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华虹计通:2021年度财务决算报告

公告日期:2022-04-15

华虹计通:2021年度财务决算报告 PDF查看PDF原文

          上海华虹计通智能系统股份有限公司

                2021 年度财务决算报告

  一、2021 年度公司财务报表的审计情况

      上海华虹计通智能系统股份有限公司(以下简称“公司”)2021
  年度财务报表已经立信会计师事务所(特殊普通合伙)审计,并出具了
  信会师报字[2022]第 ZA10860 号带强调事项段的无保留意见的审计
  报告。

  二、2021 年度主要财务数据

              项目                      2021 年                2020 年          本年比上年增减

营业收入(元)                              371,697,744.01          324,350,289.12          14.60%

归属于上市公司股东的净利润(元)            10,166,008.83            5,882,316.53          72.82%

归属于上市公司股东的扣除非经常性损

益的净利润(元)                              4,158,775.14            1,819,585.80          128.56%

经营活动产生的现金流量净额(元)            49,758,703.54          -59,014,917.42          184.32%

基本每股收益(元/股)                                0.06                  0.04          50.00%

稀释每股收益(元/股)                                0.06                  0.04          50.00%

加权平均净资产收益率                                2.65%                  1.57%          1.08%

                                          2021 年末              2020 年末        本年末比上年末增
                                                                                        减

资产总额(元)                              642,878,591. 15          645,652,932.98          -0.43%


归属于上市公司股东的净资产(元)            388,177,069.94          380,622,012.83          1.98%

  三、2021 年度公司财务状况、经营成果和现金流量情况分析

  1、资产构成及变动情况

            项目                      期末余额              期初余额            变动比例

 货币资金

                                        193,266,604.38        163,843,835.68              17.96%

 应收票据

                                          3,667,000.00            80,000.00            4483.75%

 应收账款

                                        200,520,912.37        164,518,516.79              21.88%

  减:应收账款坏账准备

                                          53,704,179.35          46,031,624.31              16.67%

 应收账款净额

                                        146,816,733.02        118,486,892.48              23.91%

 预付款项

                                          29,372,961.01          40,541,640.42            -27.55%

 其他应收款净额

                                          5,197,289.27          3,167,286.98              64.09%

 存货净额

                                          67,900,980.82        121,976,721.55            -44.33%

 合同资产净额

                                          64,965,670.52          82,208,344.11            -20.97%

 其他流动资产

                                          1,372,542.00            254,300.97            439.73%

 投资性房地产净额

                                          45,089,893.36                    -            100%%

 固定资产净额                                                                                -
                                          46,606,557.70          94,669,765.68              50.77%

 无形资产净额

                                          1,233,831.16          1,416,009.52            -12.87%

 递延所得税资产

                                          10,422,281.10          8,881,917.34              17.34%

 其他非流动资产

                                          26,966,246.81          10,126,218.25            166.30%

  非流动资产合计


                                        130,318,810.13        115,093,910.79              13.23%

资产总计

                                        642,878,591.15        645,652,932.98              -0.43%

  重大变动情况说明:

  1)应收票据余额较年初增加 4483.75%,主要是增加商业承兑汇票所
  致;

  2)其他应收款净额较年初增加 64.09%,主要系投标保证金增加;

  3)存货净额较年初减少 44.33%,主要系原杭州项目存货根据项目实
  施完成收入并结转,货物所有权转移,导致发出商品减少;

  4)投资性房地产净额较年初增加 100%,主要系固定资产房屋租赁业
  务资产科目重分类;

  5)固定资产净额较年初减少 50.77%,主要系固定资产重分类至投资
  性房地产;

  6)其他非流动资产较年初增加 166.30%,主要系预付土地款。

  2、负债构成及变动情况

          项目                    期末余额                期初余额              变动比例

  应付票据                              35,653,265.58            5,575,574.23              539.45%

  应付账款                            166,264,014.75          157,736,709.54                5.41%

  合同负债                              15,223,419.04          57,749,848.05              -73.64%

  应付职工薪酬                          8,505,128.93            6,214,543.19              36.86%

  应交税费                              3,536,846.19            9,232,427.36              -61.69%

  其他应付款                            17,891,855.23          17,564,953.45                1.86%

  其他流动负债                          1,581,552.21              224,911.24              603.19%

  预计负债                              3,508,866.49            5,062,520.09              -30.69%

  递延收益                              1,400,000.00            5,099,118.63              -72.54%

  其他非流动负债                        1,136,572.79              570,314.37              99.29%


 非流动负债合计                      6,045,439.28          10,731,953.09              -43.67%

 负债合计                          254,701,521.21          265,030,920.15              -3.90%

重大变动情况说明:
 1)应付票据余额较年初增加 539.45%,系采购应付增加的电子票据所致;
 2)合同负债余额较年初减少 73.64%,主要系部分项目已验收或应收客户对价而应向客户转让商品的义务减少所致;
 3)应付职工薪酬余额较年初增加 36.86%,主要系期末计提未发放的年终奖增加所致;
4)应交税费余额较年初减少 61.91%,主要系报告
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