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富煌钢构:2023年度财务决算报告

公告日期:2024-04-26

富煌钢构:2023年度财务决算报告 PDF查看PDF原文

                      安徽富煌钢构股份有限公司

                          2023年度财务决算报告

                安徽富煌钢构股份有限公司(以下简称“公司”)2023年12月31日的资产

            负债表、2023年度的利润表、现金流量表、股东权益变动表以及财务报表附注

            已经天健会计师事务所(特殊普通合伙)审计,并出具标准无保留意见的审计

            报告,现将2023年度公司财务决算情况报告如下:

                一、2023 年度经营业绩情况

                2023 年,世界政治经济形势错综复杂,中国经济回升向好,供给需求稳定改

            善,转型升级积极推进,就业物价总体稳定,民生保障有力有效,高质量发展扎实

            推进。面对日趋严峻的市场和经营环境,公司通过强化组织建设,深化经营管理,

            提质经营,基本实现了规范、安全运行的目标任务,确保运行的总体平稳。公司

            全年实现营业收入 463,525.05 万元,较上年同期减少 2.58%;实现归属于上市

            公司股东的净利润为 9,605.06 万元,较上年同期减少 1.48%。

                二、主要会计数据和财务指标

                                                  2022 年                  本年比上年                  2021 年

    项目            2023 年                                                  增减

                                        调整前              调整后          调整后          调整前              调整后

营业收入        4,635,250,458.13    4,757,796,783.90    4,757,796,783.90      -2.58%    5,737,485,934.12    5,737,485,934.12
(元)
归属于上市公

司股东的净利        96,050,593.62      99,270,236.89      97,493,553.70      -1.48%      166,115,738.45      166,115,738.45
润(元)
归属于上市公
司股东的扣除

非经常性损益        89,663,922.79      84,600,214.62      82,823,531.43      8.26%      156,600,145.60      156,600,145.60
的净利润
(元)
经营活动产生

的现金流量净        20,092,349.22    -676,748,552.57    -676,748,552.57    102.97%    -631,611,675.70    -631,611,675.70
额(元)

基本每股收益                0.22                0.23                0.23      -4.35%                0.38                0.38
(元/股)

稀释每股收益                0.22                0.23                0.23      -4.35%                0.38                0.38
(元/股)

加权平均净资                3.05%              3.22%              3.22%      -0.17%              5.57%              5.57%
产收益率


                                                  2022 年末                本年末比上                2021 年末

    项目          2023 年末                                                年末增减

                                        调整前              调整后          调整后          调整前              调整后

总资产(元)    10,518,149,769.23  11,057,947,034.50  11,092,495,784.23      -5.18%  10,083,181,670.20  10,083,181,670.20

归属于上市公

司股东的净资    3,195,120,472.43    3,118,859,483.04    3,116,835,112.32      2.51%    3,052,168,079.09    3,052,168,079.09
产(元)

              1、资产构成

                                                                                    单位:元

                                      2023 年末                      2023 年初            比重增  重大变动说

                  项目          金额        占总资产比        金额        占总资产比    减        明

                                                  例                            例

                货币资金      813,177,400.61        7.73%    656,816,631.59        5.92%    1.81%

                应收账款    3,392,869,714.35      32.26%  2,985,960,064.75      26.92%    5.34%

                合同资产    3,492,335,227.80      33.20%  4,292,216,203.38      38.69%  -5.49%

                存货          492,796,831.11        4.69%    498,992,809.18        4.50%    0.19%

                投资性房地      7,477,901.90        0.07%      5,176,602.28        0.05%    0.02%

                产

                长期股权投    14,770,621.50        0.14%                                  0.14%

                资

                固定资产    1,391,955,508.96      13.23%  1,438,313,587.05      12.97%    0.26%

                在建工程          326,052.43        0.00%      2,235,579.52        0.02%  -0.02%

                使用权资产    217,558,012.06        2.07%    151,594,475.68        1.37%    0.70%

                短期借款    2,216,503,522.04      21.07%  1,950,140,793.51      17.58%    3.49%

                合同负债      144,139,483.34        1.37%    281,092,815.96        2.53%  -1.16%

                长期借款      673,443,251.99        6.40%    913,653,650.60        8.24%  -1.84%

                租赁负债      92,017,165.80        0.87%    84,392,104.66        0.76%    0.11%

              2、费用

                                                                                    单位:元

                  项目              2023 年              2022 年            同比增减          重大变动说明

          销售费用                  46,570,347.63        43,103,357.20                8.04%

          管理费用                  170,020,727.13      147,207,516.94              15.50%

          财务费用                  171,861,017.63      149,310,014.94              15.10%

          研发费用                  185,435,105.43      184,029,789.61                0.76%

              3、现金流

                                                                                    单位:元

                    项目                    2023 年                  2022 年                  同比增减


经营活动现金流入小计              5,971,644,488.34          4,827,451,702.58                    23.70%

经营活动现金流出小计              5,951,552,139.12          5,504,200,255.15                    8.13%

经营活动产生的现金流量净            20,092,349.22          -67
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