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首页 公告 美瑞新材:2023年度财务决算报告

美瑞新材:2023年度财务决算报告

公告日期:2024-04-23

美瑞新材:2023年度财务决算报告 PDF查看PDF原文

                  美瑞新材料股份有限公司

                  2023 年度财务决算报告

    公司 2023 年度的财务报表已经和信会计师事务所(特殊普通合伙)审计,出具了标准
无保留意见的审计报告。会计师审计意见为: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,公允反映了美瑞新材料股份有限公司 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。
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                  920,494,258.46        556,898,114.13        65.29%

    交易性金融资产                      0.00        123,327,805.61      -100.00%

    应收票据                    95,954,128.30        81,404,236.84        17.87%

    应收账款                    99,028,456.15        43,441,204.62        127.96%

    应收款项融资                71,289,471.12        23,943,995.70        197.73%

    预付款项                    22,548,669.01        12,108,745.92        86.22%

    其他应收款                    730,117.44            410,678.04        77.78%

    存货                      315,358,246.48        257,452,429.20        22.49%

    其他流动资产                85,119,323.56        30,480,828.12        179.26%

    固定资产                  191,242,631.51        168,426,358.54        13.55%

    在建工程                1,200,401,443.55        242,948,306.79        394.10%

    使用权资产                  2,121,790.09          2,237,060.05        -5.15%

    无形资产                  239,022,565.57        243,586,146.09        -1.87%

    递延所得税资产              28,761,918.55          7,168,844.56        301.21%

    其他非流动资产              82,872,706.16        121,243,357.06        -31.65%

    资产总计                3,354,945,725.95      1,915,078,111.27        75.19%

    主要资产项目异常情况及原因说明如下:

    1.货币资金 2023 年 12 月 31 日较 2022 年 12 月 31 日增加 65.29%,主要原因系公司定
向发行股票取得的募集资金和理财赎回收到的现金所致。

    2.交易性金融资产 2023 年 12 月 31 日较 2022 年 12 月 31 日减少 100.00%,主要系理
财产品赎回所致。

    3.在建工程 2023 年 12 月 31 日较 2022 年 12 月 31 日增加 394.10%,主要原因系本期
年产 20 万吨弹性体一体化项目和聚氨酯产业园项目投资支出增加所致。
二、 公 司 负 债 情况分 析

美瑞新材料股份有限公司 | 地址:烟台市开发区长沙大街 35 号 | 电话:+86-535-3979898 | 网址: www.miracll.com

        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                    67,503,103.93      87,261,696.33      -22.64%

      应付票据                    602,911,500.00      357,625,470.00        68.59%

      应付账款                    270,128,508.15      100,839,734.40      167.88%

      合同负债                    8,569,023.50      12,180,078.32      -29.65%

      应付职工薪酬                10,030,000.00        7,830,000.00        28.10%

      应交税费                    18,437,609.07        2,084,636.65      784.45%

      其他应付款                  2,740,307.72        7,112,364.63      -61.47%

      一年内到期的非流动负债      31,378,288.09        4,994,716.74      528.23%

      其他流动负债                88,292,223.07      72,106,423.81        22.45%

      长期借款                    608,825,489.72      42,336,932.14      1338.05%

      租赁负债                    1,428,069.18          998,507.34        43.02%

      递延收益                    131,224,804.53      10,517,238.21      1147.71%

      递延所得税负债              12,680,086.01        9,811,510.00        29.24%

      负债合计                  1,854,149,012.97      715,699,308.57      159.07%

    主要负债项目异常情况及原因说明如下:

    1.应付票据 2023 年 12 月 31 日较 2022 年 12 月 31 日增加 68.59%,主要原因系公司用
于购买商品尚未到期偿付的票据增加所致。

    2.应付账款 2023 年 12 月 31 日较 2022 年 12 月 31 日增加 167.88%,主要原因系公司项
目工程设备采购增加所致。

    3.长期借款 2023 年 12 月 31 日较 2022 年 12 月 31 日增加 1338.05%,主要原因系公司
及子公司在建项目本期贷款金额增加所致。
三、 公 司 经 营 状况分 析

                                                                        单位:元

              项目              2023 年度            2022 年度        变动比率

      营业收入                1,475,144,774.89      1,475,062,751.37        0.01%

      营业成本                1,268,002,597.33      1,274,764,992.39        -0.53%

      税金及附加                  8,334,623.51          7,259,216.96        14.81%

      销售费用                    16,766,078.09        13,801,224.93        21.48%

      管理费用                    37,021,815.37        30,376,603.95        21.88%

      研发费用                    72,824,501.66        70,328,931.68        3.55%

      财务费用                  -14,392,255.20        -9,688,334.36        48.55%

      其他收益                    14,112,423.42        15,696,175.46        -10.09%

      投资收益                      -300,055.02        12,085,338.41      -102.48%

      公允价值变动收益              -327,805.61        -2,096,056.93        -84.36%

      信用减值损失                -3,930,384.77          -110,664.32      3451.63%

      资产减值损失                -6,112,879.95        -1,724,333.48        254.51%

美瑞新材料股份有限公司 | 地址:烟台市开发区长沙大街 35 号 | 电话:+86-535-3979898 | 网址: www.miracll.com

      营业外收入                      82,601.86            44,667.26        84.93%

      营业外支出                    355,535.71            829,084.03        -57.12%

      所得税费用                  1,652,160.68            456,941.72        261.57%

      净利润                      88,103,617.67        110,829,216.47        -20.51%

    主要经营状况变动异常情况及原因说明如下:

    1.财务费用 2023 年度较 2022 年度减少 48.55%,主要原因系公司资金增长变化,利息
收入增加所致。

    2
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