%

資本公積         113,722,926.36   106,194,742.49      7,528,183.87     7.09%

盈余公積          42,493,309.35    31,825,928.86     10,667,380.49    33.52%

未分配利潤        305,252,507.24   218,342,125.65     86,910,381.59    39.80%

變化較大項(xiàng)目說明:

原材料增多所致;

潤增長,企業(yè)所得稅和增值稅增加所致;

計(jì)提跨期費(fèi)用所致;

補(bǔ)助項(xiàng)目結(jié)項(xiàng)和攤銷所致;

利潤增長,盈余公積增加所致;

年凈利潤增長,未分配利潤增加所致。

(三)經(jīng)營情況

                                                                  單位:元

   項(xiàng)目         本期金額             上期金額              同比增減額            增減%

一、營業(yè)收入      367,082,438.42    257,042,601.70     110,039,836.72    42.81%

二、營業(yè)成本      119,150,003.47    82,790,055.12       36,359,948.35    43.92%

三、稅金及附加       6,136,028.86      3,672,863.87       2,463,164.99    67.06%

四、銷售費(fèi)用       41,780,262.58    34,861,919.68        6,918,342.90    19.84%

五、管理費(fèi)用       41,891,042.01    34,680,705.08        7,210,336.93    20.79%

六、研發(fā)費(fèi)用       34,621,047.69    27,104,015.73        7,517,031.96    27.73%

七、財(cái)務(wù)費(fèi)用         -435,135.93         -402,157.15       -32,978.78     -8.20%

八、其它收益       20,052,227.21    12,656,238.79        7,395,988.42    58.44%

九、投資收益         559,252.06           30,738.32       528,513.74    1719.40%

十、信用減值損失     -8,807,118.45     -1,045,930.02      -7,761,188.43   -742.04%

   項(xiàng)目        本期金額            上期金額             同比增減額           增減%

十一、資產(chǎn)減值損失      503,012.31        -80,253.17     583,265.48    726.78%

十二、資產(chǎn)處置收益       -43,534.31       -16,221.19      -27,313.12   -168.38%

十三、營業(yè)利潤     136,203,028.56   85,879,772.10    50,323,256.46    58.60%

十四、營業(yè)外收入        58,981.22        220,948.94     -161,967.72    -73.31%

十五、營業(yè)外支出       255,900.00        375,322.16     -119,422.16    -31.82%

十六、利潤總額     136,006,109.78   85,725,398.88    50,280,710.90    58.65%

十七、所得稅費(fèi)用    14,231,126.71     5,701,474.67     8,529,652.04   149.60%

十八、凈利潤      121,774,983.07   80,023,924.21    41,751,058.86    52.17%

變化較大項(xiàng)目說明:

大市場開拓力度,產(chǎn)品銷售增加所致;

入增加,成本同步增加所致;

入增加,導(dǎo)致稅金及附加增加;

稅退稅款增加所致;

財(cái)產(chǎn)品投資收益增加所致;

主要系公司 2022 年應(yīng)收賬款增加,計(jì)提信用減值損失增加所致;

主要系公司 2022 年存貨跌價(jià)損失轉(zhuǎn)回所致;

主要系 2022 年公司處置固定資產(chǎn)所致;

司業(yè)務(wù)增長,銷售收入增加所致;

經(jīng)營性收入減少所致;

經(jīng)營性支出減少所致;

務(wù)增長,銷售收入增加所致。

利潤增加從而導(dǎo)致應(yīng)交企業(yè)所得稅增加所致;

增長,銷售收入增加所致。

(四)現(xiàn)金流量情況

                                                              單位:元

      項(xiàng)目         本期金額              上期金額            同比增減額           增減%

一、經(jīng)營活動(dòng)產(chǎn)生的現(xiàn)金流

量凈額

   經(jīng)營活動(dòng)現(xiàn)金流入量    297,804,032.43    270,901,298.47   26,902,733.96    9.93%

   經(jīng)營活動(dòng)現(xiàn)金流出量    266,426,488.03    243,419,773.86   23,006,714.17    9.45%

二、投資活動(dòng)產(chǎn)生的現(xiàn)金流

                  -7,340,482.99   -11,924,282.14    4,583,799.15   38.44%

量凈額

   投資活動(dòng)現(xiàn)金流入量     95,710,586.06    12,035,556.22    83,675,029.84   695.23%

   投資活動(dòng)現(xiàn)金流出量    103,051,069.05    23,959,838.36    79,091,230.69   330.10%

三、籌資活動(dòng)產(chǎn)生的現(xiàn)金流

                 -24,197,220.99   -15,215,222.11   -8,981,998.88   -59.03%

量凈額

   籌資活動(dòng)現(xiàn)金流入量                —                —               —          —

   籌資活動(dòng)現(xiàn)金流出量     24,197,220.99     15,215,222.11    8,981,998.88   59.03%

變化較大項(xiàng)目說明:

年累計(jì)收回理財(cái)產(chǎn)品增加所致;

年現(xiàn)金分紅所致。

 以上數(shù)據(jù)均為合并數(shù)據(jù)。

                          江蘇東華測試技術(shù)股份有限公司

                                     董事會(huì)

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