联系客服

301125 深市 腾亚精工


首页 公告 腾亚精工:2023年度财务决算报告

腾亚精工:2023年度财务决算报告

公告日期:2024-04-26

腾亚精工:2023年度财务决算报告 PDF查看PDF原文

            南京腾亚精工科技股份有限公司

                2023 年度财务决算报告

  南京腾亚精工科技股份有限公司(以下简称“公司”)2023 年财务报表已经天健会计师事务所(特殊普通合伙)审计并出具了标准无保留意见的审计报告。公司根据 2023 年度经营状况和财务状况,结合公司合并报表数据,编制了 2023年度财务决算报告,具体情况报告如下:

    一、主要会计数据和财务指标

                                              2022 年度          本年比上年
        项目            2023 年度                                    增减

                                        调整前        调整后      调整后

 营业收入(元)        462,571,299.51  434,613,852.45  434,613,852.45      6.43%

 归属于上市公司股东    4,765,767.12  50,661,538.96  50,767,411.73    -90.61%
 的净利润(元)
 归属于上市公司股东

 的扣除非经常性损益    12,348,561.45  41,981,097.74  42,086,970.51    -70.66%
 的净利润(元)

 经营活动产生的现金    39,363,241.86  110,283,594.93  110,283,594.93    -64.31%
 流量净额(元)

 基本每股收益(元/股)        0.0470        0.7811        0.5591    -91.59%

 稀释每股收益(元/股)        0.0468        0.7811        0.5591    -91.59%

 加权平均净资产收益          0.79%        9.77%        9.79%      -9.00%
 率

                                              2022 年末          本年末比上
        项目            2023 年末                                  年末增减

                                        调整前        调整后      调整后

 资产总额(元)      1,069,306,849.69  718,128,685.34  719,277,712.33      48.66%

 归属于上市公司股东  581,605,822.29  627,358,070.21  627,425,660.03      -7.30%
 的净资产(元)

    二、财务状况及经营成果分析

  (一)财务状况分析

  1、资产结构

                                                      单位:元  币种:人民币

          项目              2023 年末      2022 年末    本期比上年同期增减

 货币资金                    72,805,980.13  147,638,443.19              -50.69%

 交易性金融资产                              50,000,000.00            -100.00%

 应收账款                    40,074,335.78  15,517,284.24            158.26%

 预付款项                    11,118,809.22  19,366,992.56              -42.59%

 其他应收款                    2,736,544.50    2,125,191.95              28.77%

 存货                        124,683,905.66  81,969,958.85              52.11%

 其他流动资产                58,049,929.25  14,339,749.42            304.82%

      流动资产合计        309,469,504.54  330,957,620.21              -6.49%

 长期股权投资                                  767,436.23            -100.00%

 固定资产                    548,566,667.25  92,219,580.34            494.85%

 在建工程                    16,496,454.83  202,523,412.52              -91.85%

 使用权资产                  12,705,168.01    5,954,133.65            113.38%

 无形资产                    148,622,717.16  78,221,954.34              90.00%

 商誉                        19,026,327.74

 长期待摊费用                  4,053,496.50

 递延所得税资产                6,718,448.34    5,326,825.04              26.12%

 其他非流动资产                3,648,065.32    3,306,750.00              10.32%

      非流动资产合计        759,837,345.15  388,320,092.12              95.67%

        资产总计          1,069,306,849.69  719,277,712.33              48.66%

  2023 年末,公司资产总额为 1,069,306,849.69 元,较上年末增加 48.66%,其
中:流动资产为 309,469,504.54 元,较上年末减少 6.49%,非流动资产为759,837,345.15 元,较上年末增加 95.67%。变动较大的项目具体说明如下:

  (1)货币资金较上年末减少 50.69%,主要系募投项目投入、2022 年度现金分红及收购子公司支出所致;

  (2)应收账款较上年末增加 158.26%,主要系由于本期第四季度欧美客户销售情况较上期好转,信用期内未回应收货款增加,且本期新收购子公司纳入合并范围,相应应收账款增加所致;

  (3)预付款项较上年末减少 42.59%,主要系上期预付江苏天鹏材料款在本期陆续提货转销所致;

  (4)存货较上年末增加 52.11%,主要系本期新收购子公司纳入合并范围相应存货余额增加,同时本期期末厂区搬迁为了不影响后续交货提前备货所致;
  (5)其他流动资产较上年末增加 304.82%,主要系本期在建工程投入大幅增加,相应待抵扣增值税进项税额增加,同时本期新收购子公司纳入合并范围,其期末待抵扣增值税进项税金额较大所致;

  (6)固定资产较上年末增加 494.85%,主要系本期大部分募投项目完工转

  (7)在建工程较上年末减少 91.85%,主要系本期大部分募投项目完工转入固定资产所致;

  (8)使用权资产较上年末增加 113.38%,主要系本期新收购的子公司存在房产租赁,相应租入的房产增加导致;

  (9)无形资产较上年末增加 90.00%,主要系本期新收购子公司纳入合并范围相应无形资产增加所致。

  2、负债结构

                                                      单位:元  币种:人民币

            项目              2023 年末      2022 年末    本期比上年同期增减

 短期借款                    63,053,798.61    9,812,078.62            542.61%

 应付账款                    121,053,662.58  35,781,738.88            238.31%

 合同负债                    20,647,816.22  14,517,531.16              42.23%

 应付职工薪酬                16,580,580.73  11,088,042.57              49.54%

 应交税费                    15,297,134.68    1,273,218.39            1101.45%

 其他应付款                    4,488,825.17    1,739,548.16            158.05%

 一年内到期的非流动负债      35,446,298.12    3,749,847.37            845.27%

 其他流动负债                    14,819.37      41,928.99              -64.66%

        流动负债合计        276,582,935.48  78,003,934.14            254.58%

 长期借款                    107,481,126.11

 租赁负债                      4,398,807.79    2,570,027.41              71.16%

 预计负债                    14,545,200.00

 递延收益                      3,769,797.95    4,263,850.43              -11.59%

 递延所得税负债                389,479.17    7,014,240.32              -94.45%

      非流动负债合计        130,584,411.02  13,848,118.16            842.98%

          负债合计          407,167,346.50  91,852,052.30            343.29%

  2023 年末,公司负债总额为 407,167,346.50 元,较上年末增加 343.29%。其
中:流动负债为 276,582,935.48 元,较上年末增加 254.58%;非流动负债为130,584,411.02 元,较上年末增加 842.98%。资产负债率为 38.08%。变动较大的项目具体说明如下:

  (1)短期借款较上年末增加 542.61%,主要系增加融资规模以保证有充足的流动资金满足
[点击查看PDF原文]