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首页 公告 雪浪环境:公司2023年度财务决算报告

雪浪环境:公司2023年度财务决算报告

公告日期:2024-04-25

雪浪环境:公司2023年度财务决算报告 PDF查看PDF原文

              无锡雪浪环境科技股份有限公司

                  2023 年度财务决算报告

        报告期内,无锡雪浪环境科技股份有限公司(以下简称“公司”),全年实

    现营业收入 1,265,042,684.41 元,较去年同期下降 29.72%;实现利润总额-

    53,957,749.96 元,同比上升 51.58%;实现归属于公司股东的净利润-

    46,778,733.66 元,同比上升 59.88%。

        公司 2023 年 12 月 31 日的合并及母公司资产负债表、2023 年度的合并及母

    公司利润表、现金流量表、股东权益变动表以及财务报表附注已经中兴华会计师

    事务所(特殊普通合伙)审计并出具了标准无保留意见的审计报告。现对公司

    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的基本情况

    简述如下:

      一、 财务状况

        1、资产状况

                                                          单位:人民币元

                              报告期末                            报告期初

      项目

                        金额        占总资产的比重        金额        占总资产的比重

货币资金            267,960,501.04          8.20%    268,796,537.91          8.44%

交易性金融资产        77,041,762.85          2.36%      68,000,000.00          2.13%

应收票据              70,694,616.94          2.16%      82,978,700.92          2.60%

应收账款            995,590,944.20          30.45%    829,100,600.75          26.03%

应收款项融资          31,725,134.43          0.97%      34,253,764.48          1.08%

预付款项              62,925,203.57          1.92%      60,747,617.48          1.91%

其他应收款            24,264,871.35          0.74%      17,430,546.63          0.55%

存货                370,972,158.54          11.35%    413,073,790.13          12.97%

合同资产            182,467,071.96          5.58%    212,614,709.10          6.67%

其他流动资产          11,602,803.08          0.35%      6,243,322.60          0.20%

流动资产合计      2,095,245,067.96          64.09%  1,993,239,590.00          62.57%

固定资产            545,154,967.99          16.68%    598,410,487.50          18.79%


在建工程              25,865,826.89          0.79%      8,442,755.14          0.27%

无形资产            129,330,499.31          3.96%    134,771,504.79          4.23%

其他权益工具投资      9,173,402.00          0.28%      9,173,402.00            0.29%

长期股权投资            130,881.84          0.00%                  0            0.00%

商誉                382,703,786.49          11.71%    382,703,786.49          12.01%

长期待摊费用          13,725,960.03          0.42%      14,838,584.23          0.47%

递延所得税资产        63,202,736.27          1.93%      43,870,796.63          1.38%

其他非流动资产        4,575,506.98          0.14%                  0            0.00%

非流动资产合计    1,173,863,567.80          35.91%  1,192,211,316.78          37.43%

    资产总计      3,269,108,635.76        100.00%  3,185,450,906.78        100.00%

        总体变动:2023 年末资产总额为 3,269,108,635.76 元,同比上升 2.63%。

    其中流动资产为 2,095,245,067.96 元,同比上升 5.12%;非流动资产为

    1,173,863,567.80 元,同比下降 1.54%。主要增减变动的原因如下:

  报表项目      期末余额    期初余额  本期增减变动  变动幅度        变动原因

                                                            (%)

其他应收款        24,264,871.35  17,430,546.63    6,834,324.72      39.21  主要原因系本期投标
                                                                    保证金增加

其他流动资产      11,602,803.08  6,243,322.60    5,359,480.48      85.84  主要原因系应交税费
                                                                    重分类调整

                                                                    主要原因系本期子公
在建工程          25,865,826.89  8,442,755.14  17,423,071.75    206.37  司资源化利用项目新
                                                                    增投入

长期股权投资        130,881.84            0    130,881.84    净增加  主要原因系本期增加
                                                                    投资

递延所得税资产    63,202,736.27  43,870,796.63  19,331,939.64      44.07  主要原因系本期可抵
                                                                    扣暂时性差异增加

其他非流动资产    4,575,506.98            0    4,575,506.98    净增加  主要原因系本期资产
                                                                    重分类调整

        2、负债状况

                                                          单位:人民币元


                              报告期末                            报告期初

      项目

                        金额        占总负债的比重        金额          占总负债的比重

 短期借款            288,225,891.64          11.60%    222,278,700.00              9.46%

 应付票据            123,103,803.32            4.95%    176,720,593.65              7.52%

 应付账款            770,764,992.99          31.01%    649,608,724.43            27.66%

 合同负债            221,262,940.39            8.90%    106,088,735.75              4.52%

 应付职工薪酬        33,315,258.53            1.34%      33,953,409.71              1.45%

 应交税费            32,101,993.55            1.29%      13,880,345.58              0.59%

 其他应付款          20,921,992.87            0.84%      46,701,033.84              1.99%

 一年内到期的非      353,104,448.31          14.21%    214,660,000.00              9.14%
 流动负债

 其他流动负债        67,889,293.36            2.73%      84,643,667.38              3.60%

 流动负债合计      1,910,690,614.96          76.87%  1,548,535,210.34            65.93%

 长期借款            527,568,294.00          21.23%    544,678,120.00            23.19%

 预计负债            37,605,468.66            1.51%      38,801,416.44              1.65%

 递延收益              9,495,
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