ST美晨: 关于前期会计差错更正及追溯调整的公告

来源:证券之星 2025-10-31 00:32:22
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/证券代码:300237    证券简称:ST 美晨     公告编号:2025-085
               山东美晨科技股份有限公司
  本公司及董事会全体成员保证信息披露内容的真实、准确和完整,没有虚假
记载、误导性陈述或重大遗漏。
  特别提示:
会计差错采用追溯重述法进行更正,相应对 2014 年至 2018 年年度财务报表进行追
溯调整,因 2014 年至 2018 年的调整数据会持续影响后续年度的资产负债表科目的
期初余额,根据会计追溯调整原则,公司同时对 2019 年至 2024 年度财务报表进行
连贯修正以保证数据准确性和合规性。
盈亏性质的改变。
创业板股票上市规则》第 10.3.1 条规定的财务类强制退市情形。
石园林”)2014-2016 年的三年业绩承诺期未完成业绩承诺指标。赛石园林 2014 年
至 2016 年度扣非后净利润数据为公司初步测算数据,后续业绩承诺补偿的金额存在
不确定性,因此该事项对公司利润的影响亦存在不确定性,敬请投资者注意投资风
险。
  公司于 2025 年 10 月 29 日召开第六届董事会第十四次会议,审议通过了《关于
前期会计差错更正及追溯调整的议案》,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》《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(2025 年修订)》《深圳证券交易所上市公司自律监管指
引第 2 号——创业板上市公司规范运作》的相关规定,公司对前期会计差错进行更
正,并调整相关财务数据,现将具体情况公告如下:
     一、前期差错更正事项原因及内容
     公司收到中国证券监督管理委员会山东监管局下发的《行政处罚事先告知书》
﹝2025﹞9 号,根据《行政处罚事先告知书》认定的情况:2014 年至 2018 年,美晨
科技全资子公司赛石园林通过虚假采购劳务、苗木等方式虚增工程施工成本及完工
百分比,从而虚增收入、利润;通过虚假销售苗木、虚减相关费用、收入成本错记
等方式虚增收入、利润,导致美晨科技累计虚增收入 143,777.67 万元,累计虚增利
润 65,796.49 万元。其中,2014 年至 2018 年美晨科技分别虚增收入 2,365.78 万元、
营业收入的比例为 2.06%、20.67%、24.60%、5.53%、2.88%;分别虚增利润总额
当期对外披露利润总额的比例为 17.91%、75.64%、49.78%、15.49%、15.58%。美
晨科技 2014 年至 2018 年年度报告存在虚假记载。
     公司收到《行政处罚事先告知书》后,积极组织财务等相关部门对上述所涉问
题进行梳理、整改,在结合 2022 年 4 月 26 日披露的《关于前期会计差错更正的公告》
(公告编号:2022-024)基础上,进一步对 2014 年至 2018 年年度财务报表进行会计
差错更正及追溯调整。因 2014 年至 2018 年的调整数据会持续影响后续年度的资产
负债表科目的期初余额,根据会计追溯调整原则,公司同时对 2019 年至 2024 年度
财务报表进行连贯修正以保证数据准确性和合规性。前述调整不会导致公司已披露
的相关定期报告出现盈亏性质的改变。
     二、前期差错更正及追溯调整对财务报表和经营成果的影响
         项目             更正前金额               更正金额              更正后金额
其他应收款                      61,592,032.21        694,858.50      62,286,890.71
存货                       1,036,176,834.07    -23,657,837.30   1,012,518,996.77
       流动资产合计            2,042,212,856.09    -22,962,978.80   2,019,249,877.29
长期应收款                      23,630,888.51      -1,181,544.43     22,449,344.08
      非流动资产合计             837,889,983.51      -1,181,544.43    836,708,439.08
         资产总计           2,880,102,839.60    -24,144,523.23   2,855,958,316.37
未分配利润                    248,026,545.57     -24,144,523.23    223,882,022.34
       股东权益合计           1,221,843,138.72    -24,144,523.23   1,197,698,615.49
     负债和股东权益总计          2,880,102,839.60    -24,144,523.23   2,855,958,316.37
         项目             更正前金额              更正金额              更正后金额
其他应收款                    165,308,186.78     178,483,632.74    343,791,819.52
存货                      1,404,061,376.60   -387,403,820.41   1,016,657,556.19
       流动资产合计           3,444,279,950.74   -208,920,187.67   3,235,359,763.07
长期应收款                     11,108,966.00        -555,448.30     10,553,517.70
      非流动资产合计            959,392,122.68        -555,448.30    958,836,674.38
         资产总计           4,403,672,073.42   -209,475,635.97   4,194,196,437.45
应付账款                     915,070,479.57     -19,703,782.10    895,366,697.47
       流动负债合计           2,007,104,141.90    -19,703,782.10   1,987,400,359.80
         负债合计           2,180,592,818.08    -19,703,782.10   2,160,889,035.98
未分配利润                    412,640,999.80    -189,771,853.87    222,869,145.93
       股东权益合计           2,223,079,255.34   -189,771,853.87   2,033,307,401.47
     负债和股东权益总计          4,403,672,073.42   -209,475,635.97   4,194,196,437.45
         项目             更正前金额              更正金额              更正后金额
其他应收款                    229,597,758.87     375,281,660.41    604,879,419.28
存货                      2,325,799,153.64   -830,789,933.79   1,495,009,219.85
       流动资产合计           4,175,452,402.74   -455,508,273.38   3,719,944,129.36
长期应收款                    248,349,152.46     -12,417,457.62    235,931,694.84
      非流动资产合计           1,562,519,118.54    -12,417,457.62   1,550,101,660.92
         资产总计           5,737,971,521.28   -467,925,731.00   5,270,045,790.28
应付账款                    1,473,800,208.02   -120,965,313.40   1,352,834,894.62
       流动负债合计           2,692,843,830.74   -120,965,313.40   2,571,878,517.34
         负债合计           3,198,283,578.81   -120,965,313.40   3,077,318,265.41
未分配利润                    710,508,197.62    -346,960,417.60    363,547,780.02
       股东权益合计           2,539,687,942.47   -346,960,417.60   2,192,727,524.87
     负债和股东权益总计          5,737,971,521.28   -467,925,731.00   5,270,045,790.28
         项目             更正前金额              更正金额              更正后金额
其他应收款                    243,088,733.02     339,835,169.39    582,923,902.41
存货                      4,005,319,383.97   -897,776,098.07   3,107,543,285.90
       流动资产合计           6,001,723,132.18   -557,940,928.68   5,443,782,203.50
长期应收款                    225,948,843.09     -11,297,442.15    214,651,400.94
      非流动资产合计           1,753,079,359.66    -11,297,442.15   1,741,781,917.51
         资产总计           7,754,802,491.84   -569,238,370.83   7,185,564,121.01
应付账款                    1,934,926,520.54   -185,385,747.92   1,749,540,772.62
       流动负债合计           3,840,253,400.26   -185,385,747.92   3,654,867,652.34
         负债合计           4,750,251,539.41   -185,385,747.92   4,564,865,791.49
未分配利润                   1,052,270,284.80   -383,795,254.73    668,475,030.07
少数股东权益                   146,314,027.93         -57,368.18    146,256,659.75
       股东权益合计           3,004,550,952.43   -383,852,622.91   2,620,698,329.52
     负债和股东权益总计          7,754,802,491.84   -569,238,370.83   7,185,564,121.01
         项目             更正前金额              更正金额              更正后金额
其他应收款                    147,043,749.90     452,626,750.72    599,670,500.62
存货                      4,645,502,262.74   -901,909,699.09   3,743,592,563.65
       流动资产合计           6,831,782,338.25   -449,282,948.37   6,382,499,389.88
长期应收款                     52,233,857.00      -2,611,692.85     49,622,164.15
      非流动资产合计           1,745,638,189.22     -2,611,692.85   1,743,026,496.37
         资产总计           8,577,420,527.47   -451,894,641.22   8,125,525,886.25
应付账款                    2,030,684,006.65   -100,234,739.65   1,930,449,267.00
       流动负债合计           4,795,777,379.96   -100,234,739.65   4,695,542,640.31
         负债合计           5,595,899,441.16   -100,234,739.65   5,495,664,701.51
未分配利润                   1,006,244,787.28   -353,481,860.14    652,762,927.14
少数股东权益                   152,431,047.81       1,821,958.57    154,253,006.38
       股东权益合计           2,981,521,086.31   -351,659,901.57   2,629,861,184.74
     负债和股东权益总计          8,577,420,527.47   -451,894,641.22   8,125,525,886.25
         项目             更正前金额              更正金额              更正后金额
应收账款                    1,150,992,039.02        -11,554.05   1,150,980,484.97
其他应收款                    261,595,678.89     452,784,567.05    714,380,245.94
存货                      5,349,871,648.64   -888,033,435.04   4,461,838,213.60
       流动资产合计            8,344,216,562.97   -435,260,422.04    7,908,956,140.93
长期应收款                        6,832,252.48       -341,612.62        6,490,639.86
      非流动资产合计            1,556,698,059.24       -341,612.62    1,556,356,446.62
         资产总计            9,900,914,622.21   -435,602,034.66    9,465,312,587.55
应付账款                     2,268,814,873.31    -94,315,520.21    2,174,499,353.10
       流动负债合计            5,421,158,988.58    -94,315,520.21    5,326,843,468.37
         负债合计            6,871,310,465.91    -94,315,520.21    6,776,994,945.70
未分配利润                    1,070,134,846.36   -343,505,699.29     726,629,147.07
少数股东权益                    177,721,501.75       2,219,184.84     179,940,686.59
       股东权益合计            3,029,604,156.30   -341,286,514.45    2,688,317,641.85
     负债和股东权益总计           9,900,914,622.21   -435,602,034.66    9,465,312,587.55
         项目             更正前金额               更正金额              更正后金额
应收账款                     1,176,610,994.68    -71,960,759.69    1,104,650,234.99
其他应收款                     158,225,835.80     355,130,364.16     513,356,199.96
合同资产                     5,384,689,726.13   -745,511,615.21    4,639,178,110.92
       流动资产合计            8,718,054,709.72   -462,342,010.74    8,255,712,698.98
长期应收款                         200,000.00     114,496,920.36     114,696,920.36
递延所得税资产                   113,261,989.20       3,758,915.21     117,020,904.41
      非流动资产合计            1,755,451,729.36    118,255,835.57    1,873,707,564.93
         资产总计           10,473,506,439.08   -344,086,175.17   10,129,420,263.91
应付账款                     2,292,309,537.88    -90,066,782.21    2,202,242,755.67
合同负债                       99,983,879.32      10,381,052.89     110,364,932.21
       流动负债合计            5,178,972,312.59    -79,685,729.32    5,099,286,583.27
         负债合计            7,789,648,906.11    -79,685,729.32    7,709,963,176.79
未分配利润                     742,283,836.39    -264,400,445.85     477,883,390.54
       股东权益合计            2,683,857,532.97   -264,400,445.85    2,419,457,087.12
     负债和股东权益总计          10,473,506,439.08   -344,086,175.17   10,129,420,263.91
         项目             更正前金额               更正金额              更正后金额
应收账款                     1,217,672,457.41     -1,560,175.88    1,216,112,281.53
其他应收款                     321,140,818.06      77,658,913.07     398,799,731.13
存货                        650,476,082.21    -249,068,931.50     401,407,150.71
合同资产                     4,687,550,734.33   -789,711,294.46    3,897,839,439.87
       流动资产合计            7,980,104,208.40   -962,681,488.77   7,017,422,719.63
长期应收款                         200,000.00     629,401,928.48     629,601,928.48
固定资产                     1,189,306,626.51   -127,006,669.59   1,062,299,956.92
递延所得税资产                   115,499,460.21       3,758,915.21     119,258,375.42
      非流动资产合计            2,277,794,265.08    506,154,174.10   2,783,948,439.18
         资产总计           10,257,898,473.48   -456,527,314.67   9,801,371,158.81
应付账款                     2,028,044,238.60   -104,104,933.11   1,923,939,305.49
合同负债                       79,370,052.71        -552,148.11      78,817,904.60
       流动负债合计            6,150,322,146.30   -104,657,081.22   6,045,665,065.08
         负债合计            7,807,904,577.95   -104,657,081.22   7,703,247,496.73
未分配利润                     366,506,333.08    -351,870,233.45      14,636,099.63
       股东权益合计            2,449,993,895.53   -351,870,233.45   2,098,123,662.08
     负债和股东权益总计          10,257,898,473.48   -456,527,314.67   9,801,371,158.81
         项目             更正前金额               更正金额              更正后金额
应收账款                     1,185,406,049.07     -8,394,525.12   1,177,011,523.95
其他应收款                     401,987,190.91      74,954,513.36     476,941,704.27
存货                        590,876,631.35    -249,068,931.50     341,807,699.85
合同资产                     4,155,365,856.04   -716,886,071.01   3,438,479,785.03
       流动资产合计            7,195,495,668.64   -899,395,014.27   6,296,100,654.37
长期应收款                        3,200,000.00    599,547,072.00     602,747,072.00
固定资产                     1,123,987,910.06   -120,973,852.78   1,003,014,057.28
递延所得税资产                   261,955,609.83       3,758,915.21     265,714,525.04
      非流动资产合计            2,235,705,700.32    482,332,134.43   2,718,037,834.75
         资产总计            9,431,201,368.96   -417,062,879.84   9,014,138,489.12
应付账款                     2,061,559,126.11    -86,268,706.11   1,975,290,420.00
合同负债                      102,229,625.68        -552,148.11     101,677,477.57
       流动负债合计            6,507,515,192.91    -86,820,854.22   6,420,694,338.69
         负债合计            8,341,622,680.62    -86,820,854.22   8,254,801,826.40
未分配利润                     -996,802,800.47   -330,242,025.62   -1,327,044,826.09
       股东权益合计            1,089,578,688.34   -330,242,025.62     759,336,662.72
     负债和股东权益总计           9,431,201,368.96   -417,062,879.84   9,014,138,489.12
         项目             更正前金额               更正金额              更正后金额
应收账款                    1,325,556,225.84      -2,949,330.17   1,322,606,895.67
其他应收款                     237,938,772.01      67,570,376.32     305,509,148.33
存货                        580,155,885.92    -249,068,931.50     331,086,954.42
合同资产                    1,304,366,018.05    -114,941,035.97   1,189,424,982.08
       流动资产合计           6,423,808,320.33    -831,543,177.94   5,592,265,142.39
长期应收款                         200,000.00     541,428,537.00     541,628,537.00
固定资产                    1,317,986,079.29    -114,941,035.97   1,203,045,043.32
      非流动资产合计           1,914,533,003.49     426,487,501.03   2,341,020,504.52
         资产总计           8,338,341,323.82    -405,055,676.91   7,933,285,646.91
应付账款                    2,164,831,975.58     -86,268,706.11   2,078,563,269.47
合同负债                      161,827,641.12        703,938.42      162,531,579.54
       流动负债合计           6,737,649,854.75     -85,564,767.69   6,652,085,087.06
         负债合计           7,845,367,708.91     -85,564,767.69   7,759,802,941.22
未分配利润                   -2,387,579,425.70   -319,490,909.22   -2,707,070,334.92
       股东权益合计             492,973,614.91    -319,490,909.22     173,482,705.69
     负债和股东权益总计          8,338,341,323.82    -405,055,676.91   7,933,285,646.91
         项目             更正前金额               更正金额              更正后金额
应收账款                    1,132,650,253.95    -195,281,847.31     937,368,406.64
其他应收款                     279,382,883.60      52,222,964.04     331,605,847.64
合同资产                    2,126,414,096.14    -463,791,120.53   1,662,622,975.61
       流动资产合计           4,154,627,270.56    -606,850,003.80   3,547,777,266.76
长期应收款                       6,240,955.87     462,754,202.00     468,995,157.87
      非流动资产合计           1,369,157,315.28     462,754,202.00   1,831,911,517.28
         资产总计           5,523,784,585.84    -144,095,801.80   5,379,688,784.04
应付账款                    1,706,120,906.41     -84,409,132.01   1,621,711,774.40
合同负债                       25,212,757.64        -552,148.11      24,660,609.53
其他应付款                      87,672,100.03      31,137,971.04     118,810,071.07
       流动负债合计           4,335,425,188.00     -53,823,309.08   4,281,601,878.92
         负债合计           5,294,803,717.32     -53,823,309.08   5,240,980,408.24
资本公积                    1,547,084,603.86     154,828,030.08   1,701,912,633.94
未分配利润                   -2,955,968,667.25   -245,100,522.80   -3,201,069,190.05
       股东权益合计             228,980,868.52     -90,272,492.72     138,708,375.80
     负债和股东权益总计          5,523,784,585.84    -144,095,801.80   5,379,688,784.04
         项目     更正前金额              更正金额               更正后金额
营业收入            1,148,762,591.41    -23,657,837.30    1,125,104,754.11
营业成本             785,890,229.49     -16,641,537.86     769,248,691.63
销售费用              66,216,256.32     15,910,107.86       82,126,364.18
资产减值损失            -12,795,604.82     -1,218,115.93      -14,013,720.75
       利润总额      128,024,606.48     -24,144,523.23     103,880,083.25
       净利润       100,270,419.07     -24,144,523.23      76,125,895.84
 扣除非经常性损益后净利润     96,229,743.57     -28,195,262.94      68,034,480.63
         项目     更正前金额              更正金额               更正后金额
营业收入            1,726,451,041.55    -295,899,943.43   1,430,551,098.12
营业成本            1,152,566,870.88    -191,142,882.87    961,423,988.01
销售费用              90,064,918.05       62,121,986.50    152,186,904.55
管理费用             162,710,081.53       -4,676,360.00    158,033,721.53
资产减值损失            -15,673,690.09      -3,424,643.58     -19,098,333.67
       利润总额      222,920,359.35     -165,627,330.64     57,293,028.71
       净利润       180,594,735.29     -165,627,330.64     14,967,404.65
 扣除非经常性损益后净利润    172,307,531.50     -161,576,590.93     10,730,940.57
         项目     更正前金额              更正金额               更正后金额
营业收入            2,799,753,901.19   -575,212,331.74    2,224,541,569.45
营业成本            1,928,082,190.37   -450,609,166.60    1,477,473,023.77
销售费用             116,722,930.56     28,049,605.27      144,772,535.83
管理费用             237,324,002.43      -7,326,216.00     229,997,786.43
资产减值损失            -43,772,960.71    -11,862,009.32      -55,634,970.03
       利润总额      407,182,342.24    -157,188,563.73     249,993,778.51
       净利润       330,826,022.12    -157,188,563.73     173,637,458.39
 扣除非经常性损益后净利润    332,719,581.36    -157,188,563.73     175,531,017.63
         项目     更正前金额              更正金额               更正后金额
营业收入            3,809,098,589.35   -135,770,923.92    3,673,327,665.43
营业成本            2,559,759,058.83   -104,397,018.39    2,455,362,040.44
销售费用             158,396,931.03      6,638,315.25     165,035,246.28
资产减值损失           -164,561,170.60     1,120,015.47     -163,441,155.13
        利润总额     547,054,714.05     -36,892,205.31    510,162,508.74
        净利润      407,358,233.92     -36,892,205.31    370,466,028.61
 扣除非经常性损益后净利润    393,059,451.55     -36,892,205.31    356,167,246.24
         项目     更正前金额              更正金额              更正后金额
营业收入            3,422,855,711.76    -32,996,134.49   3,389,859,577.27
营业成本            2,412,216,634.23    -62,912,924.68   2,349,303,709.55
销售费用             170,807,705.51      6,409,818.15     177,217,523.66
资产减值损失           -305,411,168.49     8,685,749.30     -296,725,419.19
        利润总额     108,126,026.13     32,192,721.34     140,318,747.47
        净利润       41,160,195.86     32,192,721.34      73,352,917.20
 扣除非经常性损益后净利润     -37,009,927.45    32,192,721.34       -4,817,206.11
         项目     更正前金额              更正金额              更正后金额
营业收入            2,946,501,279.03     8,094,089.94    2,954,595,368.97
营业成本            2,143,890,498.29        -32,178.00   2,143,858,320.29
销售费用             162,422,776.04         25,000.00     162,447,776.04
信用减值损失            -33,448,150.02          2,038.95     -33,446,111.07
资产减值损失            -36,446,315.68     2,270,080.23      -34,176,235.45
        利润总额     122,073,202.32     10,373,387.12     132,446,589.44
        净利润       72,790,748.37     10,373,387.12      83,164,135.49
 扣除非经常性损益后净利润     37,465,157.00     10,373,387.12      47,838,544.12
         项目     更正前金额              更正金额              更正后金额
营业收入            3,065,072,419.56       839,060.39    3,065,911,479.95
信用减值损失            -30,011,378.52      -207,833.52      -30,219,212.04
资产减值损失            -71,743,408.08    -10,939,028.40     -82,682,436.48
        利润总额      51,040,501.09     -10,307,801.53     40,732,699.56
所得税费用             24,510,634.77       -125,460.70      24,385,174.07
        净利润       26,529,866.32     -10,182,340.83     16,347,525.49
 扣除非经常性损益后净利润     18,458,181.06     -10,182,340.83       8,275,840.23
         项目     更正前金额               更正金额              更正后金额
信用减值损失            -59,147,028.69     -58,937,552.17    -118,084,580.86
资产减值损失             28,035,064.93     -28,532,235.43        -497,170.50
        利润总额     -383,004,196.49     -87,469,787.60    -470,473,984.09
        净利润      -386,604,275.52     -87,469,787.60    -474,074,063.12
 扣除非经常性损益后净利润    -426,752,749.51     -87,469,787.60    -514,222,537.11
         项目     更正前金额               更正金额              更正后金额
营业成本            1,343,628,259.08      -6,032,816.81   1,337,595,442.27
信用减值损失           -303,396,378.95       -588,445.45     -303,984,824.40
资产减值损失           -532,441,677.23     16,183,836.47     -516,257,840.76
        利润总额    -1,519,833,637.60    21,628,207.83    -1,498,205,429.77
        净利润     -1,385,021,250.97    21,628,207.83    -1,363,393,043.14
 扣除非经常性损益后净利润   -1,409,131,277.99    21,628,207.83    -1,387,503,070.16
         项目     更正前金额               更正金额              更正后金额
营业成本            1,593,012,281.78      -6,032,816.81   1,586,979,464.97
信用减值损失            -81,330,520.17         21,736.38      -81,308,783.79
资产减值损失           -398,799,702.68      8,455,478.42     -390,344,224.26
        利润总额    -1,172,114,605.00    14,510,031.61    -1,157,604,573.39
所得税费用             232,689,815.40      3,758,915.21      236,448,730.61
        净利润     -1,404,804,420.40    10,751,116.40    -1,394,053,304.00
 扣除非经常性损益后净利润   -1,440,827,387.16    10,751,116.40    -1,430,076,270.76
         项目     更正前金额               更正金额              更正后金额
营业收入            1,779,020,249.77     -80,546,331.47   1,698,473,918.30
信用减值损失           -122,942,666.43     81,143,195.75      -41,799,470.68
资产减值损失            -11,534,597.44     73,793,522.14       62,258,924.70
        利润总额     -593,483,477.77     74,390,386.42     -519,093,091.35
        净利润      -589,773,361.98     74,390,386.42     -515,382,975.56
 扣除非经常性损益后净利润    -603,888,170.60     74,390,386.42     -529,497,784.18
   三、会计师事务所就更正事项的专项审核报告
   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》《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》的要求,
中兴华会计师事务所(特殊普通合伙)出具了《关于山东美晨科技股份有限公司前
期会计差错更正专项说明的审核报告》(中兴华专字(2025)第 020379 号),具
体内容详见公司同日在巨潮资讯网(http://www.cninfo.com.cn)披露的《关于山东
美晨科技股份有限公司前期会计差错更正专项说明的审核报告》。
   四、前期会计差错更正对相关子公司业绩承诺实现情况的影响
理咨询有限公司、颐高集团有限公司、浙江华峰科技开发有限公司签署《盈利补偿
协议》,协议约定:本次交易的业绩承诺期和利润补偿期为 2014、2015、2016 年;
赛石园林承诺 2014 年度、2015 年度、2016 年度实现的净利润(以赛石园林合并
报表归属于母公司所有者的净利润数为基础,按扣除非经常性损益前后孰低原则确
定)分别不低于 9,000 万元、11,500 万元、14,500 万元。
   公司对 2014-2016 年度会计差错进行调整后,经初步测算,赛石园林 2014 年度、
偿协议》约定,赛石园林 2014-2016 年的三年业绩承诺期未完成业绩承诺指标。
   赛石园林 2014 年至 2016 年度扣非后净利润数据为公司初步测算数据,后续追
回业绩承诺补偿的金额存在不确定性,因此该事项对公司利润的影响亦存在不确定
性。为切实维护公司及全体股东利益,公司将高度重视业绩承诺补偿的追讨工作,
拟安排专门队伍并聘请专业机构进行研判,采取多种可行措施,切实推动相关工作
有效开展。
   五、董事会、审计委员会关于差错更正的意见
   公司审计委员会认为: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
能够真实、准确反映公司实际经营情况及财务状况。本次会计差错更正事项不存在
损害公司和全体股东利益的情形。因此,审计委员会同意本次会计差错更正及追溯
调整,并将该议案提交公司董事会审议。
  公司董事会认为:本次会计差错更正是公司根据中国证券监督管理委员会山东
监管局《行政处罚事先告知书》认定的事实,采用追溯重述法进行更正,相应对 2014
年至 2018 年年度财务报表进行追溯调整,因 2014 年至 2018 年的调整数据会持续影
响后续年度的资产负债表科目的期初余额,根据会计追溯调整原则,公司同时对
差错更正及追溯调整后,不会导致公司已披露的相关年度报表出现盈亏性质的改变,
未触及《深圳证券交易所创业板股票上市规则》第 10.3.1 条规定的财务类强制退市
情形;本次追溯调整后,赛石园林 2014-2016 年的三年业绩承诺期未完成业绩承诺
指标。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》的有关规定和要求。更正后的财务数据及财务报表能够更加客观、
准确、真实地反映公司财务状况和经营成果。因此,董事会同意本次会计差错更正。
  六、备查文件
会计差错更正专项说明的审核报告。
  特此公告。
                              山东美晨科技股份有限公司
                                   董事会

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