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宁波方正:2023年度财务决算报告

公告日期:2024-04-29

宁波方正:2023年度财务决算报告 PDF查看PDF原文

            宁波方正汽车模具股份有限公司

                2023 年度财务决算报告

  宁波方正汽车模具股份有限公司(以下简称“公司”)2023 年度合并及母公司财务报表已经天职国际会计师事务所(特殊普通合伙)审计,并出具标准无保留意见的审计报告(天职业字[2024]29219 号),现将决算情况报告如下:
一、主要财务数据及财务指标

                                                          单位:万元

        项目              2023 年          2022 年        增减幅度

      营业收入          96,905.02        78,041.39        24.17%

归属于上市公司股东的      -907.42        1,758.24        -151.61%

      净利润

归属于上市公司股东的

 扣除非经常性损益的      -2,041.94        888.79        -329.74%

      净利润

经营活动产生的现金流    -10,467.50        -6,855.47        -52.69%

      量净额

基本每股收益(元/股)    -0.0853          0.1659        -151.42%

稀释每股收益(元/股)    -0.0853          0.1659        -151.42%

加权平均净资产收益率      -0.80%          3.17%          -3.97%

        项目            2023 年末        2023 年初      增减幅度

      资产总额          244,095.38      139,431.05        75.07%

归属于上市公司股东的    132,365.72        55,929.52        136.67%

      净资产

二、资产状况分析

                                                            单位:万元

    项目        年末金额    年初金额    增减比例        说明

货币资金          38,031.12    12,547.83    203.09%  主要系向特定对象发


                                                            行股票募集资金的增
                                                            加所致。

交易性金融资产    45,776.60                              主要系闲置募集资金
                                                            现金管理所致。

应收票据          4,293.85      2,582.76    66.25%  系期末持有的银行承
                                                            兑汇票增加所致。

应收账款          45,735.86    27,296.53    67.55%  主要系营业收入增加
                                                            所致。

                                                            系以公允价值计量且
应收款项融资      4,995.56      340.95  1,365.18%  其变动计入其他综合
                                                            收益的应收票据增加
                                                            所致。

预付款项          1,075.72      801.80    34.16%

其他应收款          825.86      519.81    58.88%  主要系出口退税款增
                                                            加所致。

存货              36,166.28    42,903.11    -15.70%

其他流动资产      1,783.37      1,507.31    18.31%

流动资产合计    178,684.22    88,500.10    101.90%

投资性房地产        403.58      461.50    -12.55%

固定资产          41,271.10    32,695.47    26.23%

在建工程          4,320.83      5,245.10    -17.62%

使用权资产        1,084.90      1,149.41    -5.61%

无形资产          9,047.64      7,545.14    19.91%

                                                            系非同一控制下合并
商誉              1,337.61                100.00%  福建佳鑫金属科技有
                                                            限公司所致。

长期待摊费用      1,872.98      1,340.40    39.73%  主要系装修费增加所
                                                            致。

                                                            主要系资产减值准

递延所得税资产    1,621.45      1,044.58    55.23%  备、预计负债、可抵
                                                            扣亏损增加所致。

其他非流动资产    4,451.07      1,449.34    207.11%  系预付的工程及设备
                                                            款增加所致。

非流动资产合计    65,411.16    50,930.95    28.43%

资产合计        244,095.38    139,431.05    75.07%

三、负债状况分析

                                                            单位:万元

    项目      年末金额  年初金额  增减比例        说明

短期借款        20,374.07    18,360.64    10.97%

应付票据          9,234.39      9,264.11    -0.32%


应付账款        22,698.89    25,403.23  -10.65%

合同负债          6,941.80    6,645.87    4.45%

应付职工薪酬      1,646.94    1,270.51    29.63%

应交税费          753.12      486.54    54.79%  主要系企业所得税增加

                                                        所致。

其他应付款        1,498.87      311.82  380.68%  主要系往来款增加所致。

一年内到期的非    7,881.90    2,133.32  269.47%  主要系 1 年内到期的长

流动负债                                                期借款增加所致。

其他流动负债      3,343.91    1,748.81    91.21%  主要系已背书未终止确

                                                        认的应收票据增加所致。

流动负债合计    74,373.90    65,624.86    13.33%

                                                        主要系为收购福建佳鑫

长期借款        13,193.87    9,469.60    39.33%  金属科技有限公司新增

                                                        借款所致。

租赁负债          539.02      629.37  -14.36%

                                                        系预计销售返利增加、计

预计负债          3,122.09    2,075.14    50.45%  提产品质量保证金增加

                                                        所致。

递延收益          1,805.07    2,228.55  -19.00%

                                                        主要系非同一控制下企

递延所得税负债    1,261.51      920.64    37.03%  业合并资产评估增值所

                                                        致。

非流动负债合计  19,921.57    15,323.31    30.01%

负债合计        94,295.47    80,948.17    16.49%

三、经营成果分析

                                                            单位:万元

      项目        本期发生额  上期发生额  增减比        说明

                                              例

营业收入            96,905.02    78,041.39  24.17%

营业成本            81,736.10    65,345.78  25.08%

税金及附加   
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