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三联虹普:2023年年度财务报告

公告日期:2024-04-25

三联虹普:2023年年度财务报告 PDF查看PDF原文

            北京三联虹普新合纤技术服务股份有限公司

                    2023 年度财务决算报告

    根据天衡会计师事务所(特殊普通合伙人)出具的标准无保留意见的审计报告,结合北京 三联虹普新合纤技术服务股份有限公司(以下简称“公司”)实际运营中的具体情况,现将截止 于2023年12月31日的财务状况、2023年度的经营成果和现金流量相关情况报告如下:
一、主要会计数据

    (一)经营业绩状况

                                                                    单位:人民币元

          项  目                2023年度          2022年度        同比增减

      一、营业总收入        1,250,112,877.08    1,059,978,195.14      17.94%

      其中:营业收入        1,250,112,877.08    1,059,978,195.14      17.94%

      二、营业总成本          928,964,891.81      821,458,791.50        13.09%

      其中:营业成本          753,944,958.86      659,996,961.61        14.23%

        税金及附加            6,708,348.09        6,368,610.60          5.33%

          销售费用              17,156,321.87      12,861,714.58        33.39%

          管理费用              76,416,255.32      63,074,168.12        21.15%

          研发费用              71,500,264.25      63,684,661.02        12.27%

          财务费用              3,238,743.42        15,472,675.57        -79.07%

      其中:利息费用            673,014.66        3,502,610.51        -80.79%

          利息收入              6,218,410.88        3,524,085.62        76.45%

        加:其他收益            6,644,847.56        2,606,815.55        154.90%

 投资收益(损失以“-”号填列)    49,154,649.56      36,336,450.04        35.28%

 其中:对联营企业和合营企业    12,558,554.21      13,139,852.88        -4.42%

        的投资收益

 以摊余成本计量的金融资产终
 止确认收益(损失以“-”号填

            列)

 公允价值变动收益(损失以“-”    -15,761,151.71      18,204,066.38        -186.58%

          号填列)

 信用减值损失(损失以“-”号填    -719,521.99          -176.12        408440.76%

            列)

 资产减值损失(损失以“-”号填    -6,473,177.72        -2,737,555.21        136.46%

            列)

 资产处置收益(损失以“-”号填    6,509,157.32                            100.00%

            列)

 三、营业利润(亏损以“-”号填    360,502,788.29      292,929,004.28        23.07%

            列)


            加:营业外收入          1,887,074.51        1,110,367.64        69.95%

            减:营业外支出          1,573,071.67        738,217.09        113.09%

      四、利润总额(亏损总额以“-”    360,816,791.13      293,301,154.83        23.02%

              号填列)

            减:所得税费用          49,081,885.95      40,838,544.59        20.19%

      五、净利润(净亏损以“-”号填    311,734,905.18      252,462,610.24        23.48%

                列)

      归属于母公司股东的净利润    290,305,475.96      240,311,157.39        20.80%

        (净亏损以“-”号填列)

    损益项目变动情况及原因分析如下:

    1) 销售费用 1,715.63万元,较上年同期增加 33.39%,主要系本期业务推广费增加所致。

    2) 财务费用 323.87 万元,较上年同期减少 79.07%,主要系存款结息增加以及汇兑损失减少所
致。

    3) 其他收益 664.48 万元,较上年同期增加 154.90%,主要系本期收到的增值税退税增加所致。
    4) 投资收益 4,915.46万元,较上年同期增加 35.28%,主要系期系本期赎回交易性金融资产增加所
    致。

    5) 公允价值变动收益-1,576.12 万元,较上年同期减少-186.58%,主要系期系本期赎回的交易性金
    融资产产生的公允价值变动所致。

    6) 资产减值损失-647.32 万元,较上年同期增加 136.46%,主要系在执行订单增加,导致合同资产
    增加所致。

    7) 资产处置收益 650.92 万元,较上年同期增加 100%,主要系本期子公司处置部分房产所致。

        (二) 资产负债情况

                                                                          单位:人民币元

            项  目              2023年 12月 31 日    2022年 12月 31 日    同比增减

        货币资金                  935,162,604.96      1,039,768,450.38      -10.06%

        交易性金融资产            1,151,863,379.67      981,097,311.79        17.41%

        应收账款                    4,601,244.11          3,115,203.34        47.70%

        应收款项融资              136,295,600.73        64,347,094.33        111.81%

        预付款项                  130,976,428.95        120,996,764.06        8.25%

        其他应收款                  2,330,664.60          1,109,939.29        109.98%

        存货                      181,340,116.80        183,785,399.57        -1.33%

        合同资产                  121,632,435.43        87,883,410.63        38.40%

        其他流动资产                13,625,899.27        8,255,110.84        65.06%

        长期股权投资              127,294,657.75        120,661,103.54        5.50%

        其他权益工具投资          219,600,000.00        222,600,000.00        -1.35%

        投资性房地产              107,747,316.89        127,425,590.11      -15.44%


    固定资产                  165,128,959.89        165,649,902.28        -0.31%

    在建工程                  253,639,811.76        214,275,398.48        18.37%

    无形资产                    68,823,672.49        75,214,072.03        -8.50%

    商誉                      253,185,480.73        226,863,622.33        11.60%

    长期待摊费用                107,982.56          247,450.64        -56.36%

    递延所得税资产              14,877,010.30        8,164,112.39        82.22%

    其他非流动资产              24,747,370.11        22,867,209.72        8.22%

    交易性金融负债              1,814,184.23            0.00            100%

    应付票据                    73,869,731.84        65,706,782.68        12.42%

    应付账款                  182,039,484.19        195,302,739.75        -6.79%

    预收款项                    1,277,957.72          1,526,599.14        -16.29%

    合同负债                  751,650,837.69        717,461,990.13        4.77%

    应付职工薪酬                28,785,318.88        23,396,430.01        23.03%

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