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海融科技:2021年度财务决算报告

公告日期:2022-04-22

海融科技:2021年度财务决算报告 PDF查看PDF原文

                  2021 年度财务决算报告

  上海海融食品科技股份有限公司(以下简称“公司”)2021 年度财务报表已经众华会计师事务所(特殊普通合伙)审计,并出具标准无保留意见的审计报告。结合公司实际运营中的具体情况,现将 2021 年度财务决算报告汇总如下:

  报告期内,公司实现营业收入 746,934,444.44 元,较去年同期增加 30.66%;
实现归属于母公司所有者的净利润 112,435,917.87 元,较去年同期增加 29.49%;实现基本每股收益 1.2493 元,同比增长 9.71%。
一、2021 年度公司主要会计数据和财务指标

                                                            单位:元

              项目                  2021 年度      2020 年度    本年比上年增
                                                                      减

营业收入                                  746,934,444.44    571,653,494.39      30.66%

归属于母公司所有者的净利润                112,435,917.87    86,828,247.08      29.49%

归属于上市公司股东的扣除非经常性损益的

                                          85,235,117.06    82,604,701.01        3.18%

净利润(元)

经营活动产生的现金流量净额                57,060,292.66    79,145,476.84      -27.90%

基本每股收益(元/股)                        1.2493            1.1387          9.71%

稀释每股收益(元/股)                        1.2493            1.1387          9.71%

加权平均净资产收益率                          8.27%            22.14%          -13.87%

资产总额                                1,599,203,161.21  1,489,233,634.53      7.38%

归属于母公司所有者权益                  1,396,429,252.22  1,321,218,306.19      5.69%

二、2021 年度资产及负债状况分析

                                                            单位:元

  项目        2021/12/31          2020/12/31        本年比  变动 30%以上

                          占总                  占总  上年增  原因分析

                金额      资产      金额      资产    减

                          比例                  比例

                                                                          主要系公司执行了
 货币资金    342,412,484.04  21.41%  1,229,094,577.11  82.53%  -72.14%  现金管理计划,购
                                                                          买理财产品所致。

                                                                          主要系公司执行了
交易性金融资

              900,598,888.89  56.32%        期初无余额                    现金管理计划,购
    产

                                                                          买理财产品所致。

                                                                          主要系随销售收入
 应收账款    34,397,009.43  2.15%    25,040,258.94  1.68%  37.37%  增加,应收客户货
                                                                          款增加所致。

                                                                          主要系报告期内公
                                                                          司采购量增加,期
 预付款项      7,566,857.66  0.47%      5,336,082.39  0.36%  41.81%

                                                                          末预付供应商货款
                                                                          增加所致。

 其他应收款      760,997.91  0.05%        638,973.79  0.04%  19.10%

                                                                          主要系公司为生产
  存货      137,588,763.16  8.60%    64,513,798.05  4.33%  113.27%

                                                                          经营备货所致;

                                                                          主要系报告期内公
其他流动资产      913,977.39  0.06%      1,512,662.51  0.10%  -39.58%  司预缴税款减少所
                                                                          致。

 固定资产    117,218,446.31  7.33%    99,692,455.30  6.69%  17.58%

                                                                          主要系报告期间在
                                                                          建工程达到预定可
 在建工程    12,449,640.34  0.78%    31,082,548.67  2.09%  -59.95%

                                                                          使用状态转入固定
                                                                          资产所致。

                                                                          主要系报告期间公
 使用权资产    1,114,531.74  0.07%        期初无余额                    司执行新租赁准
                                                                          则,确认相关租赁

                                                                            资产和负债所致。

  无形资产    25,145,258.21  1.57%    25,323,056.61  1.70%  -0.70%

递延所得税资

                5,563,207.98  0.35%      4,717,885.95  0.32%  17.92%

    产

                                                                            主要系报告期内系
其他非流动资

              13,473,098.15  0.84%      2,281,335.21  0.15%  490.58%  公司预付长期设备
    产

                                                                            款增加所致。

短期借款      17,287,857.28  1.08%    15,000,000.00  1.01%  15.25%

应付账款      61,721,974.21  3.86%    48,820,277.05  3.28%  26.43%

合同负债      44,458,927.38  2.78%    42,136,515.99  2.83%    5.51%

                                                                            主要系公司人员增
应付职工薪酬  37,151,883.51  2.32%    19,766,346.74  1.33%  87.96%  加及人员薪酬增长
                                                                            所致。

 应交税费      23,837,055.24  1.49%    21,822,125.87  1.47%    9.23%

其他应付款      7,496,161.26  0.47%      9,070,686.49  0.61%  -17.36%

                             
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