启迪环境: 关于前期会计差错更正及追溯调整的公告

证券之星 2022-04-30 00:00:00
关注证券之星官方微博:
证券代码:000826         证券简称:启迪环境         公告编号:2022-058
              启迪环境科技发展股份有限公司
       本公司及董事会全体成员保证公告内容的真实、准确和完整,
              公告不存在虚假记载、误导性陈述或者重大遗漏。
   一、本次会计差错更概述及原因
券监督管理委员会湖北监管局下发的《关于对启迪环境科技发展股份有限公司采取责令改正
监管措施的决定》([2022]1 号)
                  (以下简称《决定书》,详见公司于 2022 年 1 月 19 日披露
的《关于收到湖北证监局责令改正监管措施决定书的公告》,公告编号:2022-005)
                                        。
   收到决定书后,公司对公司项目实际情况、公司资产状况和内部管理涉及部分业务相关
事项进行内部财务核查,发现公司的工程报量与实际投入存在偏差,公司根据一贯执行政策
及方法进行调整。公司存在的以上相关问题,导致本公司 2015 年度至 2021 年三季度财务报
表之营业收入、营业成本、在建工程和应付账款等相关科目会计核算存在会计差错。根据《企
业会计准则第 28 号—会计政策、会计估计变更和差错更正》及中国证监会《公开发行证券
的公司信息披露编报规则第 19 号一财务信息的更正及相关披露》的相关规定,经公司第十
届董事会第十四次会议、第十届监事会第十二次会议审议通过《关于前期会计差错更正及追
溯调整的议案》
      ,决定对公司 2015-2020 年度及 2021 年第一至第三季度财务报表进行会计差
错更正及追溯调整。
   公司独立董事对本次前期差错更正发表了独立意见。大信会计师事务所(特殊普通合伙)
对本次前期差错更正事项出具了《前期会计差错更正情况审核报告》(大信专审字[2022]第
   二、前期会计差错更正的财务影响
   (一)2021 年第一季度财务报表相关影响
          报表项目            更正前金额                 更正后金额                    更正金额
应收账款                      5,617,914,606.65      5,674,564,606.65          56,650,000.00
其他应收款                      298,515,164.80        272,251,438.89          -26,263,725.91
其他流动资产                    1,339,065,179.19      1,376,640,901.99          37,575,722.80
流动资产合计                   11,144,501,057.34     11,212,463,054.23          67,961,996.89
在建工程                     12,672,855,477.54     11,249,280,445.86       -1,423,575,031.68
非流动资产合计                  31,085,244,195.31     29,661,669,163.63       -1,423,575,031.68
资产合计                     42,229,745,252.65     40,874,132,217.86       -1,355,613,034.79
应付账款                      3,740,850,229.15      2,815,125,453.23        -925,724,775.92
流动负债合计                   15,050,217,026.17     14,124,492,250.25        -925,724,775.92
负债合计                     25,900,868,334.76     24,975,143,558.84        -925,724,775.92
未分配利润                     3,191,468,615.59      2,761,580,356.72        -429,888,258.87
归属于母公司股东权益合计             13,464,236,224.23     13,034,347,965.36        -429,888,258.87
所有者权益(或股东权益)合计           16,328,876,917.89     15,898,988,659.02        -429,888,258.87
负债和所有者权益(或股东权益)合计        42,229,745,252.65     40,874,132,217.86       -1,355,613,034.79
          报表项目            更正前金额                 更正后金额                    更正金额
应收账款                      4,128,778,612.25      2,948,394,482.46       -1,180,384,129.79
其他应收款                     8,152,637,738.86      7,891,568,405.08        -261,069,333.78
其他流动资产                      76,965,628.39        183,747,910.48          106,782,282.09
流动资产合计                   14,279,259,261.36     12,944,588,079.88       -1,334,671,181.48
资产总计                     28,295,152,739.99     26,960,481,558.51       -1,334,671,181.48
应付账款                      2,184,863,458.99      1,259,138,683.07        -925,724,775.92
其他应付款                     4,724,240,281.55      4,901,878,379.60         177,638,098.05
流动负债合计                   13,264,559,696.24     12,516,473,018.37        -748,086,677.87
负债合计                     15,549,091,466.35     14,801,004,788.48        -748,086,677.87
未分配利润                     2,403,473,069.83      1,816,888,566.22        -586,584,503.61
归属于母公司所有者(股东)权益合计        12,746,061,273.64     12,159,476,770.03        -586,584,503.61
所有者权益(或股东权益)合计           12,746,061,273.64     12,159,476,770.03        -586,584,503.61
负债和所有者权益(或股东权益)合计        28,295,152,739.99     26,960,481,558.51       -1,334,671,181.48
  (二)2021 年半年报财务报表相关影响
          报表项目            更正前金额                    更正后金额                   更正金额
应收账款                        5,327,368,414.05        5,384,018,414.05      56,650,000.00
其他应收款                         300,748,404.01          301,742,731.59         994,327.58
流动资产合计                     14,793,437,273.92       14,851,081,601.50      57,644,327.58
无形资产                       15,414,974,162.09       15,358,324,162.09     -56,650,000.00
其他非流动资产                     1,260,285,268.82        1,253,718,143.92       -6,567,124.90
非流动资产合计                      23,685,658,713.41          23,622,441,588.51     -63,217,124.90
资产合计                         38,479,095,987.33          38,473,523,190.01       -5,572,797.32
应付账款                          3,968,020,185.32           3,985,586,633.03      17,566,447.71
流动负债合计                       17,883,956,419.66          17,901,522,867.37      17,566,447.71
负债合计                         26,022,455,403.29          26,040,021,851.00      17,566,447.71
未分配利润                          -583,603,240.61            -606,742,485.64     -23,139,245.03
归属于母公司股东权益合计                  9,682,518,012.03           9,659,378,767.00     -23,139,245.03
所有者权益(或股东权益)合计               12,456,640,584.04          12,433,501,339.01     -23,139,245.03
负债和所有者权益(或股东权益)合计            38,479,095,987.33          38,473,523,190.01       -5,572,797.32
         报表项目         更正前金额                   更正后金额                         更正金额
应收账款                   4,402,214,340.83          3,228,085,438.97           -1,174,128,901.86
其他应收款                  6,848,928,357.33          6,608,598,447.75            -240,329,909.58
流动资产合计                14,727,608,311.98       13,313,149,500.54             -1,414,458,811.44
资产总计                  26,925,655,855.30       25,511,197,043.86             -1,414,458,811.44
应付账款                   2,467,012,204.64          2,484,578,652.35              17,566,447.71
其他应付款                  4,031,023,130.44          4,208,397,827.13             177,374,696.69
流动负债合计                12,244,067,139.54       12,439,008,283.94               194,941,144.40
负债合计                  13,588,133,100.34       13,783,074,244.74               194,941,144.40
未分配利润                  2,131,588,551.15           522,188,595.31            -1,609,399,955.84
归属于母公司所有者(股东)权益合计     13,337,522,754.96       11,728,122,799.12             -1,609,399,955.84
所有者权益(或股东权益)合计        13,337,522,754.96       11,728,122,799.12             -1,609,399,955.84
负债和所有者权益(或股东权益)合计     26,925,655,855.30       25,511,197,043.86             -1,414,458,811.44
         报表项目            更正前金额                     更正后金额                      更正金额
一、营业总成本                   4,330,120,317.38          5,251,579,843.48          921,459,526.10
其中:营业成本                   3,293,531,411.69          4,214,990,937.79          921,459,526.10
信用减值损失                     -247,068,122.76           -279,217,489.60          -32,149,366.84
资产减值损失                   -3,195,647,596.18         -1,835,289,689.40        1,360,357,906.78
二、营业利润                   -3,912,389,642.15         -3,505,640,628.31          406,749,013.84
三、利润总额                   -3,942,660,536.89         -3,535,911,523.05          406,749,013.84
四、净利润                     -3,955,570,875.11        -3,548,821,861.27          406,749,013.84
归属于母公司所有者的净利润            -3,897,523,475.47         -3,490,774,461.63          406,749,013.84
少数股东损益                      -58,047,399.64            -58,047,399.64
五、综合收益总额
(一)归属于母公司股东的综合收益总额       -3,898,633,424.54         -3,491,884,410.70          406,749,013.84
(二)归属于少数股东的综合收益总额           -58,047,399.64            -58,047,399.64
六、每股收益
(一)基本每股收益                                    -2.72                    -2.44                  0.28
(二)稀释每股收益                                    -2.72                    -2.44                  0.28
  报表项目           更正前金额                     更正后金额                              更正金额
一、营业总成本            715,755,111.88             1,706,421,197.27                     990,666,085.39
其中:营业成本            459,719,919.10             1,450,386,004.49                     990,666,085.39
信用减值损失             -26,214,751.94                 -58,364,118.78                   -32,149,366.84
二、营业利润            -158,900,143.28             -1,181,715,595.51                  -1,022,815,452.23
三、利润总额            -158,901,341.18             -1,181,716,793.41                  -1,022,815,452.23
四、净利润             -146,297,369.74             -1,169,112,821.97                  -1,022,815,452.23
五、综合收益总额          -146,297,369.74             -1,169,112,821.97                  -1,022,815,452.23
  (三)2021 年第三季度财务报表相关影响
          报表项目                      更正前金额                     更正后金额                 更正金额
应收账款                                 5,708,717,789.93         5,765,367,789.93      56,650,000.00
其他应收款                                 835,898,435.08            836,892,762.66         994,327.58
流动资产合计                              11,799,146,070.64        11,856,790,398.22      57,644,327.58
无形资产                                15,386,869,359.07        15,330,219,359.07     -56,650,000.00
其他非流动资产                              1,257,466,152.05         1,250,899,027.15       -6,567,124.90
非流动资产合计                             23,693,898,107.19        23,630,680,982.29     -63,217,124.90
资产合计                                35,493,044,177.83        35,487,471,380.51       -5,572,797.32
应付账款                                 3,586,207,643.82         3,603,774,091.53      17,566,447.71
流动负债合计                              14,860,556,450.46        14,878,122,898.17      17,566,447.71
负债合计                                23,374,751,532.77        23,392,317,980.48      17,566,447.71
未分配利润                                 -852,662,270.25          -875,801,515.28     -23,139,245.03
归属于母公司股东权益合计                         9,413,618,994.14         9,390,479,749.11     -23,139,245.03
所有者权益(或股东权益)合计                      12,118,292,645.06        12,095,153,400.03     -23,139,245.03
负债和所有者权益(或股东权益)合计                   35,493,044,177.83        35,487,471,380.51       -5,572,797.32
         报表项目                 更正前金额                     更正后金额                    更正金额
应收账款                           4,311,935,329.41          3,137,806,427.55        -1,174,128,901.86
其他应收款                          7,472,109,227.41          7,231,642,013.10         -240,467,214.31
流动资产合计                       13,262,548,961.05          11,847,952,844.88        -1,414,596,116.17
资产总计                         25,445,456,702.34          24,030,860,586.17        -1,414,596,116.17
应付账款                           2,487,454,131.98          2,505,020,579.69           17,566,447.71
其他应付款                          4,311,207,846.97          4,488,445,238.93          177,237,391.96
流动负债合计                       11,786,210,612.77          11,981,014,452.44          194,803,839.67
         报表项目                   更正前金额                    更正后金额                   更正金额
负债合计                            13,175,036,344.00        13,369,840,183.67         194,803,839.67
未分配利润                            1,927,832,154.53           318,432,198.69       -1,609,399,955.84
归属于母公司所有者(股东)权益合计               12,270,420,358.34        10,661,020,402.50       -1,609,399,955.84
所有者权益(或股东权益)合计                  12,270,420,358.34        10,661,020,402.50       -1,609,399,955.84
负债和所有者权益(或股东权益)合计               25,445,456,702.34        24,030,860,586.17       -1,414,596,116.17
         报表项目                        更正前金额                  更正后金额                 更正金额
一、营业总成本                              6,566,575,914.51        7,488,035,440.61      921,459,526.10
其中:营业成本                              5,087,448,656.23        6,008,908,182.33      921,459,526.10
信用减值损失                                -281,720,476.22         -313,869,843.06      -32,149,366.84
资产减值损失                               -3,109,065,172.90      -1,748,707,266.12    1,360,357,906.78
二、营业利润                               -4,111,367,679.02      -3,704,618,665.18      406,749,013.84
三、利润总额                               -4,154,660,045.88      -3,747,911,032.04      406,749,013.84
四、净利润                                -4,218,361,200.13      -3,811,612,186.29      406,749,013.84
归属于母公司所有者的净利润                        -4,166,582,505.11      -3,759,833,491.27      406,749,013.84
少数股东损益                                 -51,778,695.02          -51,778,695.02
五、综合收益总额
(一)归属于母公司股东的综合收益总额                   -4,219,311,137.45      -3,812,562,123.61      406,749,013.84
(二)归属于少数股东的综合收益总额                      -51,778,695.02          -51,778,695.02
六、每股收益
(一)基本每股收益                                        -2.96                  -2.63                0.33
(二)稀释每股收益                                        -2.96                  -2.63                0.33
  报表项目           更正前金额                        更正后金额                             更正金额
一、营业总成本            938,634,701.82                 1,929,300,787.21                 990,666,085.39
其中:营业成本            603,089,145.09                 1,593,755,230.48                 990,666,085.39
信用减值损失              -23,462,235.34                  -55,611,602.18                 -32,149,366.84
二、营业利润             -359,731,858.90               -1,382,547,311.13               -1,022,815,452.23
三、利润总额             -359,736,034.45               -1,382,551,486.68               -1,022,815,452.23
四、净利润              -350,053,766.36               -1,372,869,218.59               -1,022,815,452.23
五、综合收益总额           -350,053,766.36               -1,372,869,218.59               -1,022,815,452.23
  (四)2020 年度财务报表相关影响
          报表项目                        更正前金额                  更正后金额                 更正金额
其他应收款                                   315,469,091.75         289,205,365.84      -26,263,725.91
其他流动资产                                1,340,097,441.10       1,377,673,163.90       37,575,722.80
流动资产合计                   11,075,994,599.66    11,087,306,596.55      11,311,996.89
在建工程                     12,725,730,958.31    11,358,805,926.63   -1,366,925,031.68
非流动资产合计                  31,296,803,703.41   29,929,878,671.73    -1,366,925,031.68
资产合计                     42,372,798,303.07   41,017,185,268.28    -1,355,613,034.79
应付账款                      4,050,990,469.13     3,125,265,693.21    -925,724,775.92
流动负债合计                   16,166,451,489.11   15,240,726,713.19     -925,724,775.92
负债合计                     26,907,911,423.47   25,982,186,647.55     -925,724,775.92
未分配利润                     3,370,920,234.86     2,941,031,975.99    -429,888,258.87
归属于母公司股东权益合计             13,417,305,163.49   12,987,416,904.62     -429,888,258.87
所有者权益(或股东权益)合计           15,464,886,879.60   15,034,998,620.73     -429,888,258.87
负债和所有者权益(或股东权益)合计        42,372,798,303.07   41,017,185,268.28    -1,355,613,034.79
          报表项目          更正前金额                更正后金额                 更正金额
应收账款                     4,507,106,835.32     3,326,722,705.53    -1,180,384,129.79
其他应收款                    7,160,359,736.41     6,899,469,804.65     -260,889,931.76
其他流动资产                     45,599,156.49       152,381,438.58       106,782,282.09
流动资产合计                  13,611,556,473.59    12,277,064,694.13    -1,334,491,779.46
资产总计                    28,403,540,506.74    27,069,048,727.28    -1,334,491,779.46
应付账款                     2,383,075,979.33     1,457,351,203.41     -925,724,775.92
其他应付款                    4,220,361,905.53     4,398,179,405.60      177,817,500.07
流动负债合计                  13,365,773,230.55    12,617,865,954.70     -747,907,275.85
负债合计                    15,726,066,382.04    14,978,159,106.19     -747,907,275.85
未分配利润                    2,334,885,920.89     1,748,301,417.28     -586,584,503.61
归属于母公司所有者(股东)权益合计       12,677,474,124.70    12,090,889,621.09     -586,584,503.61
所有者权益(或股东权益)合计          12,677,474,124.70    12,090,889,621.09     -586,584,503.61
负债和所有者权益(或股东权益)合计       28,403,540,506.74    27,069,048,727.28    -1,334,491,779.46
         报表项目           更正前金额                 更正后金额                 更正金额
一、营业总收入                  8,520,764,618.65     8,647,776,341.84      127,011,723.19
其中:营业收入                  8,520,764,618.65     8,647,776,341.84      127,011,723.19
二、营业总成本                  8,612,380,006.13     8,916,061,824.30      303,681,818.17
其中:营业成本                  6,750,854,228.30     7,054,536,046.47      303,681,818.17
信用减值损失                  -1,133,197,333.20     -1,135,721,938.06       -2,524,604.86
资产减值损失                    -215,776,347.35        -59,080,102.61     156,696,244.74
三、营业利润                  -1,452,374,147.17     -1,474,872,602.27     -22,498,455.10
四、利润总额                  -1,474,550,771.28     -1,497,049,226.38     -22,498,455.10
五、净利润                   -1,416,889,437.34     -1,439,387,892.44     -22,498,455.10
归属于母公司所有者的净利润           -1,536,530,415.22     -1,559,028,870.32     -22,498,455.10
         报表项目                更正前金额                      更正后金额                   更正金额
少数股东损益                          119,640,977.88            119,640,977.88
六、综合收益总额
(一)归属于母公司股东的综合收益总额            -1,539,109,087.70         -1,561,607,542.80       -22,498,455.10
(二)归属于少数股东的综合收益总额               119,640,977.88            119,640,977.88
七、每股收益
(一)基本每股收益                                 -1.13                       -1.15               -0.02
(二)稀释每股收益                                 -1.13                       -1.15               -0.02
       报表项目       更正前金额                      更正后金额                            更正金额
一、营业总收入             1,276,913,941.52              1,403,925,664.71              127,011,723.19
其中:营业收入             1,276,913,941.52              1,403,925,664.71              127,011,723.19
二、营业总成本             1,851,680,787.94              2,155,362,606.11              303,681,818.17
其中:营业成本             1,369,629,578.47              1,673,311,396.64              303,681,818.17
信用减值损失               -419,570,530.84               -422,095,135.70                -2,524,604.86
三、营业利润             -1,115,609,426.78              -1,294,804,126.62            -179,194,699.84
四、利润总额             -1,112,006,895.44              -1,291,201,595.28            -179,194,699.84
五、净利润              -1,043,060,704.68              -1,222,255,404.52            -179,194,699.84
六、综合收益总额           -1,043,060,704.68              -1,222,255,404.52            -179,194,699.84
  (五)2019 年度财务报表相关影响
          报表项目                 更正前金额                     更正后金额                  更正金额
其他应收款                            376,057,956.95           321,950,654.07        -54,107,302.88
流动资产合计                        13,135,219,787.41         13,081,112,484.53       -54,107,302.88
在建工程                          14,183,348,439.25         12,532,715,439.64     -1,650,632,999.61
非流动资产合计                       31,398,634,603.99         29,748,001,604.38     -1,650,632,999.61
资产合计                          44,533,854,391.40         42,829,114,088.91     -1,704,740,302.49
应付账款                           5,059,565,697.77          3,799,790,921.85     -1,259,774,775.92
应交税费                             290,071,405.40           252,495,682.60        -37,575,722.80
流动负债合计                        16,082,962,756.36         14,785,612,257.64     -1,297,350,498.72
负债合计                          27,698,169,893.48         26,400,819,394.76     -1,297,350,498.72
未分配利润                          4,987,326,255.05          4,579,936,451.28      -407,389,803.77
归属于母公司股东权益                    15,046,405,788.37         14,639,015,984.60      -407,389,803.77
少数股东权益                         1,789,278,709.55          1,789,278,709.55
所有者权益(或股东权益)合计                16,835,684,497.92         16,428,294,694.15      -407,389,803.77
负债和所有者权益(或股东权益)合计             44,533,854,391.40         42,829,114,088.91     -1,704,740,302.49
          报表项目               更正前金额                    更正后金额                更正金额
应收账款                          6,402,340,223.56        4,953,609,698.26    -1,448,730,525.30
其他应收款                        10,769,391,854.32       10,431,474,345.52     -337,917,508.80
流动资产合计                       20,093,548,381.02       18,306,900,346.92    -1,786,648,034.10
资产总计                         32,561,366,559.91       30,774,718,525.81    -1,786,648,034.10
应付账款                          3,587,779,135.57        2,328,004,359.65    -1,259,774,775.92
应交税费                            117,198,341.28            -2,285,113.13    -119,483,454.41
流动负债合计                       15,778,457,611.00       14,399,199,380.67    -1,379,258,230.33
负债合计                         19,231,159,809.19       17,851,901,578.86    -1,379,258,230.33
未分配利润                         3,456,096,625.57        3,048,706,821.80     -407,389,803.77
归属于母公司所有者(股东)权益合计            13,330,206,750.72       12,922,816,946.95     -407,389,803.77
所有者权益(或股东权益)合计               13,330,206,750.72       12,922,816,946.95     -407,389,803.77
负债和所有者权益(或股东权益)合计            32,561,366,559.91       30,774,718,525.81    -1,786,648,034.10
         报表项目            更正前金额                   更正后金额                    更正金额
一、营业总收入                10,176,449,579.48         9,995,633,441.62          -180,816,137.86
其中:营业收入                10,176,449,579.48         9,995,633,441.62          -180,816,137.86
二、营业总成本                 9,504,763,871.84         9,391,299,671.84          -113,464,200.00
其中:营业成本                 7,558,533,472.65         7,445,069,272.65          -113,464,200.00
信用减值损失                   -264,662,207.26          -238,666,750.73            25,995,456.53
三、营业利润                    638,107,530.64           596,751,049.31           -41,356,481.33
四、利润总额                    630,389,463.26           589,032,981.93           -41,356,481.33
五、净利润                     427,564,838.56           386,208,357.23           -41,356,481.33
归属于母公司所有者的净利润             359,409,038.26           318,052,556.93           -41,356,481.33
少数股东损益                     68,155,800.30            68,155,800.30
六、综合收益总额
(一)归属于母公司股东的综合收益总
                                                                            -41,356,481.33
额                         360,601,434.46           319,244,953.13
(二)归属于少数股东的综合收益总额          68,155,800.30            68,155,800.30
七、每股收益
(一)基本每股收益                              0.21                  0.18                     -0.03
(二)稀释每股收益                              0.21                  0.18                     -0.03
       报表项目        更正前金额                      更正后金额                       更正金额
一、营业总收入             2,343,398,379.04             2,162,582,241.18          -180,816,137.86
其中:营业收入             2,343,398,379.04             2,162,582,241.18          -180,816,137.86
二、营业总成本             2,271,017,730.17             2,157,553,530.17          -113,464,200.00
其中:营业成本             1,648,800,440.63             1,535,336,240.63          -113,464,200.00
信用减值损失              -139,634,215.97               -113,638,759.44              25,995,456.53
三、营业利润               588,055,438.19               546,698,956.86              -41,356,481.33
四、利润总额               588,518,549.19               547,162,067.86              -41,356,481.33
五、净利润                531,177,873.46               489,821,392.13              -41,356,481.33
六、综合收益总额             531,177,873.46               489,821,392.13              -41,356,481.33
  (六)2018 年度财务报表相关影响
          报表项目                更正前金额                      更正后金额                 更正金额
其他应收款                            392,389,075.93            313,822,116.52     -78,566,959.41
流动资产合计                        11,107,523,200.95         11,028,956,241.54     -78,566,959.41
在建工程                          13,335,936,696.60         11,860,905,318.34   -1,475,031,378.26
非流动资产合计                       28,845,178,987.33         27,370,147,609.07   -1,475,031,378.26
资产合计                          39,952,702,188.28         38,399,103,850.61   -1,553,598,337.67
应付票据及应付账款                      6,183,052,474.37          5,038,277,698.45   -1,144,774,775.92
应交税费                             355,629,543.10            312,839,303.79     -42,790,239.31
流动负债合计                        15,750,519,103.93         14,562,954,088.70   -1,187,565,015.23
负债合计                          24,547,071,230.11         23,359,506,214.88   -1,187,565,015.23
未分配利润                          4,832,124,698.56          4,466,091,376.12    -366,033,322.44
归属于母公司股东权益                    14,955,321,489.68         14,589,288,167.24    -366,033,322.44
少数股东权益                           450,309,468.49            450,309,468.49
所有者权益(或股东权益)合计                15,405,630,958.17         15,039,597,635.73    -366,033,322.44
负债和所有者权益(或股东权益)合计             39,952,702,188.28         38,399,103,850.61   -1,553,598,337.67
          报表项目               更正前金额                    更正后金额                  更正金额
应收票据及应收账款                    6,090,583,586.57         4,814,053,061.27      -1,276,530,525.30
其他应收款                        9,740,964,715.67         9,391,387,550.34       -349,577,165.33
流动资产合计                      17,455,940,854.09        15,829,833,163.46      -1,626,107,690.63
资产总计                        29,012,581,758.28        27,386,474,067.65      -1,626,107,690.63
应付票据及应付账款                    4,589,343,507.94         3,444,568,732.02      -1,144,774,775.92
应交税费                           200,629,598.39            85,330,006.12       -115,299,592.27
流动负债合计                      13,296,189,923.41        12,036,115,555.22      -1,260,074,368.19
负债合计                        15,736,189,923.41        14,476,115,555.22      -1,260,074,368.19
未分配利润                        3,135,276,951.20         2,769,243,628.76       -366,033,322.44
归属于母公司所有者(股东)权益合计           13,276,391,834.87        12,910,358,512.43       -366,033,322.44
所有者权益(或股东权益)合计              13,276,391,834.87        12,910,358,512.43       -366,033,322.44
负债和所有者权益(或股东权益)合计           29,012,581,758.28        27,386,474,067.65      -1,626,107,690.63
          报表项目                 更正前金额                         更正后金额                       更正金额
一、营业总收入                         10,993,780,615.16             10,620,090,430.19       -373,690,184.97
其中:营业收入                         10,993,780,615.16             10,620,090,430.19       -373,690,184.97
二、营业总成本                         10,283,590,784.48             10,000,094,774.91       -283,496,009.57
其中:营业成本                          7,949,709,179.57              7,685,923,612.40       -263,785,567.17
销售费用                               257,822,801.51               243,556,795.01         -14,266,006.50
资产减值损失                             265,104,313.39               259,659,877.49           -5,444,435.90
三、营业利润                             812,827,956.55               722,633,781.15         -90,194,175.40
四、利润总额                             831,349,414.55               741,155,239.15         -90,194,175.40
五、净利润                              689,372,741.53               599,178,566.13         -90,194,175.40
归属于母公司所有者的净利润                      643,907,329.38               553,713,153.98         -90,194,175.40
少数股东损益                                 45,465,412.15              45,465,412.15
六、综合收益总额
(一)归属于母公司股东的综合收益总额                 645,728,315.32               555,534,139.92         -90,194,175.40
(二)归属于少数股东的综合收益总额                      45,465,412.15              45,465,412.15
七、每股收益
(一)基本每股收益                                       0.38                          0.32               -0.06
(二)稀释每股收益                                       0.38                          0.32               -0.06
       报表项目       更正前金额                        更正后金额                             更正金额
一、营业总收入             3,504,124,631.05             3,130,434,446.08                     -373,690,184.97
其中:营业收入             3,504,124,631.05             3,130,434,446.08                     -373,690,184.97
二、营业总成本             3,268,470,752.15             2,984,974,742.58                     -283,496,009.57
其中:营业成本             2,303,917,010.78             2,040,131,443.61                     -263,785,567.17
销售费用                  59,517,819.04                    45,251,812.54                   -14,266,006.50
资产减值损失               181,347,964.17                175,903,528.27                        -5,444,435.90
三、营业利润               260,402,593.58                170,208,418.18                      -90,194,175.40
四、利润总额               260,501,750.40                170,307,575.00                      -90,194,175.40
五、净利润                227,993,853.90                137,799,678.50                      -90,194,175.40
六、综合收益总额             227,993,853.90                137,799,678.50                      -90,194,175.40
  (七)2017 年度财务报表相关影响
          报表项目                 更正前金额                      更正后金额                        更正金额
其他应收款                            429,277,078.83             370,921,464.40             -58,355,614.43
流动资产合计                        10,546,440,841.33          10,488,085,226.90             -58,355,614.43
在建工程                          12,886,396,491.65           11,717,383,412.54          -1,169,013,079.11
非流动资产合计                       22,769,077,152.11          21,600,064,073.00           -1,169,013,079.11
资产合计                          33,315,517,993.44          32,088,149,299.90           -1,227,368,693.54
应付账款                      3,362,917,184.18        2,491,011,636.18        -871,905,548.00
应交税费                        590,412,323.58         510,788,325.08          -79,623,998.50
流动负债合计                   12,019,631,989.76       11,068,102,443.26        -951,529,546.50
负债合计                     18,246,429,817.91      17,294,900,271.41         -951,529,546.50
未分配利润                     4,718,153,550.17        4,442,314,403.13        -275,839,147.04
归属于母公司股东权益               14,817,421,232.24      14,541,582,085.20         -275,839,147.04
少数股东权益                      251,666,943.29         251,666,943.29
所有者权益(或股东权益)合计           15,069,088,175.53      14,793,249,028.49         -275,839,147.04
负债和所有者权益(或股东权益)合计        33,315,517,993.44      32,088,149,299.90        -1,227,368,693.54
          报表项目          更正前金额                   更正后金额                     更正金额
应收账款                     4,295,492,536.95        3,542,760,483.84         -752,732,053.11
其他应收款                   11,057,928,129.47       10,584,763,227.30         -473,164,902.17
流动资产合计                  18,396,655,062.06       17,170,758,106.78        -1,225,896,955.28
资产总计                    26,023,064,664.89       24,797,167,709.61        -1,225,896,955.28
应付账款                     2,384,780,332.87        1,512,874,784.87         -871,905,548.00
应交税费                      458,310,732.83          380,158,472.59           -78,152,260.24
流动负债合计                  10,132,629,888.32        9,182,572,080.08         -950,057,808.24
负债合计                    12,467,529,888.32       11,517,472,080.08         -950,057,808.24
未分配利润                    3,437,219,278.29        3,161,380,131.25         -275,839,147.04
归属于母公司所有者(股东)权益合计       13,555,534,776.57       13,279,695,629.53         -275,839,147.04
所有者权益(或股东权益)合计          13,555,534,776.57       13,279,695,629.53         -275,839,147.04
负债和所有者权益(或股东权益)合计       26,023,064,664.89       24,797,167,709.61        -1,225,896,955.28
          报表项目             更正前金额                     更正后金额                   更正金额
一、营业总收入                      9,358,384,719.85         8,695,431,672.10    -662,953,047.75
其中:营业收入                      9,358,384,719.85         8,695,431,672.10    -662,953,047.75
二、营业总成本                      7,987,664,033.85         7,452,786,350.98    -534,877,682.87
其中:营业成本                      6,461,821,565.13         5,930,023,366.94    -531,798,198.19
资产减值损失                          14,358,890.97            11,279,406.29       -3,079,484.68
三、营业利润                       1,446,427,640.24         1,318,352,275.36    -128,075,364.88
四、利润总额                       1,507,532,172.03         1,379,456,807.15    -128,075,364.88
五、净利润                        1,268,620,431.68         1,140,545,066.80    -128,075,364.88
归属于母公司所有者的净利润                1,251,152,164.70         1,123,076,799.82    -128,075,364.88
少数股东损益                          17,468,266.98            17,468,266.98
六、综合收益总额
(一)归属于母公司股东的综合收益总额           1,250,032,701.63         1,121,957,336.75    -128,075,364.88
(二)归属于少数股东的综合收益总额               17,468,266.98            17,468,266.98
七、每股收益
(一)基本每股收益                                        1.27                       1.10             -0.17
(二)稀释每股收益                                        1.27                       1.10             -0.17
       报表项目       更正前金额                     更正后金额                              更正金额
一、营业总收入             4,778,428,478.35              4,115,475,430.60                 -662,953,047.75
其中:营业收入             4,778,428,478.35              4,115,475,430.60                 -662,953,047.75
二、营业总成本             3,836,050,534.11             3,301,172,851.24                  -534,877,682.87
其中:营业成本             3,051,192,332.55             2,519,394,134.36                  -531,798,198.19
资产减值损失                -26,423,662.28                -29,503,146.96                   -3,079,484.68
三、营业利润               958,386,948.71                 830,311,583.83                 -128,075,364.88
四、利润总额               958,532,114.00                 830,456,749.12                 -128,075,364.88
五、净利润                817,618,337.19                 689,542,972.31                 -128,075,364.88
六、综合收益总额             817,618,337.19                 689,542,972.31                 -128,075,364.88
  (八)2016 年度财务报表相关影响
          报表项目                  更正前金额                      更正后金额                    更正金额
其他应收款                             389,468,856.89             386,531,559.59          -2,937,297.30
流动资产合计                           7,634,849,944.91          7,631,912,647.61          -2,937,297.30
在建工程                             9,361,665,310.78          8,930,001,852.93        -431,663,457.85
非流动资产合计                         15,308,745,411.51         14,877,081,953.66        -431,663,457.85
资产合计                           22,943,595,356.42          22,508,994,601.27        -434,600,755.15
应付账款                             1,785,301,378.22          1,503,691,830.22        -281,609,548.00
应交税费                              265,058,420.62             259,830,995.63          -5,227,424.99
流动负债合计                          11,203,251,957.75         10,916,414,984.76        -286,836,972.99
负债合计                           14,572,199,171.31          14,285,362,198.32        -286,836,972.99
未分配利润                            3,761,022,735.19          3,613,258,953.03        -147,763,782.16
归属于母公司股东权益                       8,227,600,715.32          8,079,836,933.16        -147,763,782.16
少数股东权益                            143,795,469.79             143,795,469.79
所有者权益(或股东权益)合计                   8,371,396,185.11          8,223,632,402.95        -147,763,782.16
负债和所有者权益(或股东权益)合计              22,943,595,356.42          22,508,994,601.27        -434,600,755.15
          报表项目               更正前金额                      更正后金额                      更正金额
应收账款                          1,791,872,089.69           1,771,040,602.59           -20,831,487.10
其他应收款                         9,162,360,892.72           8,748,591,624.67          -413,769,268.05
流动资产合计                       13,174,537,386.95          12,739,936,631.80          -434,600,755.15
资产总计                         17,746,143,184.37          17,311,542,429.22          -434,600,755.15
应付账款                          1,047,592,776.14            765,983,228.14           -281,609,548.00
应交税费                            161,808,077.69            156,580,652.70             -5,227,424.99
流动负债合计                        9,148,918,794.97           8,862,081,821.98          -286,836,972.99
负债合计                         10,348,918,794.97          10,062,081,821.98          -286,836,972.99
未分配利润                         2,913,622,290.82           2,765,858,508.66          -147,763,782.16
归属于母公司所有者(股东)权益合计             7,397,224,389.40           7,249,460,607.24          -147,763,782.16
所有者权益(或股东权益)合计                7,397,224,389.40           7,249,460,607.24          -147,763,782.16
负债和所有者权益(或股东权益)合计            17,746,143,184.37          17,311,542,429.22          -434,600,755.15
          报表项目                   更正前金额                       更正后金额                   更正金额
一、营业总收入                           6,916,555,472.08            6,799,255,350.30     -117,300,121.78
其中:营业收入                           6,916,555,472.08            6,799,255,350.30     -117,300,121.78
二、营业总成本                           5,726,430,082.62            5,650,702,831.92      -75,727,250.70
其中:营业成本                           4,642,212,838.75            4,566,640,182.64      -75,572,656.11
资产减值损失                                 11,971,024.20             11,816,429.61         -154,594.59
三、营业利润                            1,201,968,394.65            1,160,395,523.57      -41,572,871.08
四、利润总额                            1,299,179,658.88            1,257,606,787.80      -41,572,871.08
五、净利润                             1,083,565,280.18            1,041,992,409.10      -41,572,871.08
归属于母公司所有者的净利润                     1,081,359,378.10            1,039,786,507.02      -41,572,871.08
少数股东损益                                  2,205,902.08              2,205,902.08
六、综合收益总额
(一)归属于母公司股东的综合收益总额                1,081,422,203.14            1,039,849,332.06      -41,572,871.08
(二)归属于少数股东的综合收益总额                       2,205,902.08              2,205,902.08
七、每股收益
(一)基本每股收益                                        1.25                       1.22             -0.03
(二)稀释每股收益                                        1.25                       1.22             -0.03
       报表项目      更正前金额                        更正后金额                            更正金额
一、营业总收入             3,699,902,144.90             3,582,602,023.12                  -117,300,121.78
其中:营业收入             3,699,902,144.90             3,582,602,023.12                  -117,300,121.78
二、营业总成本             2,931,469,091.92             2,855,741,841.22                   -75,727,250.70
其中:营业成本             2,340,908,458.25             2,265,335,802.14                   -75,572,656.11
资产减值损失                -56,018,289.49               -56,172,884.08                      -154,594.59
三、营业利润               781,048,036.20                739,475,165.12                   -41,572,871.08
四、利润总额               781,811,426.95                740,238,555.87                   -41,572,871.08
五、净利润                682,392,955.12                640,820,084.04                   -41,572,871.08
六、综合收益总额             682,392,955.12                640,820,084.04                   -41,572,871.08
  (九)2015 年度财务报表相关影响
          报表项目             更正前金额                   更正后金额               更正金额
在建工程                       6,224,631,920.06        5,915,496,008.98   -309,135,911.08
非流动资产合计                    9,896,890,455.80        9,587,754,544.72   -309,135,911.08
资产合计                      15,848,697,209.36       15,539,561,298.28   -309,135,911.08
应付账款                       1,753,267,313.13        1,550,322,313.13   -202,945,000.00
流动负债合计                     7,321,483,508.74        1,550,322,313.13   -202,945,000.00
负债合计                       9,565,022,102.30        9,362,077,102.30   -202,945,000.00
未分配利润                      2,876,047,289.60        2,769,856,378.52   -106,190,911.08
归属于母公司股东权益                 6,129,203,136.23        6,023,012,225.15   -106,190,911.08
所有者权益(或股东权益)合计             6,283,675,107.06        6,177,484,195.98   -106,190,911.08
负债和所有者权益(或股东权益)合计         15,848,697,209.36       15,539,561,298.28   -309,135,911.08
          报表项目           更正前金额                  更正后金额                 更正金额
应收账款                     2,893,587,688.15        2,665,087,688.15     -228,500,000.00
其他应收款                    6,472,697,156.73        6,392,061,245.65      -80,635,911.08
流动资产合计                  10,609,290,092.09       10,300,154,181.01     -309,135,911.08
资产总计                    13,384,962,401.17       13,075,826,490.09     -309,135,911.08
应付账款                     1,272,861,048.78        1,069,916,048.78     -202,945,000.00
流动负债合计                   6,207,417,867.85        6,004,472,867.85     -202,945,000.00
负债合计                     7,707,417,867.85        7,504,472,867.85     -202,945,000.00
未分配利润                    2,427,613,268.21        2,321,422,357.13     -106,190,911.08
归属于母公司所有者(股东)权益合计        5,677,544,533.32        5,571,353,622.24     -106,190,911.08
所有者(股东)权益合计              5,677,544,533.32        5,571,353,622.24     -106,190,911.08
负债和所有者(股东)权益总计          13,384,962,401.17       13,075,826,490.09     -309,135,911.08
           报表项目              更正前金额                  更正后金额              更正金额
一、营业总收入                      6,340,587,189.57      6,028,367,189.57   -312,220,000.00
其中:营业收入                      6,340,587,189.57      6,028,367,189.57   -312,220,000.00
二、营业总成本                      5,300,209,007.60      5,094,179,918.68   -206,029,088.92
其中:营业成本                      4,404,209,791.67      4,198,180,702.75   -206,029,088.92
三、营业利润                       1,049,233,743.30        943,042,832.22   -106,190,911.08
四、利润总额                       1,109,493,758.83      1,003,302,847.75   -106,190,911.08
五、净利润                         934,760,827.23         828,569,916.15   -106,190,911.08
归属于母公司所有者的净利润                 930,739,577.21         824,548,666.13   -106,190,911.08
少数股东损益                           4,021,250.02          4,021,250.02
六、综合收益总额
(一)归属于母公司股东的综合收益总额            930,799,632.86         824,608,721.78   -106,190,911.08
(二)归属于少数股东的综合收益总额                      4,021,250.02         4,021,250.02
七、每股收益
(一)基本每股收益                                      1.10                 0.98              -0.12
(二)稀释每股收益                                      1.09                 0.97              -0.12
     报表项目          更正前金额                     更正后金额                         更正金额
一、营业总收入             4,412,803,974.29            4,100,583,974.29            -312,220,000.00
其中:营业收入             4,412,803,974.29            4,100,583,974.29            -312,220,000.00
二、营业总成本             3,517,153,819.98            3,311,124,731.06            -206,029,088.92
其中:营业成本             2,857,377,107.56            2,651,348,018.64            -206,029,088.92
三、营业利润               903,245,179.42              797,054,268.34             -106,190,911.08
四、利润总额               936,833,675.21              830,642,764.13             -106,190,911.08
五、净利润                807,450,784.42              701,259,873.34             -106,190,911.08
六、综合收益总额             807,450,784.42              701,259,873.34             -106,190,911.08
  三、会计师事务所就更正事项出具专项说明
  大信会计师事务所(特殊普通合伙)对本次前期差错更正事项出具了专项说明。具体内
容详见公司同日在巨潮资讯网(http://www.cninfo.com.cn)披露的《前期会计差错更正情况
审核报告》
    (大信专审字[2022]第 2-00236 号)。
  四、公司董事会、监事会意见和独立董事独立意见
  (一)董事会意见
  董事会同意公司根据《企业会计准则第 28 号—会计政策、会计估计变更及差错更正》
和《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,对公司 2015-2020 年度及 2021 年第一至第三季度中的前期差错进行更正及追
溯调整,本次前期差错更正是必要的、合理的,更正后的信息能够更加客观、公允地反映公
司的财务状况和经营成果,未损害公司和全体股东的合法权益。
  (二)监事会意见
  监事会认为:公司本次会计差错更正符合《企业会计准则第 28 号—会计政策、会计估
计变更及差错更正》
        《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,更正后的信息能够更加客观、公允地反映公司的财务状况和经
营成果,符合公司实际经营情况及财务状况。公司独立董事发表了明确意见,董事会关于本
次前期差错更正及追溯调整事项的审议和表决程序符合法律、法规以及《公司章程》等有关
规定,不存在损害公司和全体股东的情况,监事会同意本次前期差错更正及追溯调整事项。
  (三)独立董事意见
  独立董事认为:公司本次会计差错更正符合《企业会计准则第 28 号——会计政策、会
计估计变更和差错更正》
          《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》的有关规定。更正后的财务数据及财务报表能够更加客观、准确地反映公司
实际经营情况和财务状况,有利于提高公司会计信息质量。董事会关于本次会计差错更正的
审议和表决程序符合法律、法规以及《公司章程》等有关规定,同意本次会计差错更正事项。
  五、备查文件
  特此公告。
                            启迪环境科技发展股份有限公司董事会
                                      二〇二二年四月三十日

微信
扫描二维码
关注
证券之星微信
相关股票:
好投资评级:
好价格评级:
证券之星估值分析提示启迪环境盈利能力较差,未来营收成长性较差。综合基本面各维度看,股价偏高。 更多>>
下载证券之星
郑重声明:以上内容与证券之星立场无关。证券之星发布此内容的目的在于传播更多信息,证券之星对其观点、判断保持中立,不保证该内容(包括但不限于文字、数据及图表)全部或者部分内容的准确性、真实性、完整性、有效性、及时性、原创性等。相关内容不对各位读者构成任何投资建议,据此操作,风险自担。股市有风险,投资需谨慎。如对该内容存在异议,或发现违法及不良信息,请发送邮件至jubao@stockstar.com,我们将安排核实处理。
网站导航 | 公司简介 | 法律声明 | 诚聘英才 | 征稿启事 | 联系我们 | 广告服务 | 举报专区
欢迎访问证券之星!请点此与我们联系 版权所有: Copyright © 1996-