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首页 公告 天宇股份:浙江天宇药业股份有限公司2023年度财务决算报告

天宇股份:浙江天宇药业股份有限公司2023年度财务决算报告

公告日期:2024-04-26

天宇股份:浙江天宇药业股份有限公司2023年度财务决算报告 PDF查看PDF原文

            浙江天宇药业股份有限公司

                2023 年度财务决算报告

  根据《公司章程》的规定,现将公司 2023 年财务决算情况报告如下:

  一、会计报表审计情况

  报告期内,浙江天宇药业股份有限公司(以下简称“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
日的合并及母公司财务状况及 2023 年度的合并及母公司经营成果和现金流量。公司编制的 2023 年度财务报表经天健会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告(天健审〔2024〕3764 号)。

  二、2023 年公司主要财务状况:

    1、年末资产负债及所有者权益情况

                                                              单位:人民币万元

        项目        2023 年 12 月  2022 年 12  同比增减          原因

                        31 日        月 31 日

 资产总额            633,812.38  641,574.98    -1.21%  无重大变动

 流动资产            295,129.95  301,767.49    -2.20%  无重大变动

 固定资产            245,650.87  234,041.20    4.96%  无重大变动

 长期待摊费用            671.06      341.51    96.50%  主要系装修费增加

 递延所得税资产          825.39    1,586.37  -47.97%  主要系内部未实现损益
                                                          金额减少

    2、年度损益情况

                                                              单位:人民币万元

        项目            2023 年      2022 年    同比增          原因

                                                    减

 营业收入              252,727.01  266,667.85  -5.23%  无重大变动

                                                          主要系公司降本增效以
 营业成本              153,722.17  197,913.66  -22.33%  及存货跌价转销导致营
                                                          业成本下降

 税金及附加              3,316.87    1,798.81  84.39%  主要系城建附加税及土
                                                          地税用税增加


      项目            2023 年      2022 年    同比增          原因

                                                  减

销售费用                9,778.63    4,742.63  106.19%  主要系制剂业务销售费
                                                        用增加

管理费用                33,012.93    37,919.84  -12.94%  主要系股权激励费用、
                                                        维修环保费同比减少

研发费用                24,382.25    23,110.36    5.50%  无重大变动

                                                        主要系汇率波动导致汇
财务费用                3,634.17    -1,001.37  462.92%  兑收益减少及利息支出
                                                        增加

  3、现金流量情况

                                                            单位:人民币万元

      项目            2023 年      2022 年    同比增减          原因

                                                        主要系销售回款减少,
经营活动现金流入      238,583.54  275,365.64  -13.36%  及本期收到的增值税留
                                                        底退税减少所致

经营活动现金流出      242,974.03  280,235.61  -13.30%  主要系本期采购货物减
                                                        少、工资支出下降

经营活动产生的现金    -4,390.49  -4,869.98    9.85%

流量净额

投资活动现金流入        1,639.67    5,844.90  -71.95%  主要系本期赎回银行理
                                                        财减少

投资活动现金流出        37,175.07  57,926.72  -35.82%  主要系工程项目建设投
                                                        入减少

投资活动产生的现金  -35,535.41  -52,081.82    31.77%

流量净额

筹资活动现金流入      218,401.82  140,944.01    54.96%  主要系本期新增银行借
                                                        款较多

筹资活动现金流出      182,066.32  89,009.93  104.55%  主要系本期偿还银行借
                                                        款增加

筹资活动产生的现金    36,335.50  51,934.08  -30.04%

流量净额

现金及现金等价物净    -3,779.45  -3,724.52    -1.47%  无重大变动

增加额

      4、主要财务指标

                                                              单位:人民币元

                    项目                      2023 年    2022 年    同比增减

基本每股收益(人民币元)                          0.08      -0.34        0.42

扣除非经常性损益后归属于公司普通股股东的基        0.18      -0.24        0.42
本每股收益(人民币元)

加权平均净资产收益率                              0.78%      -3.29%      4.07%

扣除非经常损益加权平均净资产收益率                1.81%      -2.30%      4.11%

    5、资产分析

                                                            单位:人民币万元

        项目          2023 年 12 月  2022 年 12 月  增减比例  占资产总额比例
                            31 日          31 日

资产总额                    633,812.38    641,574.98      -1.21%          100.00%

    其中:货币资金            42,615.29      47,698.15    -10.66%            6.72%

应收账款                      49,247.08      36,663.61      34.32%            7.77%

预付账款                      1,938.12      2,870.97    -32.49%            0.31%

其他应收款                      501.40        640.42    -21.71%            0.08%

其他流动资产                  2,799.70      3,324.27    -15.78%            0.44%

存货                        188,968.05    201,718.32      -6.32%          29.81%

固定资产                    245,650.87    234,041.20      4.96%          38.76%

在建工程                      29,859.12      43,907.25    -32.00%            4.71%

无形资产                      37,480.25      36,682.26      2.18%            5.91%

长期待摊费用                    671.06        341.51      96.50%            0.11%

递延所得税资产                  825.39        1586.37    -47.97%            0.13%

其他非流动资产                4,338.04      5,727.32    -24.26%            0.68%

    6、负债分析

                                                            单位:人民币万元

        项目          2023 年 12 月  2022 年 12 月  增减比例  占负债总额比例
               
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