联系客服

300601 深市 康泰生物


首页 公告 康泰生物:2023年度财务决算报告

康泰生物:2023年度财务决算报告

公告日期:2024-04-27

康泰生物:2023年度财务决算报告 PDF查看PDF原文

                  深圳康泰生物制品股份有限公司

                    2023 年度财务决算报告

    一、2023 年度财务报表审计情况

        深圳康泰生物制品股份有限公司(以下简称“公司”)2023 年度财务报表

    已经信永中和会计师事务所(特殊普通合伙)审计,并由其出具了标准无保留意

    见的审计报告。会计师认为: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,公允反映了公司2023年12月31日合并及母公司的财务状况以及2023

    年度合并及母公司的经营成果和现金流量。

    二、财务状况、经营成果和现金流量情况分析

        (一)资产情况

                                                            单位:人民币元

    项目              期末数              期初数              增减额          同比增减

  货币资金      1,195,582,446.07  1,017,621,857.91      177,960,588.16      17.49%

交易性金融资产      100,015,000.00    440,827,804.39    -340,812,804.39    -77.31%

  应收账款      2,787,608,436.63  2,293,300,975.88      494,307,460.75      21.55%

 应收款项融资          190,406.60                              190,406.60          -

  预付款项          44,728,774.89    110,038,728.66      -65,309,953.77    -59.35%

  其他应收款          8,903,695.17      11,381,730.02      -2,478,034.85    -21.77%

    存货          772,853,528.55    727,799,494.89      45,054,033.66      6.19%

 其他流动资产      486,121,566.16    573,879,538.94      -87,757,972.78    -15.29%

 流动资产合计    5,396,003,854.07  5,174,850,130.69      221,153,723.38      4.27%

 投资性房地产      423,773,120.66          49,206.78      423,723,913.88          -

  固定资产      3,434,532,667.74  1,712,969,610.71    1,721,563,057.03    100.50%

  在建工程      2,281,452,384.28  3,463,155,578.17  -1,181,703,193.89    -34.12%

  无形资产        433,454,510.63    357,978,813.58      75,475,697.05      21.08%

  开发支出          70,783,976.01    117,184,069.30      -46,400,093.29    -39.60%

 长期待摊费用      101,681,117.15      78,761,560.59      22,919,556.56      29.10%

递延所得税资产      630,317,234.27    708,319,053.95      -78,001,819.68    -11.01%

其他非流动资产    2,313,359,670.46  2,173,083,647.38      140,276,023.08      6.46%

非流动资产合计    9,689,354,681.20  8,611,501,540.46    1,077,853,140.74      12.52%

  资产总计      15,085,358,535.27  13,786,351,671.15    1,299,006,864.12      9.42%

        交易性金融资产期末较期初下降 77.31%,主要是上年度购买银行理财产品

    于本报告期到期赎回所致;

        应收款项融资期末较期初增长,主要是本报告期收到拟背书转让的银承汇票

    结算款项所致;

        预付账款期末较期初下降 59.35%,主要是本报告期供应商交货验收结算所

    致;

        投资性房地产期末较期初增长,主要是本报告期康泰生物产业研发总部基地

    A 座及裙楼完工结转所致;

        固定资产期末较期初增长 100.50%,主要是本报告期在建工程结转固定资产

    所致;

        在建工程期末较期初下降 34.12%,主要是本报告期在建工程结转固定资产

    所致;

        开发支出期末较期初下降 39.60%,主要是本报告期研发项目冻干人用狂犬

    病疫苗(人二倍体细胞)结转无形资产所致。

        (二)负债情况

                                                            单位:人民币元

      项目              期末数              期初数              增减额        同比增减

    短期借款          60,043,333.33    170,070,833.33    -110,027,500.00    -64.70%

    应付票据          91,304,408.90    114,462,580.00    -23,158,171.10    -20.23%

    应付账款          791,177,104.83    319,669,845.24    471,507,259.59    147.50%

    预收款项              409,253.54                            409,253.54          -

    合同负债          28,346,331.06      31,226,783.93      -2,880,452.87    -9.22%

  应付职工薪酬        75,347,944.75      72,158,192.13      3,189,752.62      4.42%

    应交税费          25,863,671.33    173,371,022.47    -147,507,351.14    -85.08%

  其他应付款      1,645,656,417.71  1,354,303,519.53    291,352,898.18    21.51%

一年内到期的非流动      32,320,381.18    103,612,420.73    -71,292,039.55    -68.81%
      负债

  其他流动负债            881,978.44        936,803.51        -54,825.07    -5.85%

  流动负债合计      2,751,350,825.07  2,339,812,000.87    411,538,824.20    17.59%

    长期借款          671,257,104.17    404,711,635.34    266,545,468.83    65.86%

    应付债券        1,700,958,657.86  1,610,968,442.80      89,990,215.06      5.59%

    预计负债          64,514,023.30      36,334,172.95      28,179,850.35    77.56%

    项目              期末数              期初数              增减额        同比增减

  递延收益          328,701,828.59    383,103,199.16    -54,401,370.57    -14.20%

递延所得税负债        26,890,790.16      26,084,051.15        806,739.01      3.09%

非流动负债合计    2,792,322,404.08  2,461,201,501.40    331,120,902.68    13.45%

  负债合计        5,543,673,229.15  4,801,013,502.27    742,659,726.88    15.47%

      短期借款期末较期初下降64.70%,主要是本报告期偿还期初短期借款所致;

      应付账款期末较期初增长 147.50%,主要是本报告期应付工程款增加所致;

      预收账款期末较期初增长,主要是本报告期预收客户款项所致;

      应交税费期末较期初下降 85.08%,主要是本报告期期权行权产生的应交个

  人所得税款减少所致;

      一年内到期的非流动负债期末较期初下降 68.81%,主要是本报告期偿还一

  年内到期的长期借款所致;

      长期借款期末较期初增长 65.86%,主要是本报告期新增借款所致;

      预计负债期末较期初增长 77.56%,主要是本报告期预计应付退货款增加所

  致。

      (三)股东权益情况

                                                          单位:人民币元

    项目              期末数              期初数              增减额          同比

                                                                                增减

    股本          1,116,916,552.00  1,120,493,735.00      -3,577,183.00    -0.32%

 其他权益工具        511,102,247.80    511,140,160.43        -37,912.63    -0.01%

  资本公积        5,369,419,383.54  5,489,713,970.03    -120,294,586.49    -2.19%

  减:库存股                            19,997,159.64    -19,997,159.64  -100.00%

  盈余公积          327,558,677.67    242,899,806.
[点击查看PDF原文]