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中南文化:2023年财务决算报告

公告日期:2024-04-18

中南文化:2023年财务决算报告 PDF查看PDF原文

                中南红文化集团股份有限公司

                    2023 年度财务决算报告

一、公司财务报告的审计情况

  2023年度,公司财务报告按照企业会计准则的规定编制,公司财务报表已经利安达会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见审计报告(利安达审字[2024] 第0097号)。
二、2023 年末财务状况
(一)资产构成及变动情况

                                                                            单位:万元

          项      目                  2023 年末            2022 年末            变动幅度

流动资产:

货币资金                                    6,569.16            17,910.60              -63.32%

交易性金融资产                              92,624.48            95,530.19                -3.04%

应收票据                                    7,963.06              7,572.33                5.16%

应收账款                                    31,016.05            25,044.96                23.84%

应收款项融资                                4,523.95              2,057.90              119.83%

预付款项                                    4,026.62              4,405.74                -8.61%

其他应收款                                  1,712.09                972.94                75.97%

存货                                        33,724.68            19,577.56                72.26%

其他流动资产                                1,296.82                620.10              109.13%

        流动资产合计                    183,456.90          173,692.30                5.62%

非流动资产:

长期股权投资                                3,044.68              3,603.01              -15.50%

其他非流动金融资产                          35,771.96            48,687.03              -26.53%

投资性房地产                                3,850.55              4,218.46                -8.72%

固定资产                                    29,289.30            26,760.19                9.45%

在建工程                                      924.69                396.13              133.43%

使用权资产                                      25.70              102.78              -75.00%

无形资产                                    5,001.41              5,132.19                -2.55%

长期待摊费用                                    39.09                23.24                68.20%

递延所得税资产                              3,337.85              5,455.63              -38.82%

        非流动资产合计                    81,285.22            94,378.66              -13.87%

          资产总计                      264,742.12          268,070.96              -1.24%

注:因金额四舍五入可能导致部分汇总和对比数据存在尾数差异
重要变动说明:

  1、 货币资金期末余额 6,569.16 万元,同比减少 11,341.44 万元,下降 63.32%,主要为本年归还江阴
  澄邦企业管理发展中心(有限合伙)镇江新利拓担保案件保证金导致;

  2、 应收款项融资期末余额 4,523.95 万元,同比增加 2,466.05 万元,增长 119.83%,主要为本年销售

  回款收到银行承兑汇票增加导致;

  3、 其他应收款期末余额 1,712.09 万元,同比增加 739.15 万元,增长 75.97%,主要为销售订单增长
  导致履约、投标保证金增加。

  4、 存货期末余额为 33,724.68 万元,同比增加 14,147.12 万元,增长 72.26%,主要为销售订单增长
  导致原材料、在产品和库存商品增加;

  5、 其他流动资产期末余额 1,296.82 万元,同比增加 676.72 万元,增长 109.13%,主要为本年新建光
  伏电站项目导致增值税留抵税额增加;

  6、 在建工程期末余额 924.69 万元,同比增加 528.56 万元,增长 133.43%,主要为本年新建光伏电站
  项目导致;

  7、 使用权资产期末余额 25.70 万元,同比减少 77.09 万元,下降 75.00%,主要为本年计提折旧导致;
  8、 长期待摊费用期末余额 39.09 万元,同比增加 15.85 万元,增长 68.20%,主要为本年新增房屋装
  修费导致;

  9、 递延所得税资产期末余额 3,337.85 万元,同比减少 2,117.78 万元,下降 38.82%,主要为确认的
  可抵扣暂时性差异减少导致。
(二)债务构成及变动情况

                                                                            单位:万元

          项      目                  2023 年末            2022 年末            变动幅度

流动负债:

应付票据                                      886.65                                      不适用

应付账款                                    9,014.64              5,809.05                55.18%

预收款项                                      484.68                484.68                    -

合同负债                                    13,772.52              3,352.10              310.86%

应付职工薪酬                                2,946.22              2,092.73                40.78%

应交税费                                      341.05              1,719.68              -80.17%

其他应付款                                  4,652.50            26,416.96              -82.39%

一年内到期的非流动负债                        177.23                82.65              114.43%

其他流动负债                                7,453.59              4,769.80                56.27%

        流动负债合计                      39,729.07            44,727.64              -11.18%

非流动负债:

长期借款                                    1,448.25                                      不适用

租赁负债                                                              21.54              -100.00%

预计负债                                      591.32            23,077.26              -97.44%

递延所得税负债                              3,337.85              5,455.63              -38.82%

        非流动负债合计                      5,377.42            28,554.43              -81.17%

          负债合计                        45,106.49            73,282.07              -38.45%

注:因金额四舍五入可能导致部分汇总和对比数据存在尾数差异

重要变动说明:

  1、 应付票据期末余额 886.65 万元,主要为本年公司新增开具的银行承兑汇票;

  2、 应付账款期末余额 9,014.64 万元,同比增加 3,205.59 万元,增长 55.18%,主要为本年销售订单
  增长导致生产
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