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首页 公告 维康药业:2023年度财务决算报告

维康药业:2023年度财务决算报告

公告日期:2024-04-29

维康药业:2023年度财务决算报告 PDF查看PDF原文

                        浙江维康药业股份有限公司

                          2023 年度财务决算报告

          一、2023年度财务报表审计情况

          2023年度财务报表经天健会计师事务所(特殊普通合伙)审计,出具了保留

      意见的审计报告(天健审〔2024〕4632号),天健会计师事务所认为,除“形成

      保留意见的基础”部分所述事项可能产生的影响外,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,公允反映了维康药业公司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。

          二、经营利润情况

                                                                        单位:人民币元

          项 目              2023年度      2022年度    增减幅        大额变动原因说明

                                                            度

        营业总收入          519,621,071.15  531,291,689.13    -2.20%

        营业成本            257,763,389.96  220,097,404.87    17.11%

        税金及附加            2,813,582.74    1,852,820.57    51.85%  主要系本期增值税增加所致

        销售费用            208,186,400.97  191,642,999.29    8.63%

        管理费用            40,941,584.86    37,355,321.68    9.60%

        研发费用            42,798,186.43    39,320,428.40    8.84%

        财务费用            7,562,064.96    3,325,483.22    127.40%  主要系本期银行借款增加所致

        其他收益            10,279,773.63    19,805,355.25    -48.10%  主要系本期收到政府补助及递延
                                                                        收益摊销减少所致

        投资收益            13,867,915.07    10,047,818.03    38.02%  主要系本期收到资金利息所致

    公允价值变动收益        2,340,078.53                    100.00%  主要收到可转让大额存单利息所
                                                                        致

      信用减值损失          11,461,123.46    -7,242,071.56    258.26%  主要系本期子公司收回款项冲回
                                                                        坏账准备所致

      资产减值损失            -736,974.52      -221,444.13    -232.80%  主要系本期存货计提跌价准备所
                                                                        致


      资产处置收益            -5,821.95      -634,517.94    99.08%

        营业利润            -1,013,493.69    59,452,370.75  -101.70%

        营业外收入            518,785.49      412,292.22    25.83%

        营业外支出            5,291,187.60    2,113,710.62    150.33%  主要系本期缴纳滞纳金所致

        利润总额              -5,785,895.80  57,750,952.35  -110.02%

        所得税费用                398,592.69  12,630,576.03    -96.84%  主要系本期利润亏损所致

          净利润              -6,184,488.49    45,120,376.32  -113.71%

 归属于母公司股东的净利润    -8,038,557.83    44,444,260.14  -118.09%

      少数股东损益            1,854,069.34      676,116.18    174.22%

        每股收益                -0.06            0.31      -117.91%

          三、资产负债情况

                                                                        单位:人民币元

    项 目          2023年12月31日      2022年12月31日    增减幅度        大额变动原因说明

    货币资金              330,162,451.72        162,740,657.58    102.88%    主要系期末收到资金归还所致

    应收账款              212,130,988.57        275,185,566.29    -22.91%

  应收款项融资            52,836,688.91        62,262,632.21    -15.14%

                                                                            主要系支付研发单位的预付
    预付款项                4,799,157.41        31,494,504.58    -84.76%    款,根据进度转入研发费用所
                                                                            致

  其他应收款              11,554,269.55        226,923,733.62    -94.91%    主要系本期收回融资性贸易应
                                                                            收款所致

      存货                153,784,689.70        116,110,625.18    32.45%    主要系子公司备货增加所致

  其他流动资产            23,927,015.34        24,598,316.03    -2.73%

  流动资产合计          1,034,759,890.59        899,316,035.49    15.06%

 其他非流动金融资          25,000,000.00        25,000,000.00    0.00%

      产


  投资性房地产              5,431,760.06          5,571,255.86    -2.50%

    固定资产              529,833,584.44        540,246,937.27    -1.93%

    在建工程              301,907,569.27        323,091,620.70    -6.56%

  使用权资产              27,516,261.13        32,185,911.36    -14.51%

    无形资产              35,667,116.93        37,561,885.61    -5.04%

      商誉                27,083,681.10        27,222,129.15    -0.51%

  长期待摊费用              5,074,278.41          6,106,521.29    -16.90%

 递延所得税资产            27,069,590.53        16,521,330.69    63.85%

 其他非流动资产            25,740,383.28            949,500.00  2610.94%  主要本期工程预付款转入所致

 非流动资产合计        1,011,876,640.29      1,014,457,091.93    -0.25%

    资产总计            2,046,636,530.88      1,913,773,127.42    6.94%

    短期借款              261,903,936.11        257,247,305.55    1.81%

    应付票据              17,809,444.85        11,020,476.53    61.60%    主要系子公司办理银行承兑
                                                                            汇票支付货款增加所致

    应付账款              83,306,587.04        84,731,407.70    -1.68%

    预收款项                317,484.96            109,737.12    189.31%

    合同负债              14,377,541.09        15,678,480.29    -8.30%

  应付职工薪酬            12,410,830.14        10,119,897.45    22.64%

    应交税费                5,437,966.56          4,245,064.20    28.10%

  其他应付款              23,594,456.29        16,053,036.28    46.98%    主要系本期公司销售费用暂估
            
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