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【天天时快讯】中储股份: 中储发展股份有限公司关于前期会计差错更正及追溯调整的公告
来源:证券之星      2023-04-14 23:30:00

证券代码:600787     证券简称:中储股份      编号:临2023-018号


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           中储发展股份有限公司

       关于前期会计差错更正及追溯调整的公告

  本公司董事会及全体董事保证本公告内容不存在任何虚假记载、误导性陈述

或者重大遗漏,并对其内容的真实性、准确性和完整性承担法律责任。

  重要内容提示:

      公司本次会计差错更正涉及 2021 年度合并资产负债表和合并利润表部分科

  目数据。

  一、概述

合所有制企业开展员工持股试点的意见》(国资发改革[2016]133 号),对国有控股混合

所有制企业开展员工持股试点提出意见。2017 年,根据中国诚通控股集团有限公司出具

的批复文件,同意中储南京智慧物流科技有限公司(以下简称“中储智运”)作为集团

综合改革试点单位开展混合所有制企业员工持股试点,在首轮增资中安排持股平台持有

设立南京富敬企业管理合伙企业(有限合伙)(以下简称“南京富敬”),用以作为员工

持股平台,认购中储智运 A 轮融资以及未来增资扩股轮次中的对应股份。

增资到员工持股平台的方式缴纳认购款。共 176 名员工签约认购股份,价格按照南京富

敬两次增资价格的加权平均值确定为 6.6 元/一股注册资本。中储智运的员工持股平台

南京富敬向中储智运出资 3,300 万元,对应中储智运注册资本 500 万元,剩余金额 2,800

万元列入资本公积,截止 2021 年 12 月 31 日,中储智运《员工持股计划》完成了除备

案外的所有程序,并完成了工商登记变更手续。中储智运《员工持股计划》在法律形式

上已完成授予,依据上述事实,中储智运在 2021 年按谨慎性原则确认股份支付费用

际情况并征求持股员工意见,综合评估、慎重考虑后拟以减资方式终止实施员工持股计

划;因中储智运《员工持股计划》个别内容不符合《关于国有控股混合所有制企业开展

员工持股试点的意见》(国资发改革[2016]133 号)相关规定,员工持股计划备案受影响,

导致 2021 年员工持股计划实质上无法正常实施,根据实质重于形式原则判断,2021 年

度中储智运《员工持股计划》未实质性完成授予,形成前期重大差错,故追溯调整 2021

年度财务报表。

  公司九届七次董事会审议通过了《关于前期会计差错更正及追溯调整的议案》,本

次会计差错更正无需提交股东大会审议。

  二、具体情况及对公司的影响

  (一)对 2021 年度合并财务报表项目的影响

  本公司对上述前期差错采用追溯重述法进行更正,相应对 2021 年度合并财务报表

进行了追溯调整,追溯调整对合并财务报表相关科目的影响具体如下:

                                                                  单位:元

 受影响的比较期间报表项目名称   重述前金额                累积影响金额              重述后金额

递延所得税资产              306,844,762.91       -34,732,987.36      272,111,775.55

       资产总计        23,185,447,006.41      -34,732,987.36    23,150,714,019.05

销售费用                 403,100,575.89       -64,297,000.00      338,803,575.89

管理费用                 593,210,729.40       -67,545,750.00      525,664,979.40

研发费用                  39,579,328.95        -9,407,250.00       30,172,078.95

       营业利润          897,123,708.63       141,250,000.00     1,038,373,708.63

减:所得税费用              183,154,830.78        34,732,987.36      217,887,818.14

          净利润        805,677,507.90       106,517,012.64      912,194,520.54

  归属于母公司所有者的净利润      880,951,420.32        38,712,055.02      919,663,475.34

(二)更正后经审计的财务报表

                                                       单位:元

             项目       2021 期末余额              2021 期初余额

流动资产:

    货币资金                  2,390,381,780.43        1,649,166,799.39

    交易性金融资产                   3,383,876.06            3,438,438.23

    衍生金融资产                    2,404,290.00              813,291.04

    应收票据                    192,925,924.54          132,272,665.85

    应收账款                  1,447,878,149.28        1,363,552,657.70

    应收款项融资                   38,261,768.01

    预付款项                  1,332,345,950.66        1,336,483,530.41

    其他应收款                 2,273,836,171.95        2,609,575,949.88

    存货                    1,646,352,432.54        1,357,937,191.02

    合同资产

    持有待售资产

    一年内到期的非流动资产              11,337,569.59

    其他流动资产                  623,674,614.91          753,217,109.95

流动资产合计                    9,962,782,527.97        9,206,457,633.47

非流动资产:

    债权投资

    其他债权投资

    长期应收款                     4,752,731.73           49,121,225.25

    长期股权投资                3,154,869,962.92        3,079,842,610.02

    其他权益工具投资                 10,240,000.00            7,000,000.00

    其他非流动金融资产                 2,358,628.66            1,741,000.00

    投资性房地产                1,567,756,524.32          568,107,252.87

    固定资产                  4,641,328,536.12        3,423,500,000.81

    在建工程                    574,049,406.59        1,818,930,728.51

    生产性生物资产

    油气资产

    使用权资产                    74,080,349.48           94,235,818.80

    无形资产                  2,558,353,215.07        2,599,588,459.16

    开发支出                     10,890,042.31           29,592,933.09

    商誉                       93,126,413.40           94,996,706.81

    长期待摊费用                    6,734,718.76            3,660,424.31

    递延所得税资产                 272,111,775.55          281,144,803.08

    其他非流动资产                 217,279,186.17          108,485,277.60

非流动资产合计                  13,187,931,491.08       12,159,947,240.31

资产总计                     23,150,714,019.05       21,366,404,873.78

                                                       单位:元

             项目       2021 期末余额              2021 期初余额

流动负债:

   短期借款                      93,950,190.10        1,086,451,399.04

   交易性金融负债

   衍生金融负债                       743,665.00             772,005.00

   应付票据                   1,333,316,571.56        1,366,097,721.71

   应付账款                     670,428,456.48         469,001,248.46

   预收款项                     286,007,122.65            7,107,846.01

    合同负债                 1,274,993,475.47          1,084,272,652.27

    应付职工薪酬                189,424,879.84            191,510,515.66

    应交税费                  508,975,676.38            309,049,769.35

    其他应付款                1,103,365,233.00          1,357,071,292.98

    持有待售负债

    一年内到期的非流动负债            64,558,479.26           1,558,297,194.21

    其他流动负债               1,163,590,403.70           106,400,820.84

流动负债合计                   6,689,354,153.44          7,536,032,465.53

非流动负债:

    长期借款                 1,946,464,236.11           418,600,000.00

    应付债券

    永续债

    租赁负债                   28,033,830.31              57,015,192.76

    长期应付款                 148,163,307.31            155,396,999.55

    长期应付职工薪酬              105,124,176.99            121,883,969.00

    预计负债                   76,092,000.00             41,750,091.39

    递延收益                   65,522,543.61             76,176,286.15

    递延所得税负债               896,442,721.66            681,359,400.45

    其他非流动负债

非流动负债合计                  3,265,842,815.99          1,552,181,939.30

负债合计                     9,955,196,969.43          9,088,214,404.83

股东权益:

    股本                   2,199,801,033.00          2,199,801,033.00

    其他权益工具

    永续债

    资本公积                 3,690,738,549.93          3,661,978,302.25

    减:库存股                 171,496,885.50            171,496,885.50

    其他综合收益                130,550,001.28                814,249.48

    专项储备

    盈余公积                 2,246,716,915.05          1,999,922,705.42

    未分配利润                4,631,509,977.77          4,131,675,705.40

归属于母公司股东权益合计            12,727,819,591.53         11,822,695,110.05

少数股东权益                    467,697,458.09            455,495,358.90

股东权益合计                  13,195,517,049.62         12,278,190,468.95

负债和股东权益总计               23,150,714,019.05         21,366,404,873.78

                                                        单位:元

               项目        2021 年度                 2020 年度

一、营业总收入                      75,238,479,109.90    48,830,141,397.50

 其中:营业收入                     75,232,639,715.52    48,815,769,230.06

       利息收入                       5,839,394.38        14,372,167.44

 减: 营业成本                     73,579,683,208.34    47,356,866,651.96

                项目                2021 年度               2020 年度

 利息支出                                     854,652.28         1,990,225.54

      税金及附加                           328,085,405.18       269,535,747.32

      销售费用                            338,803,575.89       355,107,242.58

      管理费用                            525,664,979.40       473,545,816.15

      研发费用                             30,172,078.95        10,207,648.47

      财务费用                            177,078,615.45       168,734,460.25

      其中:利息费用                         191,568,555.31       194,297,576.43

      利息收入                             26,548,428.39        21,662,104.82

 加: 其他收益                               20,995,999.24        21,776,308.10

      投资收益(损失以“-”号填列)                 125,842,263.20       161,093,784.40

      其中:对联营企业和合营企业的投资收益              115,766,846.60        72,489,666.31

      公允价值变动收益(损失以“-”号填列)              14,880,431.57          145,278.07

      信用减值损失(损失以“-”号填列)                -30,940,607.84     -109,785,902.71

      资产减值损失(损失以“-”号填列)                 -8,414,917.28      -90,051,669.59

      资产处置收益(损失以“-”号填列)               657,873,945.33       671,648,384.09

二、营业利润(亏损以“-”号填列)                    1,038,373,708.63      848,979,787.59

 加: 营业外收入                             193,035,527.46       148,682,733.35

 减: 营业外支出                             101,326,897.41       236,653,366.30

三、利润总额(亏损总额以“-”号填列)                  1,130,082,338.68      761,009,154.64

 减: 所得税费用                             217,887,818.14       214,519,446.94

四、净利润(净亏损以“-”号填列)                     912,194,520.54       546,489,707.70

 (一)按经营持续性分类

      持续经营净利润(净亏损以“-”号填列)             912,194,520.54       546,489,707.70

      终止经营净利润(净亏损以“-”号填列)

 (二)按所有权归属分类

      归属于母公司所有者的净利润(净亏损以“-”号填列)       919,663,475.34       578,457,952.96

      少数股东损益(净亏损以“-”号填列)                -7,468,954.80      -31,968,245.26

五、其他综合收益的税后净额                         127,694,229.05       -27,837,400.43

 归属于母公司所有者的其他综合收益的税后净额                129,735,751.80       -21,879,429.61

 (一)不能重分类进损益的其他综合收益                         9,427.20           -80,154.05

 (二)将重分类进损益的其他综合收益                    129,726,324.60       -21,799,275.56

                 项目                                        2021 年度                          2020 年度

 归属于少数股东的其他综合收益的税后净额                                                 -2,041,522.75                  -5,957,970.82

六、综合收益总额                                                          1,039,888,749.59                 518,652,307.27

 归属于母公司所有者的综合收益总额                                                 1,049,399,227.14                 556,578,523.35

 归属于少数股东的综合收益总额                                                      -9,510,477.55                 -37,926,216.08

七、每股收益:

 (一)基本每股收益                                                                    0.42                           0.27

 (二)稀释每股收益                                                                    0.42                           0.27

(三)更正与调整后项目相关的财务报表附注

                                                                                                      单位:元

       项目

                  可抵扣暂时性差异               递延所得税资产                   可抵扣暂时性差异                 递延所得税资产

资产减值准备                 920,119,598.61            228,510,713.78          956,635,076.92           239,158,769.23

预提费用                     4,400,000.00              1,100,000.00          139,066,532.96            34,766,633.24

递延收益                     3,750,000.00               937,500.00              3,750,000.00              937,500.00

公允价值变动                  22,878,083.64              5,709,520.92            17,080,418.64            4,260,104.66

设定受益计划                  26,245,725.80              5,632,894.47            10,108,979.75            2,021,795.95

预计负债                    76,092,000.00             18,679,800.00

固定资产折旧                   7,038,277.19              1,759,569.30

固定资产内部交易评估

增值抵消

应付未付利息                  19,882,324.35              4,970,581.09

       合计             1,099,650,793.55           272,111,775.55         1,126,641,008.27          281,144,803.08

                                                                                单位:元

       项目        2020.12.31          本期增加                      本期减少         2021.12.31

资本溢价(股本溢价)        3,338,411,445.66       10,741,059.40                     3,349,152,505.06

其他资本公积             323,566,856.59        18,019,188.28                      341,586,044.87

       合计         3,661,978,302.25       28,760,247.68                     3,690,738,549.93

                                                                                单位:元

            项目                               2021 年度                     2020 年度

调整前上期末未分配利润                                       4,132,818,049.22         3,536,079,101.22

调整期初未分配利润合计数(调增+,调减-)                                    -1,142,343.82       77,318,423.08

调整后期初未分配利润                                        4,131,675,705.40         3,613,397,524.30

加:本期归属于母公司所有者的净利润                                   919,663,475.34          578,457,952.96

减:提取法定盈余公积                                           70,512,631.32           59,037,428.04

提取任意盈余公积                                            176,281,578.31

应付普通股股利                                             173,034,993.34

期末未分配利润                                           4,631,509,977.77         4,132,818,049.22

                                                                                单位:元

            项目                               2021 年度                     2020 年度

人工成本                                                 220,783,323.34         178,797,563.34

办公费用                                                     27,333,411.01       23,339,569.25

资产使用费                                                     4,814,543.23         3,575,529.61

综合费用                                                     12,109,703.81       15,047,405.01

专项费用                                                     73,361,663.38      134,044,051.26

其他                                                         400,931.12           303,124.11

            合计                                       338,803,575.89         355,107,242.58

                                                                   单位:元

           项目                 2021 年度                     2020 年度

人工成本                                   383,171,481.90        329,182,599.03

办公费用                                    50,576,439.60         35,622,330.10

资产使用费                                   45,918,316.43         56,993,496.03

综合费用                                    45,879,659.88         51,153,493.33

其他                                         119,081.59              593,897.66

           合计                          525,664,979.40        473,545,816.15

                                                                   单位:元

           项目               2021 年度                      2020 年度

科研人员人工支出                          28,581,368.79                 9,440,980.31

中试材料费                                  412,252.48                  668,542.29

其他                                    1,178,457.68                  98,125.87

           合计                     30,172,078.95               10,207,648.47

(1)所得税费用表

                                                                   单位:元

           项目               2021 年度                      2020 年度

当期所得税费用                          39,257,513.20                60,030,807.57

递延所得税费用                         178,630,304.94               154,488,639.37

           合计                   217,887,818.14               214,519,446.94

(2)会计利润与所得税费用调整过程

                                                                   单位:元

                   项目                                   2021 年发生额

利润总额                                                        1,130,082,338.68

按法定/适用税率计算的所得税费用                                             282,520,584.67

子公司适用不同税率的影响                                                   -4,085,747.85

调整以前期间所得税的影响                                                  -38,078,043.78

非应税收入的影响                                                      -37,913,844.21

    不可抵扣的成本、费用和损失影响                   25,922,603.32

    使用前期未确认递延所得税资产的可抵扣亏损的影响           -2,634,823.08

    本期未确认递延所得税资产的可抵扣暂时性差异或可抵扣亏损的影响      -357,904.73

    研发费用加计扣除                          -7,485,006.20

                  所得税费用              217,887,818.14

    (四)前期会计差错更正事项对比较期间母公司财务报表的财务状况和经营成果的影

    上述前期会计差错事项对本公司母公司财务报表无影响。

    三、独立董事、监事会和会计师事务所的结论性意见

    (一)独立董事意见

    公司独立董事认为本次前期会计差错更正是必要、合理的,符合财政部《企业会计准

则》《公开发行证券的公司信息披露编报规则第 19 号—财务信息的更正及相关披露》等

相关文件的规定,更正后的信息能够准确、客观的反映公司财务状况及经营成果,同意本

次会计差错进行更正。

    (二)监事会意见

    公司监事会认为本次会计差错更正符合财政部《企业会计准则》、《公开发行证券的

公司信息披露编报规则第 19 号—财务信息的更正及相关披露》等相关文件的规定,能够

更加客观、公允地反映公司财务状况和经营成果,同意本次会计差错更正。

    (三)会计师事务所意见

    大华会计师事务所(特殊普通合伙)认为中储股份编制的《前期重大差错更正专项说

明》已按照《企业会计准则第 28 号——会计政策、会计估计变更和差错更正》、中国证券

监督管理委员会《公开发行证券的公司信息披露编制规则第 19 号——财务信息的更正及相

关披露》等相关规定编制,如实反映了中储股份前期会计差错的更正情况。

    四、上网公告附件

    (一)中储发展股份有限公司九届七次董事会相关事项的独立董事意见书;

    (二)监事会关于前期会计差错更正的意见;

   (三)中储发展股份有限公司前期重大会计差错更正专项说明的审核报告(大华核字

[2023]009849 号);

   特此公告。

                             中储发展股份有限公司

                                 董 事 会

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