太原重工: 太原重工关于前期会计差错更正及追溯调整的公告

来源:证券之星 2025-11-01 00:13:15
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 证券代码:600169   证券简称:太原重工     公告编号:2025-052
               太原重工股份有限公司
      关于前期会计差错更正及追溯调整的公告
  本公司董事会及全体董事保证本公告内容不存在任何虚假记载、误导性陈述
或者重大遗漏,并对其内容的真实性、准确性和完整性承担个别及连带责任。
  重要内容提示:
  ? 本次会计差错更正后,公司 2014 年度、2018 年度财务报表由盈转亏,
其余年度报表盈亏性质未发生改变。
  ? 本次会计差错更正及追溯调整事项给广大投资者造成的不便,公司深表
歉意。今后公司将持续提升规范运作水平,进一步提高信息披露质量,切实保障
全体股东的利益。
  公司于 2025 年 10 月 31 日召开第十届董事会第三次会议,审议通过《关于
前期会计差错更正及追溯调整的议案》,同意公司按照《企业会计准则第 28 号
——会计政策、会计估计变更和差错更正》、中国证券监督管理委员会《公开发
行证券的公司信息披露编报规则第 19 号——财务信息的更正及相关披露》有关
规定,对公司相关年度财务报表进行会计差错更正及追溯调整。现公告如下:
  一、前期会计差错更正概述
监会”)下发的《立案告知书》。收到《立案告知书》后,公司高度重视,积极
配合中国证监会的调查工作。2025 年 10 月 31 日,公司收到中国证券监督管理
委员会山西监管局下发的《行政处罚事先告知书》。
  《行政处罚事先告知书》指出:公司 2014 年度、2016 年度营业收入存在跨
期确认情形,影响相关年度营业收入、营业成本、财务费用和净利润,以及各期
应收账款、预付款项、其他应收款、存货、合同资产、应付账款、合同负债等财
务报表项目金额。据此,公司对前期会计差错进行更正。具体如下:
   更 正 后 公 司 2014 年 度 营 业 收 入 减 少 75,666.80 万 元 、 营 业 成 本 减 少
万元、营业成本增加 5,204.82 万元、财务费用增加 484.70 万元、净利润减少
年度营业收入增加 18,521.44 万元、营业成本增加 17,964.25 万元、财务费用增
加 2,209.86 万元、净利润减少 1,652.66 万元;2018 年度营业收入增加 9,260.72
万元、营业成本增加 9,287.31 万元、财务费用增加 12,048.80 万元、净利润减
少 12,075.39 万元;2019 年度营业收入增加 2,924.44 万元、营业成本增加
述年度累计影响营业收入减少 115,762.37 万元、营业成本减少 103,020.81 万元、
财务费用增加 20,172.53 万元、净利润减少 32,914.08 万元。
   更 正 后 公 司 2020 年 度 营 业 收 入 增 加 16,571.82 万 元 、 营 业 成 本 增 加
万元、营业成本增加 4,850.34 万元、财务费用减少 69.95 万元、净利润增加
加 20,248.35 万元、财务费用减少 69.95 万元、净利润增加 5,734.40 万元。
   以上累计影响归母净资产减少 27,179.69 万元,同时公司对 2022 年度、2023
年度、2024 年度及 2025 年一季度、半年度财务报表一并追溯调整。
   二、前期会计差错更正的具体内容及对公司的影响
   本次会计差错更正后,公司 2014 年度、2018 年度财务报表由盈转亏,其余
年度报表盈亏性质未发生改变。具体影响如下:
     (一)对 2014 年度财务报表的影响
                                                                 单位:元
        项目             调整前                调整金额                 调整后
应收账款               8,853,691,842.34      51,679,105.76     8,905,370,948.10
预付款项               1,594,771,956.38    -197,601,546.00     1,397,170,410.38
其他应收款                147,139,072.17     291,903,623.99      439,042,696.16
存货                 6,663,086,666.17    -482,470,589.98     6,180,616,076.19
流动资产合计            20,265,174,713.35    -336,489,406.23    19,928,685,307.12
资产合计              27,600,712,956.24    -336,489,406.23    27,264,223,550.01
应付账款               8,789,742,526.08    -181,142,877.56     8,608,599,648.52
流动负债合计            18,315,355,482.43    -181,142,877.56    18,134,212,604.87
负债合计              22,184,456,177.35    -181,142,877.56    22,003,313,299.79
未分配利润              1,488,439,248.88    -155,346,528.67     1,333,092,720.21
归属于母公司所有者权益合计      5,412,821,516.04    -155,346,528.67     5,257,474,987.37
股东权益合计             5,416,256,778.89    -155,346,528.67     5,260,910,250.22
负债和股东权益总计         27,600,712,956.24    -336,489,406.23    27,264,223,550.01
                                                                 单位:元
        项目              调整前                调整金额                调整后
营业收入                9,023,321,688.96    -756,668,038.80    8,266,653,650.16
营业成本                7,624,379,581.20    -601,321,510.13    7,023,058,071.07
利润总额                   20,336,185.09    -155,346,528.67     -135,010,343.58
净利润                    33,226,422.20    -155,346,528.67     -122,120,106.47
归属于母公司所有者的净利润          32,134,979.94    -155,346,528.67     -123,211,548.73
                                                                 单位:元
       项目            调整前                 调整金额                 调整后
应收账款              7,543,796,284.83      51,679,105.76      7,595,475,390.59
预付款项               991,283,079.35      -197,601,546.00      793,681,533.35
其他应收款              674,671,546.81      291,903,623.99       966,575,170.80
存货                5,454,699,953.80     -482,470,589.98     4,972,229,363.82
       项目            调整前                调整金额                 调整后
流动资产合计           16,724,864,384.61    -336,489,406.23    16,388,374,978.38
资产合计             22,789,496,978.65    -336,489,406.23    22,453,007,572.42
应付账款              7,206,162,485.59    -181,142,877.56     7,025,019,608.03
流动负债合计           14,687,914,793.61    -181,142,877.56    14,506,771,916.05
负债合计             17,458,751,452.97    -181,142,877.56    17,277,608,575.41
未分配利润             1,266,006,378.28    -155,346,528.67     1,110,659,849.61
股东权益合计            5,330,745,525.68    -155,346,528.67     5,175,398,997.01
负债和股东权益总计        22,789,496,978.65    -336,489,406.23    22,453,007,572.42
                                                                单位:元
        项目             调整前               调整金额                 调整后
营业收入               7,097,769,722.28    -756,668,038.80    6,341,101,683.48
营业成本               6,065,539,582.58    -601,321,510.13    5,464,218,072.45
利润总额                 -35,540,818.49    -155,346,528.67     -190,887,347.16
净利润                  -15,766,466.16    -155,346,528.67     -171,112,994.83
     (二)对 2015 年度财务报表的影响
                                                                单位:元
        项目             调整前               调整金额                 调整后
应收账款               8,797,149,439.27   -181,516,743.08     8,615,632,696.19
预付款项               2,017,769,876.99   -402,945,284.77     1,614,824,592.22
其他应收款                143,859,233.12    511,341,623.99      655,200,857.11
存货                 7,071,206,319.44   -246,559,921.20     6,824,646,398.24
流动资产合计            20,558,898,620.90   -319,680,325.06    20,239,218,295.84
资产合计              28,399,857,294.05   -319,680,325.06    28,080,176,968.99
应付账款               7,910,371,044.07   -151,305,103.08     7,759,065,940.99
流动负债合计            18,521,405,936.54   -151,305,103.08    18,370,100,833.46
负债合计              22,960,192,359.40   -151,305,103.08    22,808,887,256.32
未分配利润              1,510,551,270.33   -168,375,221.98     1,342,176,048.35
归属于母公司所有者权益合计      5,435,486,714.11   -168,375,221.98     5,267,111,492.13
股东权益合计             5,439,664,934.65   -168,375,221.98     5,271,289,712.67
负债和股东权益总计         28,399,857,294.05   -319,680,325.06    28,080,176,968.99
                                                                  单位:元
         项目              调整前                调整金额                调整后
营业收入                 6,861,101,805.42     43,866,575.90     6,904,968,381.32
营业成本                 5,443,836,768.79     52,048,229.21     5,495,884,998.00
财务费用                  494,648,308.84       4,847,040.00      499,495,348.84
利润总额                   37,406,503.68      -13,028,693.31      24,377,810.37
净利润                    23,023,399.57      -13,028,693.31        9,994,706.26
归属于母公司所有者的净利润          22,112,021.45      -13,028,693.31        9,083,328.14
                                                                  单位:元
        项目             调整前                 调整金额                 调整后
应收账款               7,810,604,508.54     -181,516,743.08     7,629,087,765.46
预付款项               1,337,683,049.11     -402,945,284.77      934,737,764.34
其他应收款               254,119,601.80      511,341,623.99       765,461,225.79
存货                 5,907,548,377.90     -246,559,921.20     5,660,988,456.70
流动资产合计            16,328,033,927.32     -319,680,325.06    16,008,353,602.26
资产合计              22,610,584,735.13     -319,680,325.06    22,290,904,410.07
应付账款               7,227,707,797.26     -151,305,103.08     7,076,402,694.18
流动负债合计            14,834,110,601.20     -151,305,103.08    14,682,805,498.12
负债合计              17,359,233,400.30     -151,305,103.08    17,207,928,297.22
未分配利润              1,186,612,187.43     -168,375,221.98     1,018,236,965.45
股东权益合计             5,251,351,334.83     -168,375,221.98     5,082,976,112.85
负债和股东权益总计         22,610,584,735.13     -319,680,325.06    22,290,904,410.07
                                                                  单位:元
         项目              调整前                调整金额                调整后
营业收入                 5,290,612,498.49     43,866,575.90     5,334,479,074.39
营业成本                 4,469,325,887.21     52,048,229.21     4,521,374,116.42
财务费用                  436,900,122.01        4,847,040.00     441,747,162.01
利润总额                   -79,969,942.31     -13,028,693.31      -92,998,635.62
净利润                    -79,394,190.85     -13,028,693.31      -92,422,884.16
      (三)对 2016 年度财务报表的影响
                                                                单位:元
        项目              调整前               调整金额                调整后
应收账款                7,800,159,052.90   -611,080,079.73    7,189,078,973.17
预付款项                1,939,317,019.12   -195,815,486.66    1,743,501,532.46
其他应收款                193,831,017.47    854,496,389.78     1,048,327,407.25
存货                  7,329,052,566.26   -130,011,426.22    7,199,041,140.04
流动资产合计             20,540,146,187.28    -82,410,602.83   20,457,735,584.45
资产合计               29,064,093,613.15    -82,410,602.83   28,981,683,010.32
应付账款                7,851,670,502.76   -142,402,177.33    7,709,268,325.43
预收款项                1,163,962,479.79   230,239,461.88     1,394,201,941.67
流动负债合计             21,862,351,831.83    87,837,284.55    21,950,189,116.38
负债合计               24,952,679,247.71    87,837,284.55    25,040,516,532.26
未分配利润                -409,760,714.89   -170,247,887.38     -580,008,602.27
归属于母公司所有者权益合计       4,076,478,767.93   -170,247,887.38    3,906,230,880.55
股东权益合计              4,111,414,365.44   -170,247,887.38    3,941,166,478.06
负债和股东权益总计          29,064,093,613.15    -82,410,602.83   28,981,683,010.32
                                                                单位:元
        项目              调整前               调整金额                调整后
营业收入                4,277,405,819.78   -751,888,249.64    3,525,517,570.14
营业成本                4,208,838,006.70   -786,069,965.00    3,422,768,041.70
财务费用                 554,546,848.78     36,054,380.76      590,601,229.54
利润总额               -1,943,266,684.64     -1,872,665.40   -1,945,139,350.04
净利润                -1,919,681,323.66     -1,872,665.40   -1,921,553,989.06
归属于母公司所有者的净利润      -1,920,311,985.22     -1,872,665.40   -1,922,184,650.62
                                                                单位:元
        项目              调整前               调整金额                调整后
应收账款                6,862,038,896.08   -611,080,079.73    6,250,958,816.35
预付款项                1,146,718,331.95   -195,815,486.66      950,902,845.29
其他应收款                 341,114,613.08    854,496,389.78    1,195,611,002.86
        项目             调整前               调整金额                调整后
存货                 5,917,077,556.03   -130,011,426.22    5,787,066,129.81
流动资产合计            15,759,537,703.52    -82,410,602.83   15,677,127,100.69
资产合计              23,133,979,325.14    -82,410,602.83   23,051,568,722.31
应付账款               6,815,605,988.91   -142,402,177.33    6,673,203,811.58
预收款项                749,910,168.56    230,239,461.88      980,149,630.44
流动负债合计            18,455,959,351.59    87,837,284.55    18,543,796,636.14
负债合计              19,085,726,139.96    87,837,284.55    19,173,563,424.51
未分配利润               -577,613,224.17   -170,247,887.38     -747,861,111.55
股东权益合计             4,048,253,185.18   -170,247,887.38    3,878,005,297.80
负债和股东权益总计         23,133,979,325.14    -82,410,602.83   23,051,568,722.31
                                                              单位:元
        项目             调整前               调整金额                调整后
营业收入               3,069,170,504.67   -751,888,249.64    2,317,282,255.03
营业成本               3,401,856,839.53   -786,069,965.00    2,615,786,874.53
财务费用                 484,379,587.52     36,054,380.76      520,433,968.28
利润总额              -1,795,117,609.60     -1,872,665.40   -1,796,990,275.00
净利润               -1,764,225,411.60     -1,872,665.40   -1,766,098,077.00
      (四)对 2017 年度财务报表的影响
                                                              单位:元
        项目             调整前               调整金额                调整后
应收账款               7,447,986,433.88   -574,851,851.10    6,873,134,582.78
预付款项               1,888,775,774.94   -224,235,486.66    1,664,540,288.28
其他应收款               305,685,018.69    993,145,686.84     1,298,830,705.53
存货                 8,230,794,190.42   -319,562,430.12    7,911,231,760.30
流动资产合计            21,708,366,307.07   -125,504,081.04   21,582,862,226.03
资产合计              30,405,677,802.55   -125,504,081.04   30,280,173,721.51
应付账款               7,146,503,095.47   -100,776,743.21    7,045,726,352.26
预收款项               1,556,187,154.37   162,047,154.19     1,718,234,308.56
流动负债合计            21,061,618,278.27    61,270,410.98    21,122,888,689.25
负债合计              26,241,722,938.08    61,270,410.98    26,302,993,349.06
         项目             调整前                 调整金额                 调整后
未分配利润                -357,558,764.42     -186,774,492.02      -544,333,256.44
归属于母公司所有者权益合计       4,129,450,382.09     -186,774,492.02     3,942,675,890.07
股东权益合计              4,163,954,864.47     -186,774,492.02     3,977,180,372.45
负债和股东权益总计          30,405,677,802.55     -125,504,081.04    30,280,173,721.51
                                                                  单位:元
         项目                调整前               调整金额                 调整后
营业收入                  7,177,096,665.70     185,214,431.58    7,362,311,097.28
营业成本                  5,459,517,362.67     179,642,456.98    5,639,159,819.65
财务费用                    728,437,215.16      22,098,579.24      750,535,794.40
利润总额                     60,385,221.77     -16,526,604.64       43,858,617.13
净利润                      51,417,488.81     -16,526,604.64       34,890,884.17
归属于母公司所有者的净利润            52,201,950.47     -16,526,604.64       35,675,345.83
                                                                  单位:元
         项目             调整前                 调整金额                 调整后
应收账款                6,948,802,407.20     -574,851,851.10     6,373,950,556.10
预付款项                1,446,238,362.44     -224,235,486.66     1,222,002,875.78
其他应收款                 296,701,453.85     993,145,686.84      1,289,847,140.69
存货                  6,781,324,512.14     -319,562,430.12     6,461,762,082.02
流动资产合计             16,714,144,152.03     -125,504,081.04    16,588,640,070.99
资产合计               24,284,253,689.55     -125,504,081.04    24,158,749,608.51
应付账款                7,161,104,386.79     -100,776,743.21     7,060,327,643.58
预收款项                1,195,943,588.01     162,047,154.19      1,357,990,742.20
流动负债合计             18,723,759,186.29       61,270,410.98    18,785,029,597.27
负债合计               20,201,955,998.88       61,270,410.98    20,263,226,409.86
未分配利润                -543,885,252.23     -186,774,492.02      -730,659,744.25
股东权益合计              4,082,297,690.67     -186,774,492.02     3,895,523,198.65
负债和股东权益总计          24,284,253,689.55     -125,504,081.04    24,158,749,608.51
                                                                  单位:元
         项目               调整前                调整金额                调整后
营业收入                  5,410,200,317.22    185,214,431.58    5,595,414,748.80
营业成本                  4,187,080,544.45    179,642,456.98    4,366,723,001.43
财务费用                   531,176,959.67      22,098,579.24      553,275,538.91
利润总额                    31,388,915.11      -16,526,604.64      14,862,310.47
净利润                     33,727,971.94      -16,526,604.64      17,201,367.30
      (五)对 2018 年度财务报表的影响
                                                                  单位:元
        项目             调整前                 调整金额                  调整后
应收账款               6,625,905,742.80      -656,197,735.89     5,969,708,006.91
预付款项               1,271,602,375.76      -337,134,279.40      934,468,096.36
其他应收款               335,616,848.05      1,163,625,906.77     1,499,242,754.82
存货                 9,783,382,639.86      -363,416,285.24     9,419,966,354.62
流动资产合计            22,487,339,643.61      -193,122,393.76    22,294,217,249.85
资产合计              31,563,400,354.26      -193,122,393.76    31,370,277,960.50
应付账款               6,164,323,291.08       21,250,000.00      6,185,573,291.08
预收款项               1,502,955,221.32       93,156,000.34      1,596,111,221.66
流动负债合计            22,285,096,788.91      114,406,000.34     22,399,502,789.25
负债合计              27,359,620,932.02      114,406,000.34     27,474,026,932.36
未分配利润               -319,612,600.21      -307,528,394.10      -627,140,994.31
归属于母公司所有者权益合计      4,167,218,437.54      -307,528,394.10     3,859,690,043.44
股东权益合计             4,203,779,422.24      -307,528,394.10     3,896,251,028.14
负债和股东权益总计         31,563,400,354.26      -193,122,393.76    31,370,277,960.50
                                                                  单位:元
         项目              调整前                 调整金额                调整后
营业收入                 6,428,175,733.35      92,607,215.80    6,520,782,949.15
营业成本                 4,503,351,453.74      92,873,085.91    4,596,224,539.65
财务费用                  813,127,117.12      120,488,031.97      933,615,149.09
利润总额                   63,633,934.72     -120,753,902.08       -57,119,967.36
         项目               调整前               调整金额                调整后
净利润                     39,964,537.21    -120,753,902.08     -80,789,364.87
归属于母公司所有者的净利润           37,946,164.21    -120,753,902.08     -82,807,737.87
                                                                 单位:元
         项目             调整前                调整金额                 调整后
应收账款                6,193,341,041.82     -656,197,735.89    5,537,143,305.93
预付款项                 840,083,505.63      -337,134,279.40     502,949,226.23
其他应收款                395,747,518.95     1,163,625,906.77    1,559,373,425.72
存货                  6,897,810,128.24     -363,416,285.24    6,534,393,843.00
流动资产合计             16,277,183,309.02     -193,122,393.76   16,084,060,915.26
资产合计               23,676,646,684.71     -193,122,393.76   23,483,524,290.95
应付账款                5,661,945,438.84      21,250,000.00     5,683,195,438.84
预收款项                 976,866,528.31       93,156,000.34     1,070,022,528.65
流动负债合计             17,598,467,577.96     114,406,000.34    17,712,873,578.30
负债合计               19,578,602,364.78     114,406,000.34    19,693,008,365.12
未分配利润                -526,494,478.67     -307,528,394.10     -834,022,872.77
股东权益合计              4,098,044,319.93     -307,528,394.10    3,790,515,925.83
负债和股东权益总计          23,676,646,684.71     -193,122,393.76   23,483,524,290.95
                                                                 单位:元
         项目              调整前                调整金额                调整后
营业收入                 4,837,216,218.05      92,607,215.80   4,929,823,433.85
营业成本                 3,611,300,867.31      92,873,085.91   3,704,173,953.22
财务费用                   602,595,851.11    120,488,031.97      723,083,883.08
利润总额                    20,349,475.16    -120,753,902.08    -100,404,426.92
净利润                     17,390,773.56    -120,753,902.08    -103,363,128.52
      (六)对 2019 年度财务报表的影响
                                                                 单位:元
         项目            调整前                 调整金额                调整后
应收账款               6,155,802,819.42     -680,300,654.69    5,475,502,164.73
预付款项               1,229,989,707.37     -213,271,197.45    1,016,718,509.92
        项目              调整前                 调整金额                  调整后
其他应收款                277,298,392.38    1,295,599,712.35       1,572,898,104.73
存货                 10,889,237,374.93      -410,358,850.01    10,478,878,524.92
流动资产合计             24,223,645,529.23        -8,330,989.80    24,215,314,539.43
资产合计               33,641,576,052.51        -8,330,989.80    33,633,245,062.71
预收款项                2,092,093,095.89      320,809,846.61      2,412,902,942.50
流动负债合计             24,864,941,917.35      320,809,846.61     25,185,751,763.96
负债合计               30,266,361,279.97      320,809,846.61     30,587,171,126.58
未分配利润              -1,148,559,193.94      -329,140,836.41    -1,477,700,030.35
归属于母公司所有者权益合计       3,337,163,686.58      -329,140,836.41     3,008,022,850.17
股东权益合计              3,375,214,772.54      -329,140,836.41     3,046,073,936.13
负债和股东权益总计          33,641,576,052.51        -8,330,989.80    33,633,245,062.71
                                                                   单位:元
         项目                 调整前               调整金额                 调整后
营业收入                   7,037,718,395.40      29,244,383.94    7,066,962,779.34
营业成本                   5,203,301,720.38      32,619,561.90    5,235,921,282.28
财务费用                     888,306,994.88      18,237,264.35      906,544,259.23
利润总额                    -803,207,273.59     -21,612,442.31     -824,819,715.90
净利润                     -812,073,886.06     -21,612,442.31     -833,686,328.37
归属于母公司所有者的净利润           -814,342,850.90     -21,612,442.31     -835,955,293.21
                                                                   单位:元
        项目              调整前                 调整金额                  调整后
应收账款                4,860,157,913.73      -680,300,654.69     4,179,857,259.04
预付款项                 875,189,054.59       -213,271,197.45      661,917,857.14
其他应收款                678,431,607.97    1,295,599,712.35       1,974,031,320.32
存货                  7,835,771,497.50      -410,358,850.01     7,425,412,647.49
流动资产合计             17,257,569,125.37        -8,330,989.80    17,249,238,135.57
资产合计               24,848,415,751.96        -8,330,989.80    24,840,084,762.16
预收款项                1,425,369,676.97      320,809,846.61      1,746,179,523.58
流动负债合计             18,080,332,839.38      320,809,846.61     18,401,142,685.99
负债合计               20,679,302,873.50      320,809,846.61     21,000,112,720.11
        项目              调整前                 调整金额                  调整后
未分配利润                -455,003,729.87      -329,140,836.41      -784,144,566.28
股东权益合计              4,169,112,878.46      -329,140,836.41     3,839,972,042.05
负债和股东权益总计          24,848,415,751.96        -8,330,989.80    24,840,084,762.16
                                                                   单位:元
         项目                调整前                调整金额                调整后
营业收入                   4,881,049,093.90      29,244,383.94    4,910,293,477.84
营业成本                   3,817,479,285.95      32,619,561.90    3,850,098,847.85
财务费用                     623,257,579.79      18,237,264.35     641,494,844.14
利润总额                      31,297,420.43     -21,612,442.31        9,684,978.12
净利润                       50,177,469.94     -21,612,442.31       28,565,027.63
      (七)对 2020 年度财务报表的影响
                                                                   单位:元
        项目             调整前                  调整金额                  调整后
应收账款               3,627,713,717.31        35,614,212.39      3,663,327,929.70
预付款项               1,091,638,494.29       -205,139,303.17      886,499,191.12
其他应收款               220,459,082.78     1,295,362,861.17       1,515,821,943.95
存货                11,409,661,079.18        -50,255,682.37    11,359,405,396.81
合同资产               2,637,575,794.99    -1,235,636,557.01      1,401,939,237.98
流动资产合计            24,854,086,016.40       -160,054,468.99    24,694,031,547.41
资产合计              35,430,683,350.58       -160,054,468.99    35,270,628,881.59
合同负债               2,218,923,316.81       157,348,308.15      2,376,271,624.96
流动负债合计            25,016,974,900.97       157,348,308.15     25,174,323,209.12
负债合计              30,344,404,382.68       157,348,308.15     30,501,752,690.83
未分配利润             -1,141,335,335.10       -317,402,777.14    -1,458,738,112.24
归属于母公司所有者权益合计      4,548,437,153.93       -317,402,777.14     4,231,034,376.79
股东权益合计             5,086,278,967.90       -317,402,777.14     4,768,876,190.76
负债和股东权益总计         35,430,683,350.58       -160,054,468.99    35,270,628,881.59
                                                                   单位:元
         项目                 调整前                调整金额               调整后
营业收入                    8,610,886,342.52    165,718,175.63   8,776,604,518.15
营业成本                    6,975,414,308.28    153,980,116.36   7,129,394,424.64
利润总额                      75,628,115.83      11,738,059.27      87,366,175.10
净利润                       31,782,019.05      11,738,059.27      43,520,078.32
归属于母公司所有者的净利润             33,723,319.36      11,738,059.27      45,461,378.63
                                                                   单位:元
        项目              调整前                  调整金额                 调整后
应收账款                3,127,568,088.96        35,614,212.39     3,163,182,301.35
预付款项                 849,274,933.46        -205,139,303.17     644,135,630.29
其他应收款               1,106,592,836.52   1,295,362,861.17       2,401,955,697.69
存货                  7,951,763,233.47        -50,255,682.37    7,901,507,551.10
合同资产                2,203,207,426.79   -1,235,636,557.01       967,570,869.78
流动资产合计             18,922,286,601.80       -160,054,468.99   18,762,232,132.81
资产合计               27,523,313,471.78       -160,054,468.99   27,363,259,002.79
合同负债                1,438,810,724.73       157,348,308.15     1,596,159,032.88
流动负债合计             19,010,694,407.84       157,348,308.15    19,168,042,715.99
负债合计               21,880,415,157.47       157,348,308.15    22,037,763,465.62
未分配利润                -219,985,483.61       -317,402,777.14     -537,388,260.75
股东权益合计              5,642,898,314.31       -317,402,777.14    5,325,495,537.17
负债和股东权益总计          27,523,313,471.78       -160,054,468.99   27,363,259,002.79
                                                                   单位:元
         项目                 调整前                调整金额               调整后
营业收入                   5,150,819,563.19     165,718,175.63   5,316,537,738.82
营业成本                   4,280,558,602.86     153,980,116.36   4,434,538,719.22
利润总额                     237,653,856.22      11,738,059.27     249,391,915.49
净利润                      244,596,218.44      11,738,059.27     256,334,277.71
      (八)对 2021 年度财务报表的影响
                                                                    单位:元
        项目              调整前                  调整金额                  调整后
应收账款                4,913,930,659.92        90,480,336.28      5,004,410,996.20
预付款项                 750,884,500.21         -80,139,303.17      670,745,197.04
其他应收款                139,675,924.41    1,299,112,861.17        1,438,788,785.58
存货                  9,422,879,072.79       -206,057,127.52     9,216,821,945.27
合同资产                2,636,341,555.06   -1,375,193,648.25       1,261,147,906.81
流动资产合计             22,818,281,078.35       -271,796,881.49    22,546,484,196.86
资产合计               31,174,229,939.62       -271,796,881.49    30,902,433,058.13
未分配利润                -977,335,638.34       -271,796,881.49    -1,249,132,519.83
归属于母公司所有者权益合计       4,798,512,629.18       -271,796,881.49     4,526,715,747.69
股东权益合计              5,820,048,144.49       -271,796,881.49     5,548,251,263.00
负债和股东权益总计          31,174,229,939.62       -271,796,881.49    30,902,433,058.13
                                                                    单位:元
         项目                  调整前               调整金额                调整后
营业收入                    8,320,369,713.95     93,409,749.70     8,413,779,463.65
营业成本                    6,606,822,346.30     48,503,394.90     6,655,325,741.20
财务费用                      735,646,442.78        -699,540.85     734,946,901.93
利润总额                      180,250,829.56     45,605,895.65      225,856,725.21
净利润                       173,579,248.11     45,605,895.65      219,185,143.76
归属于母公司所有者的净利润             163,999,696.76     45,605,895.65      209,605,592.41
                                                                    单位:元
        项目              调整前                  调整金额                  调整后
应收账款                4,577,042,762.54        90,480,336.28      4,667,523,098.82
预付款项                 557,394,735.91         -80,139,303.17       477,255,432.74
其他应收款                386,077,300.75    1,299,112,861.17        1,685,190,161.92
存货                  8,303,376,198.43       -206,057,127.52     8,097,319,070.91
合同资产                2,258,801,332.92   -1,375,193,648.25         883,607,684.67
流动资产合计             20,008,479,010.75       -271,796,881.49    19,736,682,129.26
        项目              调整前               调整金额                  调整后
资产合计               27,174,651,655.31    -271,796,881.49    26,902,854,773.82
未分配利润                -363,661,868.49    -271,796,881.49      -635,458,749.98
股东权益合计              5,492,487,832.03    -271,796,881.49     5,220,690,950.54
负债和股东权益总计          27,174,651,655.31    -271,796,881.49    26,902,854,773.82
                                                                 单位:元
        项目              调整前                调整金额                 调整后
营业收入                 7,331,884,799.34      93,409,749.70    7,425,294,549.04
营业成本                 6,013,870,371.04      48,503,394.90    6,062,373,765.94
财务费用                  583,275,573.11         -699,540.85     582,576,032.26
利润总额                  -143,675,424.88      45,605,895.65      -98,069,529.23
净利润                   -143,676,384.88      45,605,895.65      -98,070,489.23
      (九)对 2022 年度财务报表的影响
                                                                 单位:元
        项目               调整前               调整金额                 调整后
应收账款                 6,203,542,416.62    -536,465,837.17    5,667,076,579.45
预付款项                   798,729,295.44     -80,139,303.17     718,589,992.27
其他应收款                  116,078,696.99   1,299,112,861.17    1,415,191,558.16
存货                   9,847,301,608.87    -200,388,658.67    9,646,912,950.20
合同资产                 2,284,256,725.55    -753,915,943.65    1,530,340,781.90
流动资产合计              22,709,076,936.63    -271,796,881.49   22,437,280,055.14
资产合计                31,586,301,256.83    -271,796,881.49   31,314,504,375.34
未分配利润                 -762,342,687.84    -271,796,881.49   -1,034,139,569.33
归属于母公司所有者权益合计        5,086,533,122.93    -271,796,881.49    4,814,736,241.44
股东权益合计               6,389,551,229.45    -271,796,881.49    6,117,754,347.96
负债和股东权益总计           31,586,301,256.83    -271,796,881.49   31,314,504,375.34
                                                                 单位:元
        项目               调整前               调整金额                 调整后
应收账款                 5,929,338,398.90    -536,465,837.17    5,392,872,561.73
预付款项                   608,209,366.05     -80,139,303.17     528,070,062.88
        项目              调整前                调整金额                 调整后
其他应收款                503,689,113.99    1,299,112,861.17     1,802,801,975.16
存货                  8,566,056,005.31    -200,388,658.67     8,365,667,346.64
合同资产                1,945,615,678.65    -753,915,943.65     1,191,699,735.00
流动资产合计             19,883,858,689.52    -271,796,881.49    19,612,061,808.03
资产合计               27,116,446,659.01    -271,796,881.49    26,844,649,777.52
未分配利润                -180,414,383.35    -271,796,881.49      -452,211,264.84
股东权益合计              5,732,238,605.90    -271,796,881.49     5,460,441,724.41
负债和股东权益总计          27,116,446,659.01    -271,796,881.49    26,844,649,777.52
     (十)对 2023 年度财务报表的影响
                                                                 单位:元
        项目             调整前                调整金额                  调整后
应收账款               6,574,977,555.53    -1,290,381,780.82    5,284,595,774.71
预付款项                760,569,664.72       -80,139,303.17      680,430,361.55
其他应收款               693,633,337.64     1,299,112,861.17     1,992,746,198.81
存货                 9,988,033,790.61     -200,388,658.67     9,787,645,131.94
流动资产合计            22,214,059,969.53     -271,796,881.49    21,942,263,088.04
资产合计              32,047,879,283.24     -271,796,881.49    31,776,082,401.75
未分配利润               -576,371,777.50     -271,796,881.49      -848,168,658.99
归属于母公司所有者权益合计      5,225,474,000.43     -271,796,881.49     4,953,677,118.94
股东权益合计             6,510,380,436.62     -271,796,881.49     6,238,583,555.13
负债和股东权益总计         32,047,879,283.24     -271,796,881.49    31,776,082,401.75
                                                                 单位:元
        项目             调整前                调整金额                  调整后
应收账款               6,547,976,986.58    -1,290,381,780.82    5,257,595,205.76
预付款项                544,717,093.79       -80,139,303.17      464,577,790.62
其他应收款              1,208,692,491.87    1,299,112,861.17     2,507,805,353.04
存货                 8,312,184,264.92     -200,388,658.67     8,111,795,606.25
流动资产合计            19,507,383,224.80     -271,796,881.49    19,235,586,343.31
资产合计              26,692,556,821.15     -271,796,881.49    26,420,759,939.66
未分配利润               -684,804,606.52     -271,796,881.49      -956,601,488.01
        项目             调整前                调整金额                 调整后
股东权益合计             5,179,853,218.71     -271,796,881.49    4,908,056,337.22
负债和股东权益总计         26,692,556,821.15     -271,796,881.49   26,420,759,939.66
     (十一)对 2024 年度财务报表的影响
                                                                单位:元
        项目              调整前               调整金额                 调整后
预付款项                 537,874,059.96      -80,139,303.17     457,734,756.79
其他应收款                686,274,359.28       8,731,080.35      695,005,439.63
存货                  8,918,832,438.52    -200,388,658.67    8,718,443,779.85
流动资产合计            20,857,200,269.09     -271,796,881.49   20,585,403,387.60
资产合计              31,247,956,478.27     -271,796,881.49   30,976,159,596.78
未分配利润                -387,922,442.27    -271,796,881.49     -659,719,323.76
归属于母公司所有者权益合计       5,259,438,095.03    -271,796,881.49    4,987,641,213.54
股东权益合计              5,915,060,797.46    -271,796,881.49    5,643,263,915.97
负债和股东权益总计         31,247,956,478.27     -271,796,881.49   30,976,159,596.78
                                                                单位:元
         项目              调整前               调整金额                调整后
预付款项                  442,853,652.83     -80,139,303.17     362,714,349.66
其他应收款                 874,224,668.12       8,731,080.35     882,955,748.47
存货                   7,817,902,876.36   -200,388,658.67    7,617,514,217.69
流动资产合计             18,587,017,523.31    -271,796,881.49   18,315,220,641.82
资产合计               26,143,850,312.62    -271,796,881.49   25,872,053,431.13
未分配利润               -1,181,761,103.18   -271,796,881.49   -1,453,557,984.67
股东权益合计               4,542,933,694.15   -271,796,881.49    4,271,136,812.66
负债和股东权益总计          26,143,850,312.62    -271,796,881.49   25,872,053,431.13
     (十二)对 2025 年一季度财务报表的影响
                                                                单位:元
         项目              调整前               调整金额                调整后
预付款项                  699,053,233.25     -80,139,303.17     618,913,930.08
         项目            调整前                调整金额                 调整后
其他应收款                314,257,163.88       8,731,080.35      322,988,244.23
存货                 8,991,203,775.49    -200,388,658.67     8,790,815,116.82
流动资产合计            22,546,540,098.84    -271,796,881.49    22,274,743,217.35
资产合计              32,996,659,169.88    -271,796,881.49    32,724,862,288.39
未分配利润               -365,947,543.18    -271,796,881.49      -637,744,424.67
归属于母公司所有者权益合计      5,282,639,949.23    -271,796,881.49     5,010,843,067.74
股东权益合计             5,958,668,358.42    -271,796,881.49     5,686,871,476.93
负债和股东权益总计         32,996,659,169.88    -271,796,881.49    32,724,862,288.39
     (十三)对 2025 年半年度财务报表的影响
                                                                单位:元
         项目             调整前                调整金额                调整后
预付款项                  698,918,145.81     -80,139,303.17      618,778,842.64
其他应收款                  89,675,364.80     21,622,175.14       111,297,539.94
存货                  9,399,560,853.52    -200,388,658.67    9,199,172,194.85
流动资产合计             21,901,251,104.85    -258,905,786.70   21,642,345,318.15
资产合计               32,418,329,371.82    -258,905,786.70   32,159,423,585.12
其他应付款                 210,934,994.59     12,891,094.79       223,826,089.38
流动负债合计             16,252,669,632.51     12,891,094.79    16,265,560,727.30
负债合计               26,416,333,008.10     12,891,094.79    26,429,224,102.89
未分配利润                -344,074,152.51    -271,796,881.49     -615,871,034.00
归属于母公司所有者权益合计       5,306,289,930.30    -271,796,881.49    5,034,493,048.81
股东权益合计              6,001,996,363.72    -271,796,881.49    5,730,199,482.23
负债和股东权益总计          32,418,329,371.82    -258,905,786.70   32,159,423,585.12
                                                                单位:元
        项目            调整前                调整金额                  调整后
预付款项                512,337,721.83      -80,139,303.17       432,198,418.66
其他应收款               469,584,735.60      21,622,175.14        491,206,910.74
存货                 8,407,959,502.88    -200,388,658.67     8,207,570,844.21
流动资产合计            20,246,797,118.42    -258,905,786.70    19,987,891,331.72
资产合计              27,677,773,374.12    -258,905,786.70    27,418,867,587.42
        项目           调整前               调整金额                调整后
其他应付款             3,699,455,040.67    12,891,094.79     3,712,346,135.46
流动负债合计           16,751,732,348.42    12,891,094.79    16,764,623,443.21
负债合计             23,287,470,887.06    12,891,094.79    23,300,361,981.85
未分配利润            -1,336,401,317.00   -271,796,881.49   -1,608,198,198.49
股东权益合计            4,390,302,487.06   -271,796,881.49    4,118,505,605.57
负债和股东权益总计        27,677,773,374.12   -258,905,786.70   27,418,867,587.42
   三、审计与风控委员会审议情况
   公司董事会审计与风控委员会认为,公司本次会计差错更正符合《企业会计
 准则 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
 息披露编制规则第 19 号——财务信息的更正及相关披露》相关文件的规定,更
 正后的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,一
 致同意将《关于公司前期会计差错更正及追溯调整的议案》提交公司董事会审议。
   四、会计师事务所出具报告的情况说明
   公司对前期会计差错更正后,2014 年度、2018 年度财务报表由盈转亏,其
 余年度报表盈亏性质未发生改变。根据《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》的规定,会计师事务所预计将自本公
 告披露之日起两个月内完成本次会计差错更正专项鉴证工作以及 2014 年度、
   五、其他说明
   根据《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》等相关规定,公司于同日在上海证券交易所网站(www.sse.com.cn)
 披露更正后的财务报表。
   本次会计差错更正及追溯调整所涉及项目 2021 年已完工,相关项目资产
   因本次差错更正及追溯调整事项给投资者带来的不便公司深表歉意,公司将
进一步提升规范运作水平,健全内部控制制度,持续完善内控管理体系,强化风
险防范能力,进一步提高信息披露质量,切实保障全体股东的利益。
  特此公告。
                      太原重工股份有限公司董事会

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