*ST海钦: 海钦股份关于公司前期会计差错更正及追溯调整的公告

来源:证券之星 2026-04-11 00:37:47
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证券代码:600753     证券简称:*ST 海钦         编号:2026-032
         福建海钦能源集团股份有限公司
     关于公司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。
  ? 福建海钦能源集团股份有限公司(以下简称“公司”)因前期会计差错,
拟采用追溯重述法对2021年度至2024年度,以及2025年第一季度、半年度和第三
季度财务报表的相关项目进行更正。
  ? 公司本次对前期会计差错的更正不会导致已披露的相关年度财务报表出
现盈亏性质的改变,不存在损害公司及全体股东合法权益的情形。
  一、前期会计差错更正的原因
  公司对资产权属进行自查,同时与审计机构中审众环会计师事务所(特殊普
通合伙)(简称“中审众环”)充分沟通,发现公司对部分投资性房地产的控制权
在 2021 年度已出现不利变化,作为投资性房地产核算存在会计差错,应当将与房
产相关的应收款项作为其他应收款核算,并考虑应收款项的可收回性计提坏账准
备。
  公司根据《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》
等相关规定,拟采用追溯重述法对 2021 年度至 2024 年度,以及 2025 年第一季度、
半年度和第三季度财务报表的相关项目进行更正。
  二、前期会计差错更正对公司的影响
  公司本次对前期会计差错的更正不会导致已披露的相关年度财务报表出现盈
亏性质的改变,不存在损害公司及全体股东合法权益的情形。具体影响如下:
  (一)对 2021 年度财务报表的影响
                                                         单位:人民币元
     报表项目          更正前金额               更正后金额               更正金额
投资性房地产              6,427,077.05        3,574,191.42      -2,852,885.63
非流动资产合计            64,936,675.80       62,083,790.17      -2,852,885.63
资产总计              479,464,736.91      476,611,851.28      -2,852,885.63
应交税费                4,530,635.66        4,404,434.28        -126,201.38
流动负债合计            168,907,406.10      168,781,204.72        -126,201.38
负债合计              174,039,027.41      173,912,826.03        -126,201.38
未分配利润             -96,477,426.67      -99,204,110.92      -2,726,684.25
归属于母公司股东权益合计      268,455,989.21      265,729,304.96      -2,726,684.25
股东权益合计            305,425,709.50      302,699,025.25      -2,726,684.25
负债和股东权益总计         479,464,736.91      476,611,851.28      -2,852,885.63
                                                         单位:人民币元
     报表项目           更正前金额              更正后金额               更正金额
投资性房地产               6,427,077.05       3,574,191.42      -2,852,885.63
非流动资产合计             75,626,145.78      72,773,260.15      -2,852,885.63
资产总计               275,002,630.74     272,149,745.11      -2,852,885.63
应交税费                   312,236.70         186,035.32        -126,201.38
流动负债合计              24,555,713.15      24,429,511.77        -126,201.38
负债合计                24,555,713.15      24,429,511.77        -126,201.38
未分配利润             -114,486,498.29    -117,213,182.54      -2,726,684.25
股东权益合计             250,446,917.59     247,720,233.34      -2,726,684.25
负债和股东权益总计          275,002,630.74     272,149,745.11      -2,852,885.63
                                                         单位:人民币元
     报表项目           更正前金额                更正后金额              更正金额
营业总成本             1,606,423,282.74    1,606,189,131.28      -234,151.46
营业成本              1,588,974,002.08    1,588,866,052.00      -107,950.08
税金及附加                   633,094.77          506,893.39      -126,201.38
信用减值损失              -70,152,569.34      -73,113,405.05    -2,960,835.71
营业利润                -61,326,663.46      -64,053,347.71    -2,726,684.25
利润总额                -61,311,835.61      -64,038,519.86    -2,726,684.25
净利润                 -47,251,826.62      -49,978,510.87    -2,726,684.25
持续经营净利润             -47,251,826.62      -49,978,510.87    -2,726,684.25
归属于母公司股东的净利润        -50,188,851.69      -52,915,535.94    -2,726,684.25
综合收益总额              -47,251,826.62      -49,978,510.87    -2,726,684.25
归属于母公司股东的综合收益
                    -50,188,851.69      -52,915,535.94    -2,726,684.25
总额
                                                         单位:人民币元
     报表项目           更正前金额             更正后金额                更正金额
营业成本                  245,801.88         137,851.80        -107,950.08
税金及附加                  62,249.37         -63,952.01        -126,201.38
信用减值损失                                -2,960,835.71      -2,960,835.71
营业利润                -4,706,633.25     -7,433,317.50      -2,726,684.25
利润总额                -4,690,568.25     -7,417,252.50      -2,726,684.25
净利润                 -4,691,814.40     -7,418,498.65      -2,726,684.25
持续经营净利润             -4,691,814.40     -7,418,498.65      -2,726,684.25
综合收益总额              -4,691,814.40     -7,418,498.65      -2,726,684.25
  (二)对 2022 年度财务报表的影响
                                                        单位:人民币元
     报表项目            更正前金额            更正后金额                更正金额
投资性房地产                6,181,275.17     3,436,339.62      -2,744,935.55
非流动资产合计              58,211,854.38    55,466,918.83      -2,744,935.55
资产总计                399,991,671.30   397,246,735.75      -2,744,935.55
应交税费                  3,491,051.67     3,336,805.54        -154,246.13
流动负债合计               78,639,761.24    78,485,515.11        -154,246.13
负债合计                 79,101,000.75    78,946,754.62        -154,246.13
未分配利润               -82,250,519.69   -84,841,209.11      -2,590,689.42
归属于母公司股东权益合计        286,450,418.07   283,859,728.65      -2,590,689.42
股东权益合计              320,890,670.55   318,299,981.13      -2,590,689.42
负债和股东权益总计           399,991,671.30   397,246,735.75      -2,744,935.55
                                                        单位:人民币元
      报表项目           更正前金额             更正后金额               更正金额
投资性房地产                6,181,275.17      3,436,339.62     -2,744,935.55
非流动资产合计              75,815,350.59     73,070,415.04     -2,744,935.55
资产总计                273,255,632.04    270,510,696.49     -2,744,935.55
应交税费                    363,201.22        208,955.09       -154,246.13
流动负债合计               24,532,801.41     24,378,555.28       -154,246.13
负债合计                 24,579,810.32     24,425,564.19       -154,246.13
未分配利润              -120,025,116.04   -122,615,805.46     -2,590,689.42
股东权益合计              248,675,821.72    246,085,132.30     -2,590,689.42
负债和股东权益总计           273,255,632.04    270,510,696.49     -2,744,935.55
                                                        单位:人民币元
        报表项目         更正前金额              更正后金额             更正金额
营业总成本             1,834,440,832.19   1,834,304,837.36    -135,994.83
营业成本              1,822,976,108.33   1,822,868,158.25    -107,950.08
税金及附加                   824,451.37         796,406.62     -28,044.75
营业利润                 24,892,617.61      25,028,612.44     135,994.83
利润总额                 24,704,130.85      24,840,125.68     135,994.83
     报表项目            更正前金额              更正后金额              更正金额
净利润                  16,944,571.14      17,080,565.97      135,994.83
持续经营净利润              16,944,571.14      17,080,565.97      135,994.83
归属于母公司股东的净利润         14,226,906.98      14,362,901.81      135,994.83
综合收益总额               16,954,263.99      17,090,258.82      135,994.83
归属于母公司股东的综合收益总

                                                        单位:人民币元
     报表项目           更正前金额             更正后金额              更正金额
营业成本                   245,801.88        137,851.80     -107,950.08
税金及附加                   63,855.41         35,810.66      -28,044.75
营业利润                -5,352,171.74     -5,216,176.91      135,994.83
利润总额                -5,538,617.75     -5,402,622.92      135,994.83
净利润                 -5,538,617.75     -5,402,622.92      135,994.83
持续经营净利润             -5,538,617.75     -5,402,622.92      135,994.83
综合收益总额              -5,528,924.90     -5,392,930.07      135,994.83
  (三)对 2023 年度财务报表的影响
                                                        单位:人民币元
     报表项目           更正前金额              更正后金额               更正金额
投资性房地产               5,935,473.29       3,298,487.82     -2,636,985.47
非流动资产合计            160,541,311.95     157,904,326.48     -2,636,985.47
资产总计               460,498,849.23     457,861,863.76     -2,636,985.47
应交税费                 9,539,646.39       9,357,355.51       -182,290.88
流动负债合计             163,744,296.83     163,562,005.95       -182,290.88
负债合计               224,855,783.63     224,673,492.75       -182,290.88
未分配利润             -133,745,863.02    -136,200,557.61     -2,454,694.59
归属于母公司股东权益合计       235,643,065.60     233,188,371.01     -2,454,694.59
股东权益合计             235,643,065.60     233,188,371.01     -2,454,694.59
负债和股东权益总计          460,498,849.23     457,861,863.76     -2,636,985.47
                                                        单位:人民币元
     报表项目           更正前金额              更正后金额               更正金额
投资性房地产                5,935,473.29      3,298,487.82     -2,636,985.47
非流动资产合计             111,716,365.26    109,079,379.79     -2,636,985.47
资产总计                266,091,397.19    263,454,411.72     -2,636,985.47
应交税费                    423,652.89        241,362.01       -182,290.88
流动负债合计               24,445,549.72     24,263,258.84       -182,290.88
负债合计                 24,456,966.17     24,274,675.29       -182,290.88
未分配利润              -127,750,947.62   -130,205,642.21     -2,454,694.59
股东权益合计              241,634,431.02    239,179,736.43     -2,454,694.59
负债和股东权益总计           266,091,397.19    263,454,411.72     -2,636,985.47
                                                           单位:人民币元
      报表项目              更正前金额              更正后金额             更正金额
营业总成本                  866,602,532.42     866,466,537.59    -135,994.83
营业成本                   806,216,026.12     806,108,076.04    -107,950.08
税金及附加                    1,371,921.21       1,343,876.46     -28,044.75
营业利润                   -50,351,840.58     -50,215,845.75     135,994.83
利润总额                   -50,888,354.46     -50,752,359.63     135,994.83
净利润                    -51,369,284.55     -51,233,289.72     135,994.83
持续经营净利润                -51,369,284.55     -51,233,289.72     135,994.83
归属于母公司股东的净利润           -51,495,343.33     -51,359,348.50     135,994.83
综合收益总额                 -51,366,934.04     -51,230,939.21     135,994.83
归属于母公司股东的综合收益总额        -51,492,992.82     -51,356,997.99     135,994.83
                                                           单位:人民币元
      报表项目            更正前金额              更正后金额              更正金额
营业成本                     245,801.88         137,851.80     -107,950.08
税金及附加                     64,774.33          36,729.58      -28,044.75
营业利润                  -7,688,432.04      -7,552,437.21      135,994.83
利润总额                  -7,725,831.58      -7,589,836.75      135,994.83
净利润                   -7,725,831.58      -7,589,836.75      135,994.83
持续经营净利润               -7,725,831.58      -7,589,836.75      135,994.83
综合收益总额                -7,723,481.07      -7,587,486.24      135,994.83
  (四)对 2024 年度财务报表的影响
                                                           单位:人民币元
     报表项目           更正前金额               更正后金额                 更正金额
投资性房地产               5,049,035.39        2,520,000.00       -2,529,035.39
非流动资产合计            106,627,842.69      104,098,807.30       -2,529,035.39
资产总计               162,003,552.78      159,474,517.39       -2,529,035.39
应交税费                   627,324.22          416,988.59         -210,335.63
流动负债合计             133,660,239.29      133,449,903.66         -210,335.63
负债合计               165,380,410.47      165,170,074.84         -210,335.63
未分配利润             -369,298,139.28     -371,616,839.04       -2,318,699.76
归属于母公司股东权益合计        -3,439,609.78       -5,758,309.54       -2,318,699.76
股东权益合计              -3,376,857.69       -5,695,557.45       -2,318,699.76
负债和股东权益总计          162,003,552.78      159,474,517.39       -2,529,035.39
                                                           单位:人民币元
     报表项目          更正前金额                更正后金额                 更正金额
投资性房地产              5,049,035.39         2,520,000.00       -2,529,035.39
非流动资产合计            57,675,323.07        55,146,287.68       -2,529,035.39
     报表项目           更正前金额                更正后金额               更正金额
资产总计               219,481,107.67        216,952,072.28    -2,529,035.39
应交税费                   482,360.22            272,024.59      -210,335.63
流动负债合计              42,104,944.77         41,894,609.14      -210,335.63
负债合计                45,055,143.76         44,844,808.13      -210,335.63
未分配利润             -191,426,668.77       -193,745,368.53    -2,318,699.76
股东权益合计             174,425,963.91        172,107,264.15    -2,318,699.76
负债和股东权益总计          219,481,107.67        216,952,072.28    -2,529,035.39
                                                         单位:人民币元
      报表项目              更正前金额               更正后金额          更正金额
营业总成本                  463,932,726.13      463,796,731.30 -135,994.83
营业成本                   408,385,400.89      408,277,450.81 -107,950.08
税金及附加                      418,911.75          390,867.00  -28,044.75
营业利润                  -208,789,327.12     -208,653,332.29  135,994.83
利润总额                  -213,034,919.34     -212,898,924.51  135,994.83
净利润                   -235,528,177.33     -235,392,182.50  135,994.83
持续经营净利润               -235,528,177.33     -235,392,182.50  135,994.83
归属于母公司股东的净利润          -235,552,276.26     -235,416,281.43  135,994.83
综合收益总额                -235,533,606.66     -235,397,611.83  135,994.83
归属于母公司股东的综合收益总额       -235,557,705.59     -235,421,710.76  135,994.83
                                                          单位:人民币元
   报表项目        更正前金额                更正后金额                  更正金额
营业成本               245,801.88           137,851.80         -107,950.08
税金及附加               64,195.71            36,150.96          -28,044.75
营业利润           -62,941,364.02       -62,805,369.19          135,994.83
利润总额           -60,728,376.27       -60,592,381.44          135,994.83
净利润            -63,675,721.15       -63,539,726.32          135,994.83
持续经营净利润        -63,675,721.15       -63,539,726.32          135,994.83
综合收益总额         -63,681,150.48       -63,545,155.65          135,994.83
  (五)对 2025 年第一季度财务报表的影响
                                                          单位:人民币元
     报表项目           更正前金额              更正后金额                 更正金额
投资性房地产              4,994,864.87       2,492,817.00        -2,502,047.87
非流动资产合计           102,514,559.91     100,012,512.04        -2,502,047.87
资产总计              218,609,922.67     216,107,874.80        -2,502,047.87
应交税费                  784,572.69         574,237.06          -210,335.63
流动负债合计            194,857,695.33     194,647,359.70          -210,335.63
负债合计              223,517,551.13     223,307,215.50          -210,335.63
未分配利润            -370,828,841.48    -373,120,553.72        -2,291,712.24
归属于母公司股东权益合计       -4,970,311.98      -7,262,024.22        -2,291,712.24
     报表项目           更正前金额                更正后金额                更正金额
股东权益合计             -4,907,628.46        -7,199,340.70       -2,291,712.24
负债和股东权益总计         218,609,922.67       216,107,874.80       -2,502,047.87
                                                           单位:人民币元
       报表项目             更正前金额               更正后金额             更正金额
营业总成本                  84,793,804.04       84,766,816.52     -26,987.52
营业成本                   82,014,306.61       81,987,319.09     -26,987.52
营业利润                   -1,137,166.11       -1,110,178.59      26,987.52
利润总额                   -1,307,166.11       -1,280,178.59      26,987.52
净利润                    -1,530,770.77       -1,503,783.25      26,987.52
持续经营净利润                -1,530,770.77       -1,503,783.25      26,987.52
归属于母公司股东的净利润           -1,530,702.20       -1,503,714.68      26,987.52
综合收益总额                 -1,530,770.77       -1,503,783.25      26,987.52
归属于母公司所有者的综合收益总
                       -1,530,702.20       -1,503,714.68        26,987.52

  (六)对 2025 年半年度财务报表的影响
                                                           单位:人民币元
     报表项目           更正前金额             更正后金额                   更正金额
投资性房地产              4,940,694.35      2,465,634.00          -2,475,060.35
非流动资产合计            99,714,495.14     97,239,434.79          -2,475,060.35
资产总计              306,697,379.63    304,222,319.28          -2,475,060.35
应交税费                4,160,364.88      3,950,029.25            -210,335.63
流动负债合计            276,738,030.53    276,527,694.90            -210,335.63
负债合计              302,605,609.80    302,395,274.17            -210,335.63
未分配利润            -361,829,424.81   -364,094,149.53          -2,264,724.72
归属于母公司股东权益合计        4,029,104.69      1,764,379.97          -2,264,724.72
股东权益合计              4,091,769.83      1,827,045.11          -2,264,724.72
负债和股东权益总计         306,697,379.63    304,222,319.28          -2,475,060.35
                                                           单位:人民币元
     报表项目           更正前金额             更正后金额                   更正金额
投资性房地产              4,940,694.35      2,465,634.00          -2,475,060.35
非流动资产合计            95,558,290.48     93,083,230.13          -2,475,060.35
资产总计              229,747,495.49    227,272,435.14          -2,475,060.35
应交税费                  483,865.23        273,529.60            -210,335.63
流动负债合计             53,287,286.64     53,076,951.01            -210,335.63
负债合计              302,605,609.80    302,395,274.17            -210,335.63
未分配利润            -192,223,200.23   -194,487,924.95          -2,264,724.72
股东权益合计            173,629,432.45    171,364,707.73          -2,264,724.72
负债和股东权益总计         229,747,495.49    227,272,435.14          -2,475,060.35
                                                         单位:人民币元
        报表项目        更正前金额                更正后金额             更正金额
营业总成本              316,261,003.71       316,207,028.67     -53,975.04
营业成本               308,257,341.30       308,203,366.26     -53,975.04
营业利润                12,130,763.63        12,184,738.67      53,975.04
利润总额                10,933,950.20        10,987,925.24      53,975.04
净利润                  7,468,627.52         7,522,602.56      53,975.04
持续经营净利润              7,468,627.52         7,522,602.56      53,975.04
归属于母公司股东的净利润         7,468,714.47         7,522,689.51      53,975.04
综合收益总额               7,468,627.52         7,522,602.56      53,975.04
归属于母公司所有者的综合收
益总额
                                                         单位:人民币元
        报表项目        更正前金额                更正后金额             更正金额
营业成本                  108,341.04            54,366.00      -53,975.04
营业利润                 -910,155.81          -856,180.77       53,975.04
利润总额                 -913,099.94          -859,124.90       53,975.04
净利润                  -796,531.46          -742,556.42       53,975.04
持续经营净利润              -796,531.46          -742,556.42       53,975.04
综合收益总额               -796,531.46          -742,556.42       53,975.04
  (七)对 2025 年第三季度财务报表的影响
                                                         单位:人民币元
     报表项目           更正前金额              更正后金额                更正金额
投资性房地产              4,886,523.83       2,438,451.00       -2,448,072.83
非流动资产合计            97,525,886.19      95,077,813.36       -2,448,072.83
资产总计              282,758,718.34     280,310,645.51       -2,448,072.83
应交税费                6,404,504.69       6,194,169.06         -210,335.63
流动负债合计            235,491,109.36     235,280,773.73         -210,335.63
负债合计              260,458,715.25     260,248,379.62         -210,335.63
未分配利润            -343,621,139.15    -345,858,876.35       -2,237,737.20
归属于母公司股东权益合计       22,237,390.35      19,999,653.15       -2,237,737.20
股东权益合计             22,300,003.09      20,062,265.89       -2,237,737.20
负债和股东权益总计         282,758,718.34     280,310,645.51       -2,448,072.83
                                                         单位:人民币元
        报表项目        更正前金额                更正后金额             更正金额
营业总成本              648,416,508.82       648,335,546.26     -80,962.56
营业成本               636,528,891.78       636,447,929.22     -80,962.56
营业利润                35,826,021.58        35,906,984.14      80,962.56
     报表项目         更正前金额            更正后金额           更正金额
营业总成本            648,416,508.82   648,335,546.26   -80,962.56
利润总额              34,597,252.55    34,678,215.11    80,962.56
净利润               25,676,860.78    25,757,823.34    80,962.56
持续经营净利润           25,676,860.78    25,757,823.34    80,962.56
归属于母公司股东的净利润      25,677,000.13    25,757,962.69    80,962.56
综合收益总额            25,676,860.78    25,757,823.34    80,962.56
基本每股收益(元/股)               0.111            0.112        0.001
稀释每股收益(元/股)               0.111            0.112        0.001
  三、会计师事务所意见
  中审众环就公司上述前期会计差错更正出具了《关于福建海钦能源集团股份
有限公司前期会计差错更正专项说明的专项鉴证报告》,中审众环认为:公司的
前期会计差错更正专项说明在所有重大方面按照中国证券监督管理委员会发布的
《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》
的规定编制。公司 2025 年第一季度、半年度和第三季度财务报表的相关项目与数
据未经审计。
  四、审计委员会意见
  公司董事会审计委员会于 2026 年 4 月 8 日召开的 2026 年第三次会议审议通
过了《关于公司前期会计差错更正及追溯调整的议案》。董事会审计委员会认为:
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》、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,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和经营成果,不存在损害
公司及全体股东利益的情形。董事会审计委员会同意公司本次对前期会计差错更
正并同意提交董事会审议。
  五、董事会意见
  公司董事会于 2026 年 4 月 9 日召开的第八届董事会第三十八次会议审议通过
了《关于公司前期会计差错更正及追溯调整的议案》,公司董事会认为: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》以及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》《监管规则适用指引—会计类第 3 号》等相关
规定和要求,符合公司实际情况,更正后的财务信息能够客观、准确地反映公司
的财务状况和经营成果,不存在损害公司和股东利益,特别是中小股东利益的情
形。董事会同意公司本次对前期会计差错更正。
  六、其他说明
  公司就本次对前期会计差错更正给投资者带来的不便致以诚挚歉意,后续将
进一步加强对财务会计工作的监督和检查,持续加强财务人员的培训学习,避免
此类问题再次发生。
  公司将积极推进上述前期会计差错更正后涉及的财务报表和附注的更正工作,
在本公告之日起 2 个月内完成披露。因本次更正给投资者造成的不便,公司致以
诚挚的歉意。
  特此公告。
                        福建海钦能源集团股份有限公司
                                   董事会
                            二〇二六年四月十一日

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