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首页 公告 风语筑:上海风语筑文化科技股份有限公司2023年度财务决算报告

风语筑:上海风语筑文化科技股份有限公司2023年度财务决算报告

公告日期:2024-04-26

风语筑:上海风语筑文化科技股份有限公司2023年度财务决算报告 PDF查看PDF原文

              上海风语筑文化科技股份有限公司

                    2023 年度财务决算报告

    公司财务报表经天职国际会计师事务所(特殊普通合伙)审计,并出具了无 保留意见的审计报告,在所有重大方面按照企业会计准则的规定编制,公允反映
 了公司 2023 年 12 月 31 日的财务状况以及 2023 年度的经营成果和现金流量。
 一、2023 年度决算主要财务数据

  现将公司有关的财务决算情况汇报如下:

                                                                      单位:元

                                                        本期比上年

  主要会计数据        2023 年            2022 年        同期增减      2021 年

                                                            (%)

营业收入              2,350,496,946.85    1,681,904,485.58        39.75  2,939,906,282.47

归属于上市公司股

东的净利润            282,357,198.46      66,044,003.96      327.53    438,837,499.28

归属于上市公司股

东的扣除非经常性      214,661,505.23      30,486,305.44      604.12    411,515,658.07
损益的净利润
经营活动产生的现

金流量净额              2,456,380.47      241,690,227.73      -98.98    327,728,235.15

                                                        本期末比上

                      2023 年末          2022 年末      年同期末增    2021 年末

                                                          减(%)

归属于上市公司股

东的净资产            2,462,571,665.86    2,197,895,475.33        12.04  2,294,491,204.42

总资产                4,913,124,920.89    5,116,439,905.14        -3.97  4,403,736,457.48

 二、2023 年度决算主要财务数据说明

    1.主营业务分析

                                                                      单位:元

            科目                  本期数          上年同期数      变动比例(%)

 营业收入                        2,350,496,946.85    1,681,904,485.58            39.75

 营业成本                        1,648,028,684.66    1,225,530,459.83            34.47

 销售费用                        125,551,603.44      102,053,875.58            23.02

 管理费用                        103,415,727.08      91,454,722.39            13.08

 财务费用                          -5,060,134.29      -4,707,305.82              -7.50

研发费用                          79,184,590.97      71,803,551.08            10.28

经营活动产生的现金流量净额        -1,453,510.56      241,690,227.73            -100.60

投资活动产生的现金流量净额      115,806,029.43      -81,928,594.18            241.35

筹资活动产生的现金流量净额      -24,116,966.17      285,549,160.92            -108.45

  2.收入成本情况

  报告期内,公司实现营业收入 23.50 亿元,同比上升 39.75%;发生营业成本
16.48 亿元,较上年同期上市 34.47%。具体业务构成如下:

                                                          单位:元 币种:人民币

                                主营业务分行业情况

                                                      营业    营业

                                              毛利  收入    成本  毛利率比上年
 分行业      营业收入          营业成本      率(%)  比上    比上    增减(%)
                                                      年增    年增

                                                      减(%) 减(%)

数字化体  2,350,496,946.85    1,648,028,684.66  29.89  39.75  34.47          2.75


                                主营业务分产品情况

                                                      营业    营业

                                              毛利  收入    成本  毛利率比上年
 分产品      营业收入          营业成本      率(%)  比上    比上    增减(%)
                                                      年增    年增

                                                      减(%) 减(%)

城市数字

化体验空      844,124,496.89    556,216,997.13  34.11  30.53  17.87      7.08


文化及品

牌数字化    1,394,294,425.41    1,039,763,435.57  25.43  40.37  41.60      -0.65

体验空间

数字化产      112,078,024.55      52,048,251.96  53.56  167.23  169.02      -0.31

品及服务

  3.期间费用情况

  2023 年列支销售费用 125,551,603.44 元,比上年增加了 23.02%,具体明细
如下:

                                                                    单位:元

          项目                    本期发生额                上期发生额

职工薪酬                                40,570,187.24                41,874,551.84

售后服务费                              35,165,743.70                23,800,951.31

差旅费                                  27,562,065.99                18,518,358.78

业务招待费                              17,567,702.96                12,527,433.90

广告宣传费                                3,830,414.88                4,338,729.96

其他                                        855,488.67                  993,849.79

合计                                    125,551,603.44              102,053,875.58

  2023 年公司共列支管理费用 103,415,727.08 元,比上年增加 13.08%,具体
明细如下:

                                                                    单位:元

    _110662 项 目_110662              本期发生额                上期发生额

 职工薪酬                                    22,861,216.89            22,129,933.19

 办公费                                      18,960,433.64            16,787,453.91

 差旅交通费                                  13,137,479.00              5,517,178.19

 折旧费                                      11,649,982.18            11,839,176.16

 业务招待费                                  8,820,979.14              3,960,709.75

 中介机构费                                  8,620,573.49              7,187,634.99

 代理服务费                                  7,248,074.58              4,765,441.00

 水电费                                      5,110,242.39              4,643,375.31

 房屋维护费                   
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