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慈文传媒:2023年度财务决算报告

公告日期:2024-04-19

慈文传媒:2023年度财务决算报告 PDF查看PDF原文

                    慈文传媒股份有限公司

                      2023 年度财务决算报告

    一、2023 年度会计报表已经大信会计师事务所(特殊普通合伙)审计

    经过审计,大信会计师事务所(特殊普通合伙)认为本公司的财务报表在所有重大方 面按照企业会计准则的规定编制,公允反映了公司2023年12月31日的财务状况以及2023 年度的经营成果和现金流量,并为本公司2023年度财务报表出具了“大信审字[2024]第 6-00031号”审计报告。

    二、主要会计数据和财务指标

                  项目                      2023 年          2022 年        变动幅度

  营业收入(万元)                                            46,118.94          46,643.05          -1.12%

  归属于上市公司股东的净利润(万元)                            2,762.78          4,923.73          -43.89%

  归属于上市公司股东的扣除非经常性损益的净利润              -3965.62            419.19        -1046.02%
  (万元)

  经营活动产生的现金流量净额(万元)                            1,227.51          24,310.84          -94.95%

  基本每股收益(元/股)                                            0.06                0.1          -40.00%

  稀释每股收益(元/股)                                            0.06                0.1          -40.00%

  加权平均净资产收益率                                        2.90%            5.38%          -46.10%

  项目                                                      2023 年末          2022 年末        变动幅度

  总资产(万元)                                              126,767.60        162,278.21          -21.88%

  归属于上市公司股东的净资产(万元)                          96,691.79          93,927.49            2.94%

    三、财务状况

    (一)报告期主要资产构成情况

                                                                            单位:万元

                    2023 年末          2023 年初

    项 目                  占总资            占总资 变动幅度        重大变动说明

                  金额    产比例    金额    产比例

货币资金              17,700.23    13.96%    36,973.50  22.78%          系项目支出增加及购买资管计划所
                                                                    -52.13% 致

应收票据                            0.00%    6,720.00    4.14%  -100.00% 系应收票据到期兑付所致


应收账款              20,058.05    15.82%    17,153.32  10.57%    16.93% 系确认收入所致

预付款项                  26.43    0.02%      771.84    0.48%    -96.58% 系投资项目款结束所致

其他应收款              926.62    0.73%      440.91    0.27%  110.16% 系剧组备用金增加所致

存货                  49,794.98    39.28%    79,752.90  49.15%    -37.56% 系项目确认收入结转所致

合同资产                            0.00%                0.00%

其他流动资产            3,689.68    2.91%    5,898.80    3.63%    -37.45% 系项目可抵税金减少所致

流动资产合计          93,705.42    73.92%  147,811.58  91.09%    -36.60%

债权投资                            0.00%        711.8    0.44%  -100.00% 系收回项目款项所致

长期股权投资            1,201.54    0.95%      606.59    0.37%    98.08% 系增加对外投资所致

其他权益工具投          945.28    0.75%      952.51    0.59%    -0.76%



固定资产                  74.31    0.06%    2,314.60    1.43%    -96.79% 系公司出租闲置房产转投资性房地
                                                                            产核算所致

使用权资产                76.49    0.06%        75.89    0.05%    0.79%

长期待摊费用              6.75    0.01%        10.27    0.01%    -34.27% 系装修费用摊销所致

递延所得税资产          8,653.60    6.83%    9,794.96    6.04%    -11.65% 系减值转回及补亏所致

非流动资产合计        33,062.18    26.08%    14,466.63    8.91%  128.54%

资产总计              126,767.60  100.00%  162,278.21  100.00%    -21.88%

    (二)报告期主要负债构成情况

                                                                            单位:万元

                    2023 年末            2023 年初        变动

    项 目      金额    占总负    金额    占总负债  幅度        重大变动说明

                            债比例                比例

 短期借款              3,561.09    13.19%      6,000.00    9.20%  -40.65% 系本期归还借款所致

 应付票据                          0.00%          57.6    0.09%  -100.00% 系票据兑付所致

 应付账款            10,737.28    39.78%      17,735.68    27.19%  -39.46% 系完成部分项目结算所致

 合同负债              7,615.15    28.21%      33,245.51    50.96%  -77.09% 系部分项目完成收入确认,预
                                                                              收转收入所致

 应付职工薪酬            248.74    0.92%        253.98    0.39%    -2.06%

 应交税费                668.76    2.48%      1,760.30    2.70%  -62.01% 系本期末待缴纳税金减少所致

 其他应付款              896.13    3.32%        499.65    0.77%    79.35% 系计提中介机构费用所致

 一年内到期的非流        77.22    0.29%      3,315.56    5.08%  -97.67% 系借款减少所致

 动负债

 其他流动负债            456.91    1.69%      1,994.50    3.06%  -77.09% 系预收销售款税金减少所致

 流动负债合计        26,629.20    98.66%      64,868.15    99.43%  -58.95%

 递延所得税负债          360.64    1.34%        370.43    0.57%    -2.64% 系其他权益工具投资公允价值
                                                                              变动确认递延所得税负债增加

 非流动负债合计          360.64    1.34%        370.43    0.57%    -2.64%

 负债合计            26,989.84  100.00%      65,238.58  100.00%  -58.63%

    四、经营成果

                                                                              单位:万元

                  2023 年度            2022 年度          变动

  项目                占营业收              占营业收    幅度        重大变动说明

              金额    入比例      金额      入比例

营业收入          46,118.94    100.00%      46,643.05    100.00%      -1.12%

营业成本          42,496.78      92.15%      35,934.83      77.04%    18.26%  系相关项目成本较高所致

税金及附加  
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