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海融科技:2023年年度财务决算报告

公告日期:2024-04-24

海融科技:2023年年度财务决算报告 PDF查看PDF原文

          2023 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”)2023 年度财务决算报告汇总如下:

  报告期内,公司实现营业收入 954,567,880.97 元,较去年同期增加 9.95%;实现归属
于母公司所有者的净利润 89,511,362.58 元,较去年同期减少 4.07%;实现基本每股收益0.9946 元,同比减少 4.07%。
一、2023 年度公司主要会计数据和财务指标

                                                                                    单位:元

                  项目                        2023 年          2022 年      本年比上年增
                                                                                  减

 营业收入(元)                              954,567,880.97    868,163,477.37          9.95%

 归属于上市公司股东的净利润(元)            89,511,362.58    93,311,771.57          -4.07%

 归属于上市公司股东的扣除非经常性损益的净

 利润(元)                                  72,625,642.73    68,527,453.97          5.98%

 经营活动产生的现金流量净额(元)            120,871,122.70    55,473,202.48        117.89%

 基本每股收益(元/股)                              0.9946          1.0368          -4.07%

 稀释每股收益(元/股)                              0.9946          1.0368          -4.07%

 加权平均净资产收益率                              6.06%          6.56%          -0.50%

 资产总额(元)                            1,771,168,831.63  1,722,197,316.05          2.84%

 归属于上市公司股东的净资产(元)          1,507,110,201.11  1,453,184,900.08          3.71%

二、2023 年度资产及负债状况分析

                                                                                    单位:元

                  2023/12/31              2022/12/31        本年比上  变动 30%以上原因
  项目        金额      占总资      金额      占总资    年增减          分析

                            产比例                  产比例

                                                                          主要系公司购买的
货币资金  570,690,113.96  32.22%  314,876,912.60  18.28%  44.83%    结构性存款到期赎
                                                                              回所致

应收账款    41,964,004.04  2.37%  37,361,089.12    2.17%  10.97%

  存货    154,823,883.96  8.74%  183,359,537.94  10.65%  -18.43%

固定资产  124,865,258.01  7.05%  112,054,077.94    6.51%  10.26%

在建工程                                                                主要系公司二期工
            106,040,082.33  5.99%    8,459,611.70    0.49%  92.02%    程大幅投入所致

使用权资

    产      45,306,160.46  2.56%  49,892,418.87    2.90%  -10.12%

短期借款    9,800,000.00  0.55%  10,000,000.00    0.58%  -2.04%


                                                                          主要系报告期内公
合同负债    44,121,433.22  2.49%  68,690,616.65    3.99%  -55.69%  司预收账款减少所
                                                                                致

租赁负债    45,662,746.47  2.58%  47,912,511.96    2.78%  -4.93%

交易性金                                                                主要系公司购买的
  融资产    511,995,451.90  28.91%  932,450,083.78  54.14%  -82.12%  结构性存款到期赎
                                                                              回所致

其他流动                                                                主要系报告期内公
  资产      8,416,376.43  0.48%    1,909,474.79    0.11%  77.31%    司预缴税款增加所
                                                                                致

                                                                          主要系公司预付展
预付款项    4,726,711.32  0.27%    8,037,260.21    0.47%  -70.04%  会费、电费减少所
                                                                                致

其他应收                                                                主要系报告期内公
    款        2,409,975.95  0.14%    1,650,734.63    0.10%  31.50%    司押金保证金、代
                                                                          收代付款增加所致

长期待摊                                                                主要系子公司粤海
  费用      5,749,946.22  0.32%              -    0.00%  100.00%  融新增工厂装修所
                                                                                致

递延所得                                                                主要系公司计提减
  税资产      4,656,963.13  0.26%    2,983,977.38    0.17%  35.92%    值准备相关递延所
                                                                          得税资产增加所致

                                                                          主要系公司预付二
其他非流                                                                期募投项目设备及
  动资产    164,538,900.67  9.29%  44,005,916.11    2.56%  73.26%    购买银行长期大额
                                                                              存单所致

                                                                          主要系报告期间公
应交税费    13,715,194.13  0.77%    6,172,821.84    0.36%  54.99%    司应交税费增加所
                                                                                致

其他应付                                                                主要系公司未付的
    款      21,974,729.82  1.24%    8,019,467.17    0.47%  63.51%    长期资产采购款增
                                                                              加所致

其他流动                                                                主要系报告期内公
  负债      5,231,182.47  0.30%    7,548,751.93    0.44%  -44.30%  司预收账款减少所
                                                                                致

三、
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