元隆雅图: 北京元隆雅图文化传播股份有限公司关于前期会计差错更正的公告

来源:证券之星 2025-08-23 03:05:36
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  证券代码:002878   证券简称:元隆雅图      公告编号:2025-043
        北京元隆雅图文化传播股份有限公司
           关于前期会计差错更正的公告
   本公司及全体董事会成员保证信息披露的内容真实、准确、完整,没有虚
假记载、误导性陈述或重大遗漏。
  重要提示:
  本次会计差错更正,不会导致公司已披露的相关年度财务报表出现盈亏性质
的改变,不会导致已披露的年度财务报表发生期末净资产为负的情形。
召开了第五届董事会第六次会议和第五届监事会第五次会议,审议通过了《公司
关于前期会计差错更正的议案》。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》《深圳证券交易所上市公司自律监管指南第 1
号——业务办理》的相关规定,公司对前期会计差错更正调整相关财务数据,现
将具体情况公告如下:
  一、前期会计差错更正的原因
书的公告》。经自查发现,公司一名销售人员存在职务侵占嫌疑,即通过伪造公
司客户公章、销售合同等资料,虚构销售业务,非法占有公司财产,公司立即主
动向北京市公安局西城分局经侦支队报案。该销售人员伪造的合同分别涉及
——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》《深圳证券交易所上市公司自律
监管指南第 1 号——业务办理》的有关规定和要求,结合自查情况,并基于审慎
性原则,对上述问题产生的前期会计差错采用追溯重述法进行更正调整。
    二、前期会计差错更正对公司财务状况、经营成果和现金流量的影响
    受前述事项影响需进行会计差错更正的时间区间为自 2023 年第四季度至
季报、2024 年半年报、2024 年三季报、2024 年年度报告以及 2025 年一季报合
并财务报表和母公司财务报表的部分项目,具体影响科目及金额如下(以下如无
特别说明,金额以人民币元为单位):
    (1)对 2023 年 12 月 31 日合并资产负债表的影响
     项目          调整前金额                 调整金额              调整后金额
应收账款            789,497,749.79        -20,404,566.91     769,093,182.88
流动资产合计         2,313,632,928.59       -20,404,566.91   2,293,228,361.68
递延所得税资产           13,259,151.37        2,697,739.39       15,956,890.76
非流动资产合计         336,917,339.16         2,697,739.39      339,615,078.55
资产总计           2,650,550,267.75       -17,706,827.52   2,632,843,440.23
应交税费              74,032,752.55       -2,419,637.75       71,613,114.80
流动负债合计         1,063,416,756.11       -2,419,637.75    1,060,997,118.36
负债合计           1,075,719,929.02       -2,419,637.75    1,073,300,291.27
盈余公积              94,928,762.95       -1,528,718.97       93,400,043.98
未分配利润           360,582,490.94        -13,758,470.80     346,824,020.14
归属于母公司股东
权益合计
股东权益合计         1,574,830,338.73       -15,287,189.77   1,559,543,148.96
负债和股东权益总

    (2) 对 2023 年 12 月 31 日母公司资产负债表的影响
    项目         调整前金额                 调整金额              调整后金额
应收账款           430,829,126.65       -20,404,566.91    410,424,559.74
流动资产合计       1,981,311,870.80       -20,404,566.91   1,960,907,303.89
递延所得税资产         12,150,396.74        2,697,739.39       14,848,136.13
非流动资产合计        386,374,257.27        2,697,739.39     389,071,996.66
资产总计         2,367,686,128.07       -17,706,827.52   2,349,979,300.55
应交税费            60,819,235.86        -2,419,637.75      58,399,598.11
流动负债合计         782,403,330.58        -2,419,637.75    779,983,692.83
负债合计           793,115,948.63        -2,419,637.75    790,696,310.88
盈余公积            94,928,762.95        -1,528,718.97      93,400,043.98
未分配利润          381,582,237.14       -13,758,470.80    367,823,766.34
归属于母公司股东
权益合计
股东权益合计       1,574,570,179.44       -15,287,189.77   1,559,282,989.67
负债和股东权益总

    (3) 对 2023 年度合并利润表的影响
    项目         调整前金额                 调整金额              调整后金额
营业收入         2,692,016,491.79       -18,067,979.67   2,673,948,512.12
营业成本         2,275,918,784.38        -4,407,569.16   2,271,511,215.22
税金及附加            7,442,112.56         -259,246.90        7,182,865.66
信用减值损失          -5,605,447.87        -1,625,784.77      -7,231,232.64
资产减值损失          -8,775,680.19        -2,957,980.78    -11,733,660.97
营业利润            23,251,334.41       -17,984,929.16       5,266,405.25
利润总额            21,841,308.88       -17,984,929.16       3,856,379.72
所得税费用           -5,219,239.32        -2,697,739.39      -7,916,978.71
净利润           27,060,548.20        -15,287,189.77      11,773,358.43
归属于母公司股东
的净利润
归属于母公司股东
的扣除非经常性损      20,048,486.02        -15,287,189.77       4,761,296.25
益后的净利润
基本每股收益                  0.11                -0.07               0.04
稀释每股收益                  0.11                -0.07               0.04
  (4) 对 2023 年度母公司利润表的影响
   项目         调整前金额                 调整金额              调整后金额
营业收入        1,617,853,874.70       -18,067,979.67   1,599,785,895.03
营业成本        1,375,472,798.66        -4,407,569.16   1,371,065,229.50
税金及附加           6,027,664.21         -259,246.90        5,768,417.31
信用减值损失           -841,813.98        -1,625,784.77      -2,467,598.75
资产减值损失        -8,335,950.31         -2,957,980.78    -11,293,931.09
营业利润          17,713,564.98        -17,984,929.16       -271,364.18
利润总额          16,478,111.18        -17,984,929.16      -1,506,817.98
所得税费用         -7,662,620.19         -2,697,739.39    -10,360,359.58
净利润           24,140,731.37        -15,287,189.77       8,853,541.60
(1)对 2024 年 3 月 31 日合并资产负债表的影响
   项目         调整前金额                 调整金额              调整后金额
应收账款         784,389,576.15        -73,173,563.02    711,216,013.13
流动资产合计      2,012,385,692.39       -73,173,563.02   1,939,212,129.37
递延所得税资产       12,106,088.01         9,543,431.93       21,649,519.94
非流动资产合计      495,511,042.36         9,543,431.93     505,054,474.29
资产总计       2,507,896,734.75       -63,630,131.09   2,444,266,603.66
应交税费         73,880,132.99         -9,057,516.81      64,822,616.18
流动负债合计      899,350,645.63         -9,057,516.81    890,293,128.82
其他非流动负债      15,708,730.72          -375,833.33       15,332,897.39
非流动负债合计      27,863,206.56          -375,833.33       27,487,373.23
负债合计        927,213,852.19         -9,433,350.14    917,780,502.05
盈余公积         94,928,762.95         -1,528,718.97      93,400,043.98
未分配利润       389,294,021.33        -52,668,061.98    336,625,959.35
归属于母公司所有
者权益合计
所有者权益合计    1,580,682,882.56       -54,196,780.95   1,526,486,101.61
负债和所有者权益
总计
(2)对 2024 年一季度合并利润表的影响
     项目      调整前金额                 调整金额              调整后金额
营业收入        593,713,825.36        -46,699,410.28    547,014,415.08
营业成本        475,256,299.41        -15,057,874.60    460,198,424.81
税金及附加          1,444,201.54         -711,201.34          733,000.20
销售费用         35,961,157.60          -258,500.00       35,702,657.60
研发费用         26,829,105.01          -117,333.33       26,711,771.68
信用减值损失          679,523.91         -1,252,489.64       -572,965.73
资产减值损失          -125,807.20       -13,948,293.07    -14,074,100.27
营业利润         33,560,932.10        -45,755,283.72    -12,194,351.62
利润总额         33,563,999.25        -45,755,283.72    -12,191,284.47
所得税费用          2,030,688.17        -6,845,692.54      -4,815,004.37
净利润          31,533,311.08        -38,909,591.18      -7,376,280.10
归属于母公司股东     28,711,530.39        -38,909,591.18    -10,198,060.79
的净利润
归属于母公司股东
的扣除非经常性损      26,082,578.16        -38,909,591.18    -12,827,013.02
益后的净利润
基本每股收益                  0.11                -0.15              -0.04
稀释每股收益                  0.11                -0.15              -0.04
(1)对 2024 年 6 月 30 日合并资产负债表的影响
     项目       调整前金额                 调整金额              调整后金额
应收账款         864,855,001.12        -88,455,408.58    776,399,592.54
存货           316,766,618.94         1,509,955.74     318,276,574.68
流动资产合计      1,860,061,786.93       -86,945,452.84   1,773,116,334.09
递延所得税资产       16,385,335.02         11,188,082.17      27,573,417.19
非流动资产合计      600,023,045.68         11,188,082.17    611,211,127.85
资产总计        2,460,084,832.61       -75,757,370.67   2,384,327,461.94
应交税费          72,805,747.49        -10,771,905.07      62,033,842.42
流动负债合计       855,009,813.16        -10,771,905.07    844,237,908.09
其他非流动负债       17,844,655.51          -751,666.66       17,092,988.85
非流动负债合计       30,297,677.50          -751,666.66       29,546,010.84
负债合计         885,307,490.66        -11,523,571.73    873,783,918.93
盈余公积          94,928,762.95         -1,528,718.97      93,400,043.98
未分配利润        373,320,137.24        -62,705,079.97    310,615,057.27
归属于母公司所有
者权益合计
所有者权益合计     1,574,777,341.95       -64,233,798.94   1,510,543,543.01
负债和所有者权益
总计
(2) 对 2024 年 6 月 30 日母公司资产负债表的影响
     项目       调整前金额                 调整金额              调整后金额
应收账款         531,288,047.58        -88,455,408.58    442,832,639.00
存货           222,901,567.90         1,509,955.74     224,411,523.64
流动资产合计      1,496,498,523.55       -86,945,452.84   1,409,553,070.71
递延所得税资产       14,263,356.20         11,188,082.17      25,451,438.37
非流动资产合计      667,353,789.26         11,188,082.17    678,541,871.43
资产总计        2,163,852,312.81       -75,757,370.67   2,088,094,942.14
应交税费          58,486,922.80        -10,771,905.07      47,715,017.73
流动负债合计       574,711,132.42        -10,771,905.07    563,939,227.35
其他非流动负债       17,844,655.51          -751,666.66       17,092,988.85
非流动负债合计       28,933,728.54          -751,666.66       28,182,061.88
负债合计         603,644,860.96        -11,523,571.73    592,121,289.23
盈余公积          94,928,762.95         -1,528,718.97      93,400,043.98
未分配利润        391,361,379.27        -62,705,079.97    328,656,299.30
所有者权益合计     1,560,207,451.85       -64,233,798.94   1,495,973,652.91
负债和所有者权益
总计
(3) 对 2024 年半年度合并利润表的影响
     项目       调整前金额                 调整金额              调整后金额
营业收入        1,265,922,498.05       -60,290,795.06   1,205,631,702.99
营业成本        1,041,368,298.91       -21,212,986.09   1,020,155,312.82
税金及附加           3,693,068.74         -711,201.33        2,981,867.41
销售费用          82,586,266.23          -517,000.00       82,069,266.23
研发费用          57,068,372.81          -234,666.66       56,833,706.15
信用减值损失        -3,087,162.02         -1,632,344.89      -4,719,506.91
资产减值损失       -3,022,541.26       -18,189,666.08   -21,212,207.34
营业利润         27,058,505.52       -57,436,951.95   -30,378,446.43
利润总额         26,481,469.54       -57,436,951.95   -30,955,482.41
所得税费用        -2,529,835.67        -8,490,342.78   -11,020,178.45
净利润          29,011,305.21       -48,946,609.17   -19,935,303.96
归属于母公司股东
的净利润
归属于母公司股东
的扣除非经常性损     23,345,135.78       -48,946,609.17   -25,601,473.39
益后的净利润
基本每股收益                0.10                -0.19            -0.09
稀释每股收益                0.10                -0.19            -0.09
(4) 对 2024 年半年度母公司利润表的影响
  项目        调整前金额                 调整金额            调整后金额
营业收入        706,763,196.19       -60,290,795.06   646,472,401.13
营业成本        575,329,192.10       -21,212,986.09   554,116,206.01
税金及附加         2,682,272.33         -711,201.33      1,971,071.00
销售费用         46,428,152.58         -517,000.00     45,911,152.58
研发费用         36,321,670.83         -234,666.66     36,087,004.17
信用减值损失          692,589.77        -1,632,344.89     -939,755.12
资产减值损失       -3,278,310.64       -18,189,666.08   -21,467,976.72
营业利润         21,332,236.37       -57,436,951.95   -36,104,715.58
利润总额         20,716,094.02       -57,436,951.95   -36,720,857.93
所得税费用        -2,112,959.46        -8,490,342.78   -10,603,302.24
净利润          22,829,053.48       -48,946,609.17   -26,117,555.69
(1)对 2024 年 9 月 30 日合并资产负债表的影响
     项目       调整前金额                 调整金额              调整后金额
应收账款         772,743,484.56        -97,342,155.71    675,401,328.85
存货           339,549,971.55         1,509,955.74     341,059,927.29
流动资产合计      1,737,815,409.00       -95,832,199.97   1,641,983,209.03
递延所得税资产       17,238,427.40         12,295,070.99      29,533,498.39
非流动资产合计      600,273,522.79         12,295,070.99    612,568,593.78
资产总计        2,338,088,931.79       -83,537,128.98   2,254,551,802.81
应交税费          59,153,857.01        -11,785,559.95      47,368,297.06
流动负债合计       741,800,479.09        -11,785,559.95    730,014,919.14
其他非流动负债       19,881,288.40         -1,127,499.99      18,753,788.41
非流动负债合计       31,049,505.26         -1,127,499.99      29,922,005.27
负债合计         772,849,984.35        -12,913,059.94    759,936,924.41
盈余公积          94,928,762.95         -1,528,718.97      93,400,043.98
未分配利润        369,700,661.03        -69,095,350.07    300,605,310.96
归属于母公司所有
者权益合计
所有者权益合计     1,565,238,947.44       -70,624,069.04   1,494,614,878.40
负债和所有者权益
总计
(2)对 2024 年前三季度合并利润表的影响
     项目       调整前金额                 调整金额              调整后金额
营业收入        1,857,493,931.25       -68,088,140.18   1,789,405,791.07
营业成本        1,548,432,133.52       -23,812,100.69   1,524,620,032.83
税金及附加           5,362,206.01         -711,201.33        4,651,004.68
销售费用         122,696,605.03          -775,500.00     121,921,105.03
研发费用          87,705,493.50          -351,999.99       87,353,493.51
信用减值损失         3,497,315.93           -1,708,092.02      1,789,223.91
资产减值损失        -6,350,008.76          -20,788,780.68    -27,138,789.44
营业利润          22,552,869.04          -64,934,210.87    -42,381,341.83
利润总额          21,935,813.04          -64,934,210.87    -42,998,397.83
所得税费用         -4,009,215.06           -9,597,331.60    -13,606,546.66
净利润           25,945,028.10          -55,336,879.27    -29,391,851.17
归属于母公司股东
的净利润
归属于母公司股东
的扣除非经常性损      19,023,181.11          -55,336,879.27    -36,313,698.16
益后的净利润
基本每股收益                 0.08                   -0.21             -0.13
稀释每股收益                 0.08                   -0.21             -0.13
  (1)对 2024 年 12 月 31 日合并资产负债表的影响
      项目       调整前金额                    调整金额             调整后金额
应收账款          855,038,169.12         -108,741,555.17     746,296,613.95
其他应收款           22,802,319.75             199,500.00      23,001,819.75
存货            280,080,990.81            1,509,955.74     281,590,946.55
流动资产合计       1,984,683,550.94        -107,032,099.43   1,877,651,451.51
递延所得税资产         28,299,763.50          13,397,135.71      41,696,899.21
非流动资产合计       433,542,070.60           13,397,135.71     446,939,206.31
资产总计         2,418,225,621.54         -93,634,963.72   2,324,590,657.82
应付职工薪酬          69,534,502.63          -2,500,456.50      67,034,046.13
应交税费            60,936,251.87         -13,806,419.22      47,129,832.65
流动负债合计       1,000,700,685.28         -16,306,875.72     984,393,809.56
其他非流动负债         28,578,072.72          -1,503,333.34      27,074,739.38
非流动负债合计         61,098,484.25          -1,503,333.34      59,595,150.91
负债合计            1,061,799,169.53         -17,810,209.06    1,043,988,960.47
盈余公积               94,928,762.95          -1,528,718.97       93,400,043.98
未分配利润            163,450,001.59          -74,298,337.89       89,151,663.70
归属于母公司股东
权益合计
少数股东权益             18,982,529.98               2,302.20       18,984,832.18
股东权益合计          1,356,426,452.01         -75,824,754.66    1,280,601,697.35
负债和股东权益总

     (2) 对 2024 年 12 月 31 日母公司资产负债表的影响
     项目         调整前金额                    调整金额               调整后金额
应收账款            667,203,909.43      -108,750,443.34        558,453,466.09
其他应收款           179,161,485.63              199,500.00     179,360,985.63
存货              225,350,778.92           1,509,955.74      226,860,734.66
流动资产合计        1,655,129,627.90      -107,040,987.60       1,548,088,640.30
递延所得税资产          24,435,882.79           13,397,300.25       37,833,183.04
非流动资产合计         517,889,719.78           13,397,300.25     531,287,020.03
资产总计          2,173,019,347.68          -93,643,687.35    2,079,375,660.33
应付职工薪酬           31,398,943.54           -2,500,456.50       28,898,487.04
应交税费             46,107,023.31          -13,806,419.22       32,300,604.09
流动负债合计          716,022,769.88          -16,306,875.72     699,715,894.16
其他非流动负债          28,578,072.72           -1,503,333.34       27,074,739.38
非流动负债合计          59,433,894.39           -1,503,333.34       57,930,561.05
负债合计            775,456,664.27          -17,810,209.06     757,646,455.21
盈余公积             94,928,762.95           -1,528,718.97       93,400,043.98
未分配利润           225,960,856.33          -74,304,759.32     151,656,097.01
归属于母公司股东      1,397,562,683.41          -75,833,478.29    1,321,729,205.12
权益合计
股东权益合计       1,397,562,683.41        -75,833,478.29   1,321,729,205.12
负债和股东权益总

    (3) 对 2024 年度合并利润表的影响
    项目         调整前金额                  调整金额              调整后金额
营业收入         2,790,183,357.93        -80,074,579.73   2,710,108,778.20
营业成本         2,404,180,105.51        -25,282,912.99   2,378,897,192.52
税金及附加            3,911,721.38         -1,220,012.31       2,691,709.07
销售费用          187,048,781.57          -3,534,456.51    183,514,325.06
研发费用          101,731,561.00           -469,333.33     101,262,227.67
信用减值损失         -1,440,036.46              16,984.39      -1,423,052.07
资产减值损失        -192,205,637.78        -21,686,081.01   -213,891,718.79
营业利润          -198,122,453.54        -71,236,961.21   -269,359,414.75
利润总额          -199,649,005.45        -71,236,961.21   -270,885,966.66
所得税费用         -15,189,551.56         -10,699,396.32    -25,888,947.88
净利润           -184,459,453.89        -60,537,564.89   -244,997,018.78
归属于母公司股东
              -184,082,578.00        -60,539,867.09   -244,622,445.09
的净利润
少数股东损益            -376,875.89             2,302.20        -374,573.69
归属于母公司股东
的扣除非经常性损      -187,798,707.48        -60,539,867.09   -248,338,574.57
益后的净利润
基本每股收益                  -0.71                 -0.23              -0.94
稀释每股收益                  -0.71                 -0.23              -0.94
    (4) 对 2024 年度母公司利润表的影响
     项目       调整前金额                  调整金额              调整后金额
营业收入        1,779,849,389.95        -80,074,579.73   1,699,774,810.22
营业成本        1,546,815,768.22        -25,282,912.99   1,521,532,855.23
税金及附加           2,340,498.74         -1,220,012.31       1,120,486.43
销售费用         115,867,222.04          -3,534,456.51    112,332,765.53
研发费用          68,045,959.41           -469,333.33       67,576,626.08
信用减值损失        -1,940,473.98              8,096.22       -1,932,377.76
资产减值损失       -159,579,721.32        -21,686,081.01   -181,265,802.33
营业利润         -153,605,852.03        -71,245,849.38   -224,851,701.41
利润总额         -154,552,455.51        -71,245,849.38   -225,798,304.89
所得税费用        -11,980,986.05         -10,699,560.86    -22,680,546.91
净利润          -142,571,469.46        -60,546,288.52   -203,117,757.98
(1)对 2025 年 3 月 31 日合并资产负债表的影响
     项目       调整前金额                  调整金额              调整后金额
应收账款         803,163,863.91     -139,920,577.00       663,243,286.91
其他应收款         24,278,058.36          1,702,833.34       25,980,891.70
存货           272,864,840.83          4,567,683.32     277,432,524.15
流动资产合计      1,796,257,496.04    -133,650,060.34      1,662,607,435.70
递延所得税资产       26,230,739.94          16,967,032.20      43,197,772.14
非流动资产合计      425,760,553.00          16,967,032.20    442,727,585.20
资产总计        2,222,018,049.04    -116,683,028.14      2,105,335,020.90
合同负债          68,266,121.50              3,099.12       68,269,220.62
应付职工薪酬        66,168,534.68          -2,500,456.50      63,668,078.18
应交税费          56,111,908.26         -18,045,630.22      38,066,278.04
其他流动负债          7,101,040.87                402.88       7,101,443.75
流动负债合计       774,814,473.96         -20,542,584.72    754,271,889.24
其他非流动负债      23,734,544.27             -79,999.98      23,654,544.29
非流动负债合计      53,723,404.91             -79,999.98      53,643,404.93
负债合计        828,537,878.87         -20,622,584.70    807,915,294.17
盈余公积         94,928,762.95          -1,528,718.97      93,400,043.98
未分配利润       188,217,637.32         -94,532,223.90      93,685,413.42
归属于母公司所有
者权益合计
少数股东权益       17,027,461.68                 499.43      17,027,961.11
所有者权益合计    1,393,480,170.17        -96,060,443.44   1,297,419,726.73
负债和所有者权益
总计
 (2)对 2025 年一季度合并利润表的影响
     项目      调整前金额                  调整金额              调整后金额
营业收入        685,172,711.11         -29,115,460.18    656,057,250.93
营业成本        582,693,017.37         -16,254,865.36    566,438,152.01
税金及附加          1,101,250.11          -454,201.18          647,048.93
销售费用         29,653,764.35             -18,333.33      29,635,431.02
研发费用         22,732,552.43             -61,666.65      22,670,885.78
信用减值损失       -1,739,243.90          1,717,946.17          -21,297.73
资产减值损失       -1,427,412.83         -13,197,137.78    -14,624,550.61
营业利润         25,025,774.19         -23,805,585.27       1,220,188.92
利润总额         24,956,122.30         -23,805,585.27       1,150,537.03
所得税费用          2,143,554.87         -3,569,896.49      -1,426,341.62
净利润          22,812,567.43         -20,235,688.78       2,576,878.65
归属于母公司股东
的净利润
少数股东损益       -1,955,068.30              -1,802.77      -1,956,871.07
归属于母公司股东
的扣除非经常性损     22,648,658.78        -20,233,886.01   2,414,772.77
益后的净利润
基本每股收益                0.09                 -0.07           0.02
稀释每股收益                0.09                 -0.07           0.02
年报以及 2025 年一季报现金流量的影响
  前述事项对公司 2023 年报、2024 年一季报、2024 年半年报、2024 年三季报、
有人份额及收益的议案》。由于前述销售人员触犯法律损害公司利益及声誉,已
不符合持股计划参与条件的情形,决定收回其持有的首期员工持股计划和第二期
员工持股计划的全部份额及收益。其所在事业部调整后的 2023 年度业绩考核结
果为“不达标”,决定收回该事业部另外 2 名首期员工持股计划持有人第一个归
属期的收益。由于上述事项影响,调减 2024 年度股权激励费用共计 150.33 万元,
调减 2025 年一季度股权激励费用共计 8.00 万元。
三、相关审议程序及审核意见
  上述更正事项已经过第五届董事会审计委员会第三次会议审议通过。审计委
会员认为: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》《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》《深圳证券交易所上市公司自律监管指南第 1 号——
业务办理》等相关文件的规定。更正后的财务数据和财务报表能够更客观、如实、
准确地反映公司整体的财务状况和经营成果,审计委员会同意本次会计差错更正
事项。
  董事会认为: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》《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》《深圳证券交易所上市公司自律监管指南第 1
号——业务办理》的有关规定和要求。更正后的财务数据和财务报表能够更客观、
如实、准确地反映公司的财务状况和经营成果。因此,董事会同意本次会计差错
更正。
  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、会计估计变更和差错更正》《公开发行证券的公司信息披露编报规则第
南第 1 号——业务办理》的相关规定。更正后的财务数据及财务报表能够反映公
司实际经营情况及财务状况。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,不存在损害公司和全体股东利益的
情形。因此,监事会同意本次会计差错更正。
四、会计师事务所关于会计差错更正的意见
  致同会计师事务所(特殊普通合伙)对公司前期会计差错更正事项出具了鉴
证报告《关于北京元隆雅图文化传播股份有限公司前期会计差错更正的专项鉴证
报告》(致同专字(2025)第 110A018979 号)。经核查,致同会计师事务所认
为由元隆雅图公司编制的《2023 年度、2024 年度前期会计差错更正专项说明》
符合相关规定,在所有重大方面公允反映了前期会计差错情况。
五、备查文件
特此公告。
                  北京元隆雅图文化传播股份有限公司董事会

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