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首页 公告 优德精密:2022年年度财务报告

优德精密:2022年年度财务报告

公告日期:2023-04-28

优德精密:2022年年度财务报告 PDF查看PDF原文

              优德精密工业(昆山)股份有限公司

                    2022 年度财务决算报告

    优德精密工业(昆山)股份有限公司(以下简称“公司”)2022 年财务报表已经大华会计师
事务所(特殊普通合伙)审计,《审计报告》(大华审字[2023]000685 号),会计师的审计意见:公司财务报表在所有重大方面按照企业会计准则的规定编制,公允反映了优德精密公司 2022
年 12 月 31 日合并及母公司的财务状况以及 2022 年度的合并及母公司经营成果和现金流量。
    一、总体经营情况

  2022年,公司实现营业收入39,670.73万元,比上年同期增长1.7%;实现营业利润3,037.99万元,比上年同期下降 30.51%;实现利润总额 3,082.36 万元,比上年同期下降 29.21%;实现归属于母公司普通股股东净利润 2,848.63 万元,比上年同期下降 25.87%。

    1、2022 年度主要财务数据

                                                                        单位:元

            项 目                2022 年度          2021 年度        增减变动(+/-)

          营业收入              396,707,346.51    390,087,796.42        1.70%

          营业成本              281,147,365.13    270,411,023.21        3.97%

          营业利润              30,379,872.05      43,715,979.13      -30.51%

          利润总额              30,823,627.96      43,543,770.68      -29.21%

 归属于母公司普通股股东净利润    28,486,285.44      38,425,757.43      -25.87%

 扣除非经常性损益后的归属于母    22,518,470.66      31,329,316.40      -28.12%

    公司普通股股东净利润

    2、主要财务指标

                                                                        单位:元

              项目                    2022 年          2021 年        增减变动(+/-)

            资产负债率                  26.26%          28.12%            -1.86%

            流动比率                    2.69            2.51            7.17%

            速动比率                    2.27            2.07            9.66%

          应收账款周转率                2.35            2.43            -3.29%

            存货周转率                  3.05            3.00            1.67%


  每股经营活动的现金流量            0.59            0.20              195%

归属于上市公司股东的每股净资产        4.11            4.10            0.24%

归属于公司普通股股东的每股收益        0.21            0.29            -27.59%

 二、财务状况、经营成果及现金流量
 (一)资产变化情况

                                                                      单位:元

      项  目                期末余额              期初余额        增减变动(+/-)

      货币资金                  79,400,032.65          92,154,221.36    -13.84%

  交易性金融资产              109,693,972.60        104,379,322.82      5.09%

      应收票据                  3,250,393.85          1,812,069.51      79.37%

      应收账款                169,077,523.14        161,632,760.41      4.61%

    应收款项融资                67,817,601.59          65,358,836.75      3.76%

      预付款项                  2,441,422.68          1,051,683.43    132.14%

    其他应收款                    807,816.12            934,615.04    -13.57%

        存货                    79,428,028.41          91,655,735.14    -13.34%

    其他流动资产                          -            789,708.55        -

    流动资产合计              511,916,791.04        519,768,953.01      -1.51%

    投资性房地产                9,930,208.61          10,735,735.61      -7.50%

      固定资产                187,071,474.75        196,943,178.85      -5.01%

      在建工程                            -            193,489.95        -

    使用权资产                  5,401,286.06          7,953,206.14    -32.09%

      无形资产                  24,865,508.50          26,318,997.46      -5.52%

    长期待摊费用                  336,692.09            505,038.17    -33.33%

  递延所得税资产                2,002,252.07          1,938,834.51      3.27%

  其他非流动资产                1,542,600.00            894,882.43      72.38%

  非流动资产合计              231,150,022.08        245,483,363.12      -5.84%

      资产总计                743,066,813.12        765,252,316.13      -2.90%

 相关数据增减变动 30%以上原因说明:


    1.报告期内, 应收票据期末余额较期初余额增加 143.83 万元,增长 79.37%,主要原因系
本公司以商业承兑汇票结算方式的回款规模增加所致。

    2.报告期内, 预付款项期末余额较期初余额增加 138.97 万元,增长 132.14%,主要原因
系本公司预付自境外采购的存货尚未到货所致。

    3.报告期内,使用权资产期末余额较期初余额减少 255.19 万元,减少 32.09%,主要原因
系本公司使用权资产计提折旧所致。

    4.报告期内, 长期待摊费用期末余额较期初余额减少 16.83 万元,减少 33.33%,主要原
因系本公司费用分摊所致。

    5. 报告期内, 其他非流动资产期末余额较期初余额增加 64.77 万元,增长 72.38%,主要
原因系支付的设备款尚未到货所致。
 (二)负债变化情况

                                                                        单位:元

          项 目                  期末余额              期初余额        增减变动(+/-)

          短期借款                  57,487,420.82        93,921,648.90    -38.79%

          应付票据                  50,854,983.47        29,954,589.35    69.77%

          应付账款                  45,754,967.02        50,969,872.66    -10.23%

          预收款项                      18,000.00            126,000.00    -85.71%

          合同负债                    6,919,781.43          4,915,186.15    40.78%

        应付职工薪酬                15,373,494.81        18,556,514.65    -17.15%

          应交税费                  10,060,307.03          4,526,671.34    122.25%

        其他应付款                    153,165.38            880,258.58    -82.60%

  一年内到期的非流动负债            2,795,811.22          2,485,499.49    12.48%

        其他流动负债                    899,571.58            892,722.83    0.77%

        流动负债合计                190,317,502.76        207,228,963.95    -8.16%

          租赁负债                    3,052,946.88          5,623,993.32    -45.72%

          递延收益                    1,583,483.01          2,061,309.9
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