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盛帮股份:2023年度财务决算报告

公告日期:2024-04-25

盛帮股份:2023年度财务决算报告 PDF查看PDF原文

            成都盛帮密封件股份有限公司

                2023年度财务决算报告

  成都盛帮密封件股份有限公司(以下简称“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。中审众环会计师事务所(特殊普通合伙)已对公司截至 2023 年12 月31 日的资产负债表、利润表、现金流量表、股东权益变动表以及财务报表附注进行了审计,并出具了标准无保留意见的审计报告。现将公司决算情况报告如下:

    一、主要会计数据和财务指标

  报告期内,公司实现营业收入 34,001.07 万元,同比增长 11.47%;归属于上市
公司股东的净利润 6,403.01 万元,同比增长 34.70%;归属于上市公司股东的扣除非经常性损益后的净利润5,301.06 万元,同比增长 23.53%;经营活动产生的现金流量净额4,625.04 万元,同比下降 216.66%。主要财务指标如下:

                                                                单位:人民币元

                                                      2022 年                本年比上年增
                          2023 年                                                减

                                              调整前            调整后          调整后

 营业收入(元)        340,010,695.45    305,025,177.67  305,025,177.67          11.47%

 归属于上市公司股东      64,030,090.67    47,594,820.69    47,534,098.39          34.70%
 的净利润(元)
 归属于上市公司股东

 的扣除非经常性损益      53,010,628.09    41,017,914.28    42,911,630.60          23.53%
 的净利润(元)

 经营活动产生的现金      46,250,394.08    14,605,855.96    14,605,855.96        216.66%
 流量净额(元)

 基本每股收益(元/股)          1.2440            1.0568          1.0555          17.86%

 稀释每股收益(元/股)          1.2440            1.0568          1.0555          17.86%

 加权平均净资产收益              7.17%            7.72%            7.72%          -0.55%
 率

                                                    2022 年末              本年末比上年
                          2023 年末                                              末增减

                                              调整前            调整后          调整后


资产总额(元)      1,025,682,751.24    972,954,909.62  973,171,888.27          5.40%

归属于上市公司股东    884,699,635.99    860,722,457.62  860,661,735.32          2.79%
的净资产(元)

  二、财务状况、经营成果和现金流量情况分析

  (一)报告期末资产构成及变动分析

                                                                单位:人民币元

        项目          2023 年 12 月 31 日  2022 年 12 月 31 日    增减幅度

      货币资金                129,424,188.65      312,902,944.49            -58.64%

    交易性金融资产              389,185,254.67      273,211,753.58            42.45%

      应收票据                  19,719,828.04        12,584,310.70            56.70%

      应收账款                159,143,029.19      136,866,763.15            16.28%

    应收款项融资                32,043,616.94        25,621,033.52            25.07%

      预付款项                  3,593,156.23        2,771,002.44            29.67%

      其他应收款                  2,412,787.79        3,345,851.76            -27.89%

        存货                    81,397,105.22        77,208,839.35              5.42%

    其他流动资产                  549,021.10          604,900.30            -9.24%

    流动资产合计              817,467,987.83      845,117,399.29            -3.27%

  其他非流动金融资产            10,000,000.00                    -                  -

    投资性房地产                  586,299.65          622,666.73            -5.84%

      固定资产                  74,542,232.56        67,110,191.93            11.07%

      在建工程                  68,784,534.35        9,298,522.66            639.74%

      使用权资产                  1,047,471.93        1,851,339.62            -43.42%

      无形资产                  33,326,573.22        34,251,473.89            -2.70%

    长期待摊费用                3,622,928.86        2,532,456.91            43.06%

    递延所得税资产                5,991,893.55        5,903,804.30              1.49%

    其他非流动资产              10,312,829.29        6,484,032.94            59.05%

    非流动资产合计              208,214,763.41      128,054,488.98            62.60%

      资产总计              1,025,682,751.24      973,171,888.27              5.40%

  主要项目变动分析如下:

  1、 货币资金较去年末下降 58.64%,主要是由于本期购建固定资产,分配股利
    所致;

  2、 交易性金融资产较去年末增长了 42.45%,主要是由于本期对公司暂时闲置
    的自有资金和募集资金进行现金管理于期末未赎回和未到期所致;


  3、 应收票据较去年末增长了 56.70%,主要是由于本期期末因销售商品而收到
    的未到承兑期的商业承兑汇票较上期末有所增加所致;

  4、 其他非流动金融资产报告期内新增 1,000 万元,主要是由于公司与海南初尧
    私募基金管理有限公司共同投资所致;

  5、 在建工程较去年末增加了 639.74%,主要是由于本期募投项目建设未达到预
    定可使用状态所致;

  6、 使用权资产较去年末下降了 43.42%,主要是由于本期租赁厂房,合同期减
    少所致;

  7、 长期待摊费用较去年末增长了 43.06%,主要是由于本期进行了车间改造及
    办公楼宿舍楼装修所致。

  8、 其他非流动资产较去年末增长了 59.05%,主要是由于本期募投项目预付设
    备购置款和工程建设款较上期增加所致。

  (二)报告期末负债、所有者权益构成及变动分析

                                                                单位:人民币元

        项目            2023 年 12 月 31 日  2022 年 12 月 31 日    增减幅度

      应付票据                  18,784,640.35        15,506,101.32          21.14%

      应付账款                  82,656,316.64        57,424,969.39          43.94%

      预收款项                        833.30                    -                -

      合同负债                      798,095.29          1,068,638.14          -25.32%

    应付职工薪酬                12,530,859.58        10,993,852.75          13.98%

      应交税费                    9,731,262.43        11,197,441.28          -13.09%

    其他应付款                  1,463,706.29          1,072,321.37          36.50%

一年内到期的非流动负债              210,878.10          1,446,524.28          -85.42%

    其他流动负债                    103,752.39    
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