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首页 公告 伊之密:2023年年度财务报告

伊之密:2023年年度财务报告

公告日期:2024-04-19

伊之密:2023年年度财务报告 PDF查看PDF原文

                伊之密股份有限公司

              2023 年度财务决算报告

    伊之密股份有限公司(以下简称“公司”或“伊之密”)2023 年度的财务报表已经天健
会计师事务所(特殊普通合伙)审计,出具了标准无保留意见的审计报告。会计师审计意见是:我们认为,后附的财务报表在所有重大方面按照企业会计准则的规定编制,公允反映了
公司 2023 年 12 月 31 日的合并及母公司财务状况,以及 2023 年度的合并及母公司经营成果
和现金流量。
一、2023 年度公司财务状况、经营成果、现金流量情况分析
(一)公司资产情况分析

                                                                  单位:元

            项目              2023 年 12 月 31 日  2022 年 12 月 31 日  变动比率

 货币资金                          478,517,636.98      563,615,435.54    -15.10%

 应收票据                            36,100,692.38      36,600,763.60      -1.37%

 应收账款                        1,010,859,004.09      721,616,231.08      40.08%

 应收款项融资                      275,596,736.17      135,911,011.68    102.78%

 预付款项                            83,949,871.42      58,524,986.70      43.44%

 其他应收款                          23,102,115.06      14,442,587.37      59.96%

 存货                            1,548,131,377.54    1,353,279,017.26      14.40%

 合同资产                            26,227,155.65      22,699,996.72      15.54%

 一年内到期的非流动资产            319,852,958.93      231,194,781.32      38.35%

 其他流动资产                      126,311,208.77      158,683,454.54    -20.40%

 长期应收款                        132,791,186.28      95,229,186.93      39.44%

 长期股权投资                      440,991,591.62      395,871,482.28      11.40%

 固定资产                        1,126,898,653.61    1,035,519,857.00      8.82%

 在建工程                            64,807,386.33      136,240,037.85    -52.43%

 使用权资产                          18,259,367.44      16,042,266.43      13.82%

 无形资产                          360,968,757.24      363,344,073.05      -0.65%

 长期待摊费用                        66,971,635.75      45,394,092.82      47.53%

 递延所得税资产                      39,798,661.93      39,445,792.86      3.06%

 其他非流动资产                      11,260,691.28      14,143,874.44    -20.38%

资产项目分析如下:

⑴ 应收款项融资 2023 年期末数为 27,559.67 万元,比期初数增加 102.78%,主要系收到的

  承兑汇票增加所致。

⑵ 应收账款 2023 年期末数为 101,085.90 万元,比期初数增加 40.08%,主要系主要系对金
  额较大的优质客户以及新产品客户放宽信用期所致。

⑶ 预付账款 2023 年期末数为 8,394.99 万元,比期初数增加 43.44%,主要系本期材料款预
  付增加所致。

⑷ 其他应收款 2023 年期末数为 2,310.21 万元,比期初数增加 59.96%,主要系押金保证金
  增加所致。

⑸ 一年内到期的非流动资产 2023 年期末数为 31,985.30 万元,比期初数增加 38.35%,主要
  系本期佳全号融资租赁业务增加所致加所致。

⑹ 长期应收款 2023 年期末数为 13,279.12 万元,比期初数增加 39.44%,主要系本期佳全号
  融资租赁业务增加所致。

⑺ 在建工程 2023 年期末数为 6,480.74 万元,比期初数减少 52.43%,主要系本期注压三厂
  压铸车间转固所致。

⑻ 长期待摊费用 2023 年期末数为 6,697.16 万元,比期初数增加 47.53%,主要系本期装修
  支出增加所致。
(二)公司负债情况分析

                                                                  单位:元

            项目              2023 年 12 月 31 日  2022 年 12 月 31 日  变动比率

 短期借款                          123,461,741.67      94,283,727.78      30.95%

 应付票据                          573,966,408.01      440,691,115.18      30.24%

 应付账款                          721,573,716.50      604,621,986.47      19.34%

 合同负债                          511,327,471.44      429,663,627.17      19.01%

 应付职工薪酬                      150,768,045.87      142,986,403.75      5.44%

 应交税费                            38,448,667.33      39,883,913.45      -3.60%

 其他应付款                          78,069,589.44      61,893,292.14      26.14%

 一年内到期的非流动负债            176,018,656.04      60,814,720.28    189.43%

 其他流动负债                        79,408,412.51      163,301,896.14    -51.37%

 长期借款                          950,708,077.39      784,198,981.48      21.23%

 租赁负债                            12,837,884.14      11,943,669.94      7.49%

 预计负债                            68,764,404.05      58,028,166.41      18.50%

 递延收益                            93,454,988.36      108,233,535.97    -13.65%

 递延所得税负债                      9,234,400.82      15,346,373.33    -39.83%

负债项目分析如下:

⑼ 短期借款 2023 年期末数为 12,346.17 万元,比期初数增加 30.95%,主要系本期新增经营
  借款所致。

⑽ 应付票据 2023 年期末数为 57,396.64 万元,比期初数增加 30.24%,主要系本期开出银行
  承兑汇票增加所致。

⑾ 一年内到期的非流动负债 2023 年期末数为 17,601.87 万元,比期初数增加 189.43%,主
  要系本期一年内到期的长期借款增加所致。

⑿ 其他流动负债 2023 年期末数为 7,940.84 万元,比期初数减少 51.37%,主要系本期关联
  方票据贴现减少所致。

⒀ 长期借款 2023 年期末数为 95,070.81 万元,比期初数增加 21.23%,主要系本期新增经营
  借款所致。
(三)公司经营状况分析

                                                                  单位:元

            项目                  2023 年            2022 年        同比增减

 营业收入                        4,095,816,864.87    3,679,894,446.26      11.30%

 营业成本                        2,733,940,277.19    2,534,590,180.49      7.87%

 税金及附加                          32,769,173.46      30,946,406.77      5.89%

 销售费用                          405,266,472.24      371,339,222.63      9.14%

 管理费用                          217,543,513.96      191,031,326.92      13.88%

 研发费用                          212,357,941.56      180,564,654.10      17.61%

 财务费用                            7,957,193.22        8,100,102.87      -1.76%

 其他收益                            88,148,668.29      84,535,450.54      4.27%

 投资收益                            51,212,937.58      39,787,690.37      28.72%

 公允价值变动收益

 信用减值损失(损失以“-”号        -23,953,212.34      -12,342,981.05    -94.06
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