江苏舜天: 江苏舜天关于会计差错更正的公告

证券之星 2022-04-30 00:00:00
关注证券之星官方微博:
   证券代码:600287 股票简称:江苏舜天编号:临 2022-008
           江苏舜天股份有限公司
          关于会计差错更正的公告
  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个别及连带责任。
  重要内容提示
  ?本次差错更正涉及 2009 年度至 2020 年度合并财务报表及母公司财务报表、
利润总额、净利润、归属于上市公司股东的净利润均无影响,亦不存在损害公司
及股东利益的情形。
  一、本次差错更正概述
  公司对通讯器材业务的商业模式重新进行了梳理,为更加严谨地执行收入准
则,经过审慎研究,公司决定将通讯器材业务的收入确认方法由“总额法”调整
为“净额法”。
  公司董事会、监事会审议通过了《关于会计差错更正的议案》,公司独立董
事发表了独立意见。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》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》的相关规定,本次更正涉及 2009 年度至 2020 年度合并财务
报表及母公司财务报表、2021 年第三季度合并财务报表。
  二、本次会计差错更正对财务状况和经营成果的影响
  本次差错更正对公司总资产、归属于上市公司股东的净资产、利润总额、净
利润、归属于上市公司股东的净利润均无影响,亦不存在损害公司及股东利益的
情形。对前述财务报表的具体影响如下述,金额单位均为人民币元。
  (一)对 2009 年度财务报表的影响
     项目          更正前金额              更正金额              更正后金额
    预付款项          561,176,780.74     -32,531,145.38    528,645,635.36
    其他应收款         301,214,816.14     64,124,649.65     365,339,465.79
     存货          1,022,124,569.28    -31,593,504.27    990,531,065.01
    预收账款          399,241,958.94     -78,242,355.31    320,999,603.63
    其他应付款         392,641,083.65     78,242,355.31     470,883,438.96
     项目          更正前金额              更正金额              更正后金额
    预付款项          365,268,819.91     -32,531,145.38    332,737,674.53
    其他应收款         792,664,180.91     64,124,649.65     856,788,830.56
     存货           107,568,369.65     -31,593,504.27     75,974,865.38
    预收账款          230,354,042.87     -78,242,355.31    152,111,687.56
    其他应付款         151,262,488.98     78,242,355.31     229,504,844.29
     项目          更正前金额              更正金额              更正后金额
    营业收入         4,149,143,218.04   -151,597,880.30   3,997,545,337.74
    营业成本         3,802,443,943.48   -151,597,880.30   3,650,846,063.18
     项目          更正前金额              更正金额              更正后金额
    营业收入         1,006,327,683.23   -151,597,880.30    854,729,802.93
    营业成本          925,475,318.72    -151,597,880.30    773,877,438.42
      项目          更正前金额             更正金额              更正后金额
销售商品、提供劳务收到的现金   4,575,166,081.03   -260,532,765.00   4,314,633,316.03
收到其他与经营活动有关的现金     354,721,968.57    260,532,765.00    615,254,733.57
购买商品、接受劳务支付的现金   4,363,104,025.30   -250,489,368.05   4,112,614,657.25
支付其他与经营活动有关的现金     500,259,869.29    250,489,368.05    750,749,237.34
      项目          更正前金额             更正金额              更正后金额
销售商品、提供劳务收到的现金   1,316,746,115.91   -260,532,765.00   1,056,213,350.91
收到其他与经营活动有关的现金     283,879,564.42    260,532,765.00    544,412,329.42
购买商品、接受劳务支付的现金   1,071,943,054.96   -250,489,368.05    821,453,686.91
支付其他与经营活动有关的现金     293,470,241.28    250,489,368.05    543,959,609.33
  (二)对 2010 年度财务报表的影响
     项目          更正前金额              更正金额              更正后金额
    预付款项          750,331,045.01    -136,904,351.20    613,426,693.81
    其他应收款         255,121,025.78    145,802,770.03     400,923,795.81
     存货          1,120,809,669.94     -8,898,418.83   1,111,911,251.11
     项目          更正前金额              更正金额              更正后金额
    预付款项          373,301,569.01    -136,904,351.20    236,397,217.81
    其他应收款         959,676,874.55    145,802,770.03    1,105,479,644.58
     存货           119,723,881.35      -8,898,418.83    110,825,462.52
     项目          更正前金额              更正金额              更正后金额
    营业收入         5,568,452,607.98   -307,117,384.62   5,261,335,223.36
    营业成本         5,128,928,961.32   -307,117,384.62   4,821,811,576.70
     项目          更正前金额              更正金额              更正后金额
    营业收入         1,630,998,622.63   -308,779,222.13   1,322,219,400.50
    营业成本         1,544,071,796.26   -308,779,222.13   1,235,292,574.13
      项目          更正前金额             更正金额              更正后金额
销售商品、提供劳务收到的现金   5,674,772,772.77   -345,493,742.00   5,329,279,030.77
收到其他与经营活动有关的现金     212,148,280.84    345,493,742.00    557,642,022.84
购买商品、接受劳务支付的现金   5,618,954,056.86   -314,797,497.28   5,304,156,559.58
支付其他与经营活动有关的现金     248,171,873.62    314,797,497.28    562,969,370.90
      项目          更正前金额             更正金额              更正后金额
销售商品、提供劳务收到的现金   1,551,335,781.89   -345,493,742.00   1,205,842,039.89
收到其他与经营活动有关的现金     117,743,460.47    345,493,742.00    463,237,202.47
购买商品、接受劳务支付的现金   1,482,243,133.16   -316,741,847.20   1,165,501,285.96
支付其他与经营活动有关的现金     147,656,337.01    316,741,847.20    464,398,184.21
  (三)对 2011 年度财务报表的影响
     项目          更正前金额              更正金额              更正后金额
    预付款项          897,272,335.40    -345,514,690.00    551,757,645.40
    其他应收款         163,494,260.33    512,410,288.15     675,904,548.48
     存货           492,880,905.33    -166,895,598.15    325,985,307.18
    预收账款          550,254,127.93    -307,431,348.00    242,822,779.93
    其他应付款         143,646,040.45    307,431,348.00     451,077,388.45
     项目          更正前金额              更正金额              更正后金额
    预付款项          596,296,698.72    -345,514,690.00    250,782,008.72
    其他应收款         808,668,962.71    512,410,288.15    1,321,079,250.86
     存货           256,773,211.33    -166,895,598.15     89,877,613.18
    预收账款          346,364,132.76    -307,431,348.00     38,932,784.76
    其他应付款         251,665,678.28    307,431,348.00     559,097,026.28
     项目          更正前金额              更正金额              更正后金额
    营业收入         5,929,160,117.73   -401,183,581.47   5,527,976,536.26
    营业成本         5,465,195,608.05   -401,183,581.47   5,064,012,026.58
     项目          更正前金额              更正金额              更正后金额
    营业收入         1,618,431,537.44   -406,240,632.72   1,212,190,904.72
    营业成本         1,499,378,858.45   -406,240,632.72   1,093,138,225.73
      项目          更正前金额             更正金额              更正后金额
销售商品、提供劳务收到的现金   6,475,420,831.40   -782,245,891.00   5,693,174,940.40
收到其他与经营活动有关的现金     472,323,630.28    782,245,891.00   1,254,569,521.28
购买商品、接受劳务支付的现金   6,584,456,653.42   -441,687,128.81   6,142,769,524.61
支付其他与经营活动有关的现金     209,244,284.26    441,687,128.81    650,931,413.07
      项目          更正前金额             更正金额              更正后金额
销售商品、提供劳务收到的现金   1,945,941,750.40   -782,245,891.00   1,163,695,859.40
收到其他与经营活动有关的现金     330,936,035.09    782,245,891.00   1,113,181,926.09
购买商品、接受劳务支付的现金   2,112,079,792.79   -447,603,878.80   1,664,475,913.99
支付其他与经营活动有关的现金      75,711,523.97    447,603,878.80    523,315,402.77
  (四)对 2012 年度财务报表的影响
     项目          更正前金额              更正金额              更正后金额
    预付款项         1,010,877,978.74   -437,964,402.67    572,913,576.07
    其他应收款         211,803,401.70    467,655,171.89     679,458,573.59
     存货           301,371,487.86     -29,690,769.22    271,680,718.64
    预收账款          455,593,061.44    -233,731,507.68    221,861,553.76
    其他应付款         272,778,962.62    233,731,507.68     506,510,470.30
     项目          更正前金额              更正金额              更正后金额
    预付款项          663,806,347.60    -460,461,902.67    203,344,444.93
    其他应收款         782,475,770.50    490,152,671.89    1,272,628,442.39
     存货           104,673,848.67     -29,690,769.22     74,983,079.45
    预收账款          313,876,404.66    -233,731,507.68     80,144,896.98
    其他应付款         160,141,511.30    233,731,507.68     393,873,018.98
     项目          更正前金额              更正金额              更正后金额
    营业收入         5,732,116,112.89   -1,051,275,717.43   4,680,840,395.46
    营业成本         5,250,621,077.07   -1,051,275,717.43   4,199,345,359.64
     项目          更正前金额                更正金额              更正后金额
    营业收入         2,243,342,501.34   -1,057,424,777.37   1,185,917,723.97
    营业成本         2,086,671,875.48   -1,057,424,777.37   1,029,247,098.11
      项目          更正前金额               更正金额              更正后金额
销售商品、提供劳务收到的现金   6,119,138,026.12   -1,247,595,205.00   4,871,542,821.12
收到其他与经营活动有关的现金      83,354,791.91    1,247,595,205.00   1,330,949,996.91
购买商品、接受劳务支付的现金   6,170,902,723.44   -1,156,315,369.69   5,014,587,353.75
支付其他与经营活动有关的现金     231,095,522.92    1,156,315,369.69   1,387,410,892.61
      项目          更正前金额               更正金额              更正后金额
销售商品、提供劳务收到的现金   2,446,212,090.84   -1,247,595,205.00   1,198,616,885.84
收到其他与经营活动有关的现金     478,933,158.08    1,247,595,205.00   1,726,528,363.08
购买商品、接受劳务支付的现金   2,565,844,423.54   -1,151,634,830.00   1,414,209,593.54
支付其他与经营活动有关的现金     518,664,276.35    1,151,634,830.00   1,670,299,106.35
  (五)对 2013 年度财务报表的影响
     项目          更正前金额                更正金额              更正后金额
    预付款项         1,105,881,210.13    -441,933,875.00     663,947,335.13
    其他应收款         114,790,747.59      516,082,787.92     630,873,535.51
     存货           394,041,547.87      -74,148,912.92     319,892,634.95
    预收账款          701,172,974.00     -338,472,566.88     362,700,407.12
    其他应付款         144,123,273.57      338,472,566.88     482,595,840.45
     项目          更正前金额                更正金额              更正后金额
    预付款项          793,400,945.66     -476,618,000.00     316,782,945.66
    其他应收款         145,277,851.10      550,766,912.92     696,044,764.02
     存货           237,962,506.51      -74,148,912.92     163,813,593.59
    预收账款          477,403,734.53     -338,472,566.88     138,931,167.65
    其他应付款         121,162,076.44      338,472,566.88     459,634,643.32
     项目          更正前金额                更正金额              更正后金额
    营业收入         5,797,617,498.58   -1,096,542,042.37   4,701,075,456.21
    营业成本         5,312,439,557.95   -1,096,542,042.37   4,215,897,515.58
     项目          更正前金额                更正金额              更正后金额
    营业收入         2,385,755,334.88   -1,104,621,914.30   1,281,133,420.58
    营业成本         2,219,073,125.16   -1,104,621,914.30   1,114,451,210.86
      项目          更正前金额               更正金额              更正后金额
销售商品、提供劳务收到的现金   6,694,866,865.82   -1,488,555,733.00   5,206,311,132.82
收到其他与经营活动有关的现金     100,565,751.45    1,488,555,733.00   1,589,121,484.45
购买商品、接受劳务支付的现金   6,246,385,020.74   -1,390,550,214.57   4,855,834,806.17
支付其他与经营活动有关的现金     271,258,358.48    1,390,550,214.57   1,661,808,573.05
      项目          更正前金额               更正金额              更正后金额
销售商品、提供劳务收到的现金   2,905,192,612.16   -1,488,555,733.00   1,416,636,879.16
收到其他与经营活动有关的现金     178,956,135.61    1,488,555,733.00   1,667,511,868.61
购买商品、接受劳务支付的现金   2,646,908,971.37   -1,399,605,889.87   1,247,303,081.50
支付其他与经营活动有关的现金     270,681,566.69    1,399,605,889.87   1,670,287,456.56
  (六)对 2014 年度财务报表的影响
     项目          更正前金额                更正金额              更正后金额
    预付款项         1,126,565,410.16    -591,822,260.00     534,743,150.16
    其他应收款         133,063,040.13      634,030,844.49     767,093,884.62
     存货           452,690,793.76      -42,208,584.49     410,482,209.27
    预收账款          652,314,302.59     -300,808,330.04     351,505,972.55
    其他应付款         128,175,724.45      300,808,330.04     428,984,054.49
     项目          更正前金额                更正金额              更正后金额
    预付款项          823,845,833.77     -591,822,260.00     232,023,573.77
    其他应收款         143,351,141.98      634,030,844.49     777,381,986.47
     存货           305,670,705.42      -42,208,584.49     263,462,120.93
    预收账款          468,297,637.77     -300,808,330.04     167,489,307.73
    其他应付款          97,015,796.83      300,808,330.04     397,824,126.87
     项目          更正前金额                更正金额              更正后金额
    营业收入         5,777,576,232.63   -1,038,223,035.03   4,739,353,197.60
    营业成本         5,281,410,009.68   -1,038,223,035.03   4,243,186,974.65
     项目          更正前金额                更正金额              更正后金额
    营业收入         2,489,375,280.59   -1,046,825,364.37   1,442,549,916.22
    营业成本         2,316,674,877.60   -1,046,825,364.37   1,269,849,513.23
      项目          更正前金额               更正金额              更正后金额
销售商品、提供劳务收到的现金   6,132,445,665.56   -1,259,249,334.20   4,873,196,331.36
收到其他与经营活动有关的现金      96,315,515.32    1,259,249,334.20   1,355,564,849.52
购买商品、接受劳务支付的现金   6,282,673,466.25   -1,129,535,839.67   5,153,137,626.58
支付其他与经营活动有关的现金     221,299,560.39    1,129,535,839.67   1,350,835,400.06
      项目          更正前金额               更正金额              更正后金额
销售商品、提供劳务收到的现金   2,613,992,776.88   -1,259,249,334.20   1,354,743,442.68
收到其他与经营活动有关的现金     279,391,584.18    1,259,249,334.20   1,538,640,918.38
购买商品、接受劳务支付的现金   2,906,617,528.12   -1,104,916,439.97   1,801,701,088.15
支付其他与经营活动有关的现金     288,663,446.82    1,104,916,439.97   1,393,579,886.79
  (七)对 2015 年度财务报表的影响
     项目          更正前金额                更正金额              更正后金额
    预付款项          723,899,910.64     -367,576,400.00     356,323,510.64
    其他应收款          74,597,187.92      367,576,400.00     442,173,587.92
    预收账款          508,268,931.86     -140,319,931.00     367,949,000.86
    其他应付款          80,415,861.33      140,319,931.00     220,735,792.33
     项目          更正前金额                更正金额              更正后金额
    预付款项          549,280,385.90     -401,869,400.00     147,410,985.90
    其他应收款         143,379,017.67      401,869,400.00     545,248,417.67
    应付账款           98,444,340.70        -3,608,850.00     94,835,490.70
    预收账款          319,954,913.60     -140,319,931.00     179,634,982.60
    其他应付款         170,911,366.04      143,928,781.00     314,840,147.04
     项目          更正前金额                更正金额              更正后金额
    营业收入         5,840,595,229.28   -1,367,440,895.74   4,473,154,333.54
    营业成本         5,328,162,579.53   -1,367,440,895.74   3,960,721,683.79
     项目          更正前金额                更正金额              更正后金额
    营业收入         2,447,430,469.74   -1,376,578,374.38   1,070,852,095.36
    营业成本         2,272,777,372.43   -1,376,578,374.38    896,198,998.05
      项目          更正前金额               更正金额              更正后金额
销售商品、提供劳务收到的现金   6,342,792,957.39   -1,590,850,193.00   4,751,942,764.39
收到其他与经营活动有关的现金     235,931,148.53    1,590,850,193.00   1,826,781,341.53
购买商品、接受劳务支付的现金   5,851,399,610.51   -1,470,499,491.77   4,380,900,118.75
支付其他与经营活动有关的现金     426,238,909.57    1,470,499,491.77   1,896,738,401.34
      项目          更正前金额               更正金额              更正后金额
销售商品、提供劳务收到的现金   2,746,736,973.81   -1,590,850,193.00   1,155,886,780.81
收到其他与经营活动有关的现金      79,455,866.85   1,590,850,193.00    1,670,306,059.85
购买商品、接受劳务支付的现金   2,390,707,623.27   -1,516,874,491.94    873,833,131.33
支付其他与经营活动有关的现金      83,642,114.01   1,516,874,491.94    1,600,516,605.95
  (八)对 2016 年度财务报表的影响
     项目          更正前金额               更正金额               更正后金额
    预付款项          792,318,255.04     -472,612,000.00     319,706,255.04
    其他应收款         153,242,241.00      472,612,000.00     625,854,241.00
    预收账款          490,457,051.08      -40,032,880.00     450,424,171.08
    其他应付款          83,977,526.82       40,032,880.00     124,010,406.82
     项目          更正前金额               更正金额               更正后金额
    预付款项          506,794,286.65     -472,612,000.00      34,182,286.65
    其他应收款         186,354,355.59      472,612,000.00     658,966,355.59
    预收账款          226,628,031.05      -40,032,880.00     186,595,151.05
    其他应付款         214,164,865.39       40,032,880.00     254,197,745.39
     项目          更正前金额               更正金额               更正后金额
    营业收入         4,750,509,492.11    -696,192,478.97    4,054,317,013.14
    营业成本         4,228,216,894.43    -696,192,478.97    3,532,024,415.46
     项目          更正前金额               更正金额               更正后金额
    营业收入         1,400,740,146.57    -702,694,615.66     698,045,530.91
    营业成本         1,230,172,542.59    -702,694,615.66     527,477,926.93
      项目         更正前金额              更正金额              更正后金额
销售商品、提供劳务收到的现金   4,992,487,706.93   -915,935,349.00   4,076,552,357.93
收到其他与经营活动有关的现金    166,601,894.03     915,935,349.00   1,082,537,243.03
购买商品、接受劳务支付的现金   4,681,135,429.86   -799,885,199.95   3,881,250,229.91
支付其他与经营活动有关的现金    343,388,168.09     799,885,199.95   1,143,273,368.04
      项目         更正前金额              更正金额              更正后金额
销售商品、提供劳务收到的现金   1,516,025,980.99   -915,935,349.00    600,090,631.99
收到其他与经营活动有关的现金     70,530,530.37     915,935,349.00    986,465,879.37
购买商品、接受劳务支付的现金   1,319,332,408.86   -812,781,550.00    506,550,858.86
支付其他与经营活动有关的现金     58,506,719.15     812,781,550.00    871,288,269.15
  (九)对 2017 年度财务报表的影响
     项目          更正前金额              更正金额              更正后金额
    应收账款          375,554,759.73     -61,761,425.27    313,793,334.46
    预付款项          726,843,131.59    -338,615,500.00    388,227,631.59
    其他应收款          68,739,328.66    400,376,925.27     469,116,253.93
    应付账款          447,865,674.71     -70,743,174.02    377,122,500.69
    预收账款          534,903,247.07    -141,264,654.00    393,638,593.07
    其他应付款          69,717,426.30    212,007,828.02     281,725,254.32
     项目          更正前金额              更正金额              更正后金额
    应收账款           86,999,074.45     -61,761,425.27     25,237,649.18
    预付款项          459,278,004.00    -338,615,500.00    120,662,504.00
    其他应收款         133,282,841.67    400,376,925.27     533,659,766.94
    应付账款          173,215,587.34     -70,743,174.02    102,472,413.32
    预收账款          311,954,479.47    -141,264,654.00    170,689,825.47
    其他应付款         159,734,944.54    212,007,828.02     371,742,772.56
     项目          更正前金额              更正金额              更正后金额
    营业收入         5,499,472,798.93    -847,442,296.08    4,652,030,502.85
    营业成本         4,995,654,404.90    -847,442,296.08    4,148,212,108.82
     项目          更正前金额               更正金额               更正后金额
    营业收入         2,080,801,897.23    -855,857,270.65    1,224,944,626.58
    营业成本         1,943,700,501.13    -855,857,270.65    1,087,843,230.48
      项目          更正前金额               更正金额              更正后金额
销售商品、提供劳务收到的现金   5,705,067,033.91   -1,157,793,664.00   4,547,273,369.91
收到其他与经营活动有关的现金     145,988,640.38   1,157,793,664.00    1,303,782,304.38
购买商品、接受劳务支付的现金   5,699,577,307.05   -1,031,644,669.28   4,667,932,637.77
支付其他与经营活动有关的现金     229,371,005.18   1,031,644,669.28    1,261,015,674.46
      项目          更正前金额               更正金额              更正后金额
销售商品、提供劳务收到的现金   2,233,662,305.05   -1,157,793,664.00   1,075,868,641.05
收到其他与经营活动有关的现金      69,658,061.95   1,157,793,664.00    1,227,451,725.95
购买商品、接受劳务支付的现金   2,252,889,219.84   -1,041,490,189.30   1,211,399,030.54
支付其他与经营活动有关的现金      56,982,837.95   1,041,490,189.30    1,098,473,027.25
  (十)对 2018 年度财务报表的影响
     项目          更正前金额               更正金额               更正后金额
    预付款项          663,210,247.24     -386,347,070.00     276,863,177.24
    其他应收款          75,565,813.04      386,347,070.00     461,912,883.04
  应付票据及应付账款       761,824,641.11      -62,628,060.20     699,196,580.91
    预收账款          648,047,699.45     -412,454,480.00     235,593,219.45
    其他应付款          58,769,672.27      475,082,540.20     533,852,212.47
     项目          更正前金额               更正金额               更正后金额
    预付款项          453,341,659.62    -386,347,070.00     66,994,589.62
    其他应收款         140,164,890.19    386,347,070.00     526,511,960.19
  应付票据及应付账款       533,688,111.86     -62,628,060.20    471,060,051.66
    预收账款          498,332,718.71    -412,454,480.00     85,878,238.71
    其他应付款         111,675,000.25    475,082,540.20     586,757,540.45
     项目          更正前金额              更正金额              更正后金额
    营业收入         5,364,499,251.95   -442,777,886.93   4,921,721,365.02
    营业成本         4,860,758,892.80   -442,777,886.93   4,417,981,005.87
     项目          更正前金额              更正金额              更正后金额
    营业收入         1,727,388,865.89   -442,777,886.93   1,284,610,978.96
    营业成本         1,581,034,115.71   -442,777,886.93   1,138,256,228.78
      项目          更正前金额             更正金额              更正后金额
销售商品、提供劳务收到的现金   5,514,930,943.37   -536,128,185.59   4,978,802,757.78
收到其他与经营活动有关的现金     131,363,117.91    536,128,185.59    667,491,303.50
购买商品、接受劳务支付的现金   5,255,712,243.13   -418,911,357.60   4,836,800,885.53
支付其他与经营活动有关的现金     261,698,391.48    418,911,357.60    680,609,749.08
      项目          更正前金额             更正金额              更正后金额
销售商品、提供劳务收到的现金   1,836,705,895.56   -536,128,185.59   1,300,577,709.97
收到其他与经营活动有关的现金      35,906,211.01    536,128,185.59    572,034,396.60
购买商品、接受劳务支付的现金   1,613,951,032.39   -418,911,357.60   1,195,039,674.79
支付其他与经营活动有关的现金     104,434,045.94    418,911,357.60    523,345,403.54
  (十一)对 2019 年度财务报表的影响
     项目          更正前金额              更正金额              更正后金额
    应收账款          217,767,538.85        -2,449,907.37    215,317,631.48
    预付款项          768,584,531.61     -566,416,650.00     202,167,881.61
    其他应收款          48,716,711.62      568,866,557.37     617,583,268.99
    应付账款          324,510,767.20      -62,112,375.00     262,398,392.20
    预收账款          794,706,249.67     -604,480,000.00     190,226,249.67
    其他应付款          69,669,802.90      666,592,375.00     736,262,177.90
     项目          更正前金额                更正金额              更正后金额
    应收账款           27,406,997.80        -2,449,907.37     24,957,090.43
    预付款项          678,002,520.67     -566,416,650.00     111,585,870.67
    其他应收款         109,192,383.81      568,866,557.37     678,058,941.18
    应付账款          181,900,229.89      -62,112,375.00     119,787,854.89
    预收账款          690,277,124.73     -604,480,000.00      85,797,124.73
    其他应付款         172,381,429.22      666,592,375.00     838,973,804.22
     项目          更正前金额                更正金额              更正后金额
    营业收入         4,621,763,768.41   -1,056,449,370.53   3,565,314,397.88
    营业成本         4,131,180,210.06   -1,056,449,370.53   3,074,730,839.53
     项目          更正前金额                更正金额              更正后金额
    营业收入         2,355,268,877.74   -1,056,449,370.53   1,298,819,507.21
    营业成本         2,196,884,841.78   -1,056,449,370.53   1,140,435,471.25
      项目          更正前金额               更正金额              更正后金额
销售商品、提供劳务收到的现金   4,719,776,653.90   -1,053,858,500.41   3,665,918,153.49
收到其他与经营活动有关的现金     132,093,291.17    1,053,858,500.41   1,185,951,791.58
购买商品、接受劳务支付的现金   4,240,871,494.49     -845,171,416.36   3,395,700,078.13
支付其他与经营活动有关的现金     272,501,596.33     845,171,416.36    1,117,673,012.69
      项目          更正前金额               更正金额              更正后金额
销售商品、提供劳务收到的现金       2,239,123,325.23     -1,053,858,500.41   1,185,264,824.82
收到其他与经营活动有关的现金        102,566,613.75       1,053,858,500.41   1,156,425,114.16
购买商品、接受劳务支付的现金       2,288,873,525.42       -845,171,416.36   1,443,702,109.06
支付其他与经营活动有关的现金         76,937,335.70         845,171,416.36    922,108,752.06
  (十二)对 2020 年度财务报表的影响
   项目      更正前金额                    更正金额                      更正后金额
  应收账款       246,109,197.58              -50,675,187.38        195,434,010.20
  预付款项      1,341,353,130.64        -1,090,125,931.00          251,227,199.64
 其他应收款        45,627,428.20         1,140,801,118.38          1,186,428,546.58
  合同负债       432,469,766.23             -156,229,257.52        276,240,508.71
 其他应付款        59,870,461.72             176,539,061.00         236,409,522.72
 其他流动负债       29,916,410.26              -20,309,803.48           9,606,606.78
   项目        更正前金额                       更正金额                 更正后金额
  应收账款             94,032,929.12           -50,675,187.38       43,357,741.74
  预付款项          1,194,291,072.44        -1,090,125,931.00      104,165,141.44
 其他应收款            113,121,117.97         1,140,801,118.38     1,253,922,236.35
  合同负债            256,386,756.84          -156,229,257.52      100,157,499.32
 其他应付款            174,273,195.76           176,539,061.00      350,812,256.76
 其他流动负债            28,163,573.35           -20,309,803.48         7,853,769.87
  项目       更正前金额                        更正金额                  更正后金额
 营业收入          4,378,079,123.30     -1,408,813,344.24         2,969,265,779.06
 营业成本          3,952,855,914.63     -1,408,813,344.24         2,544,042,570.39
  项目       更正前金额                        更正金额                  更正后金额
 营业收入          2,898,794,380.51     -1,408,813,344.24         1,489,981,036.27
 营业成本          2,765,266,172.99     -1,408,813,344.24         1,356,452,828.75
        项目               更正前金额                 更正金额              更正后金额
销售商品、提供劳务收到的现金          3,585,352,166.00 -1,623,342,944.70      1,962,009,221.30
收到其他与经营活动有关的现金             69,555,867.66     1,623,342,944.70   1,692,898,812.36
购买商品、接受劳务支付的现金          3,298,973,729.37 -1,446,518,083.30      1,852,455,646.12
支付其他与经营活动有关的现金           127,905,656.19      1,446,518,083.30   1,574,423,739.44
        项目               更正前金额                 更正金额              更正后金额
销售商品、提供劳务收到的现金          2,069,520,275.50 -1,623,342,944.70       446,177,330.80
收到其他与经营活动有关的现金             15,418,722.55     1,623,342,944.70 1,638,761,667.25
购买商品、接受劳务支付的现金          2,080,745,216.71 -1,446,518,083.30       634,227,133.46
支付其他与经营活动有关的现金             60,058,331.15     1,446,518,083.30 1,506,576,414.40
 (十三)对 2021 年第三季度财务报表的影响
   项目          更正前金额                   更正金额                     更正后金额
  应收票据             629,711,551.26          -162,692,507.25       467,019,044.01
  应收账款             721,322,128.57          -344,753,963.70       376,568,164.87
 其他应收款              60,778,916.11          507,446,470.95        568,225,387.06
  应付账款             271,456,456.04            -5,181,540.00       266,274,916.04
 其他应付款             166,619,062.64             5,181,540.00       171,800,602.64
             (1-9 月)                  (1-9 月)                   (1-9 月)
  项目
             更正前金额                    更正金额                      更正后金额
 营业收入         3,961,754,110.29        -1,586,765,739.25         2,374,988,371.04
 营业成本         3,633,009,144.82        -1,586,765,739.25         2,046,243,405.57
                         (1-9 月)               (1-9 月)           (1-9 月)
        项目
                         更正前金额                 更正金额              更正后金额
销售商品、提供劳务收到的现金          3,440,812,727.66       -998,702,972.00 2,442,109,755.66
收到其他与经营活动有关的现金             15,471,355.85       998,702,972.00 1,014,174,327.85
购买商品、接受劳务支付的现金   3,848,027,594.75 -1,786,102,121.00 2,061,925,473.75
支付其他与经营活动有关的现金     83,425,178.01   1,786,102,121.00 1,869,527,299.01
  三、董事会意见
  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》及《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,是对公司实际经营状况的客观反映,更正
后的财务数据及财务报表能够更加客观、准确地反映公司财务状况及经营成果,
有利于提高公司财务信息质量。因此,董事会同意本次会计差错更正事项。
  四、独立董事意见
  公司对本次会计差错进行更正符合公司实际经营和财务状况,董事会关于本
次会计差错更正事项的审议和表决程序符合法律、法规以及《公司章程》等的有
关规定。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》及《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更
加客观、公允地反映公司财务状况及经营成果,本次会计差错更正未损害公司及
全体股东的合法权益。因此,我们同意本次会计差错更正。
  五、监事会意见
  公司本次前期会计差错更正符合《企业会计准则第 28 号——会计政策、会
计估计变更和差错更正》、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。本次会计差错更正事项的决
策程序符合法律、法规和《公司章程》等相关规定,不存在损害公司及股东权益
的情况。因此,监事会同意本次前期会计差错更正事项。
  六、会计师事务所出具的专项鉴证报告
  公司编制的前期会计差错更正情况的专项说明,符合企业会计准则及其相
关规定,在所有重大方面如实反映了公司前期会计差错的更正情况。
 特此公告。
                     江苏舜天股份有限公司董事会
                       二零二二年四月三十日

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江苏舜天盈利能力较差,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-