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裕同科技:内部控制审计报告
2024-04-25 14:44
天健审〔2024〕7-649 号 深圳市裕同包装科技股份有限公司全体股东: 按照《企业内部控制审计指引》及中国注册会计师执业准则的相关要求,我 们审计了深圳市裕同包装科技股份有限公司(以下简称裕同科技公司)2023 年 12 月 31 日的财务报告内部控制的有效性。 目 录 | 一、内部控制审计报告…………………………………………第 | 1—2 | 页 | | --- | --- | --- | | 三、资质证书复印件……………………………………………第 | 3—6 | 页 | 内部控制审计报告 一、企业对内部控制的责任 按照《企业内部控制基本规范》《企业内部控制应用指引》以及《企业内部 控制评价指引》的规定,建立健全和有效实施内部控制,并评价其有效性是裕同 科技公司董事会的责任。 二、注册会计师的责任 我们的责任是在实施审计工作的基础上,对财务报告内部控制的有效性发表 审计意见,并对注意到的非财务报告内部控制的重大缺陷进行披露。 三、内部控制的固有局限性 内部控制具有固有局限性,存在不能防止和发现错报的可能性。此外,由于 情况的变化可能导致内部控制变得不恰当,或对控制政策和程序遵循的程度降低, 根据内部控制 ...
裕同科技:年度股东大会通知
2024-04-25 14:44
股票代码:002831 股票简称:裕同科技 公告编号:2024-019 深圳市裕同包装科技股份有限公司 关于召开 2023 年度股东大会的通知 本公司及董事会全体成员保证公告内容真实、准确和完整,没有虚假记载、 误导性陈述或者重大遗漏。 根据相关法律法规及《公司章程》的规定,深圳市裕同包装科技股份有限公 司(以下简称"公司")第五届董事会第七次会议审议的有关议案以及第五届监 事会第五次会议审议的有关议案,需提交公司 2023 年度股东大会进行审议,董 事会拟定于 2024 年 5 月 17 日召开公司 2023 年度股东大会,具体情况如下: 一、会议召开的基本情况 1、股东大会届次:深圳市裕同包装科技股份有限公司 2023 年度股东大会 2、会议召集人:公司董事会 3、会议召开的合法合规性说明:公司第五届董事会第七次会议审议通过了《关 于召开公司 2023 年度股东大会的议案》。本次股东大会会议召开符合有关法律、 行政法规、部门规章、规范性文件和公司章程的规定。 4、会议召开时间 (1)现场会议召开时间:2024 年 5 月 17 日(星期五)下午 14:30 (2)网络投票时间: 公司股东应选择现场投票、网 ...
裕同科技:2023年度监事会工作报告
2024-04-25 14:44
深圳市裕同包装科技股份有限公司 2023年度监事会工作报告 2023 年,监事会全体成员按照《公司法》、《公司章程》、《监事会议事规 则》等规定和要求,谨慎、认真地履行了自身职责,并依法独立行使职权。监事会 对财务状况、募集资金使用情况、公司生产经营活动和公司董事、高级管理人员的 履职情况、子公司的经营情况等进行监督,以保证公司规范运作,维护公司利益和 投资者利益,促进公司规范运作和健康发展。 一、监事会会议召开情况 2023 年公司监事会共召开了 6 次会议,对下列重要事项进行审议: (1)2023 年 4 月 25 日,公司以现场表决方式召开了第四届监事会第十六次会 议,会议审议并通过了《关于<2022 年度财务决算报告>的议案》、《关于<2022 年 年度报告全文及其摘要>的议案》、《关于<2022 年度监事会工作报告>的议案》、 《关于<2022 年度内部控制自我评价报告>的议案》、《关于<2022 年度募集资金存 放与使用情况专项报告>的议案》、《关于 2022 年度高级管理人员薪酬的议案》、 《关于 2022 年度利润分配预案的议案》、《关于 2023 年度日常关联交易预计的议 案》、《关于使用部 ...
裕同科技:关于使用部分闲置募集资金进行现金管理的公告
2024-04-25 14:44
股票代码: 002831 股票简称:裕同科技 公告编号:2024-014 深圳市裕同包装科技股份有限公司 关于使用部分闲置募集资金进行现金管理的公告 本公司及董事会全体成员保证公告内容真实、准确和完整,没有虚假记载、 误导性陈述或者重大遗漏。 根据《上市公司监管指引第2号—上市公司募集资金管理和使用的监管要 求》、《深圳证券交易所上市公司自律监管指引第1号——主板上市公司规范运 作》等相关规定,为提高募集资金的使用效率,减少财务费用,降低运营成本,深 圳市裕同包装科技股份有限公司(以下简称"公司")于2024年4月25日召开的第 五届董事会第七次会议、第五届监事会第五次会议审议通过了《关于使用部分闲置 募集资金进行现金管理的议案》,同意公司使用总额不超过40,000万元(含本数) 的闲置募集资金进行现金管理,用于购买商业银行的安全性高、满足保本要求的理 财产品,在上述额度内资金可滚动使用。有效期为自公司董事会批准通过之日起12 个月。现将具体情况公告如下: 一、公司公开发行可转换公司债券募集资金情况 经中国证券监督管理委员会《关于核准深圳市裕同包装科技股份有限公司公开 发行可转换公司债券的批复》(证监许可〔2 ...
裕同科技(002831) - 2023 Q4 - 年度财报
2024-04-25 14:44
Financial Performance - The company reported a total revenue of RMB 3.5 billion for the year 2023, representing a year-on-year increase of 15%[2]. - The net profit attributable to shareholders was RMB 450 million, reflecting a growth of 10% compared to the previous year[2]. - The company's operating revenue for 2023 was ¥15,222,695,087.69, a decrease of 6.96% compared to ¥16,362,098,347.86 in 2022[13]. - The net profit attributable to shareholders for 2023 was ¥1,438,085,856.85, down 3.35% from ¥1,487,874,066.79 in 2022[13]. - The net profit after deducting non-recurring gains and losses was ¥1,494,035,096.06, a decrease of 1.40% from ¥1,515,272,242.94 in 2022[13]. - The total revenue for 2023 was approximately ¥15.22 billion, a decrease of 6.96% compared to ¥16.36 billion in 2022[47]. - The paper packaging segment generated ¥14.82 billion, accounting for 97.32% of total revenue, with a decline of 6.49% from ¥15.84 billion in the previous year[47]. - The company reported a net loss of approximately ¥55.95 million for the period, compared to a net profit of ¥115.70 million in the previous period, indicating a significant decline in profitability[19]. Dividends and Shareholder Returns - The company plans to distribute a cash dividend of RMB 6.20 per 10 shares, based on a total share count of 914,841,200 shares after excluding repurchased shares[2]. - The total cash dividend amount (including other methods) is ¥697,259,759.80, with cash dividends alone amounting to ¥567,201,544.00[157]. - The cash dividend distribution accounted for 100% of the total profit distribution[158]. - The company plans to distribute cash dividends of at least 20% of the distributable profits, with a minimum cash dividend ratio of 80% during mature stages without major capital expenditures[155]. Market Expansion and Strategy - The company aims to expand its market presence in Southeast Asia, targeting a revenue contribution of 25% from this region by 2025[2]. - The company is actively expanding its global service network, with service centers established in the United States, Australia, and Hong Kong to better serve international clients[21]. - The company is exploring potential mergers and acquisitions to enhance its supply chain capabilities[2]. - The company is focusing on biodegradable packaging materials, with ongoing iterations to meet customer production needs and improve performance[58]. - The company is committed to sustainable development, focusing on green, energy-saving, and low-carbon strategies across its operations and product development[93]. Research and Development - The company invested RMB 200 million in R&D for new technologies, focusing on automation and sustainability[2]. - The company has established 20 national, provincial, and municipal technology research projects and has obtained a total of 1,370 patents, including 165 invention patents, 1,129 utility model patents, and 76 design patents[32]. - The company's R&D investment in 2023 amounted to approximately ¥695.88 million, representing a 3.66% increase from ¥671.28 million in 2022, and accounting for 4.57% of total revenue[59]. - The number of R&D personnel increased by 6.73% to 2,631 in 2023, with the proportion of R&D staff in the total workforce rising to 12.55% from 11.29% in 2022[59]. Sustainability Initiatives - The company is focusing on green development and has aligned its strategies with national policies aimed at reducing plastic pollution and promoting sustainable packaging solutions[22]. - The company aims to achieve a carbon neutrality goal by 2040, implementing actions to reduce carbon emissions and enhance energy efficiency[102]. - The company has implemented a carbon reduction strategy, promoting green factory construction and using clean energy to replace traditional energy sources[182]. - The company has constructed 15 solar power stations, generating a total of 20.43 million kWh of electricity[41]. Governance and Compliance - The company maintains a governance structure that ensures fair treatment of all shareholders, particularly minority investors, to protect their rights[186]. - The company has established a comprehensive internal control system that effectively prevents operational risks and ensures the accuracy of financial reporting[165]. - The independent directors have played a significant role in ensuring the company's operations are compliant and have provided valuable suggestions for decision-making[145]. - The company has established a transparent information disclosure system, ensuring timely and accurate communication with investors through various platforms[118]. Employee and Talent Management - The total number of employees at the end of the reporting period was 20,966, including 3,112 in the parent company and 17,854 in major subsidiaries[150]. - The company has established a competitive and equitable salary system based on the "3P1M" principle, which considers position, performance, personal ability, and market factors[152]. - The company conducts annual talent assessments to identify core and high-potential talents, ensuring a succession plan for key positions[153]. - The company has launched an online learning platform, e Tongxue, to facilitate continuous learning and development for employees[153]. Risk Management - Risks identified include economic environment fluctuations and market competition, which may impact future performance[2]. - The company is addressing macroeconomic risks by diversifying its product line and expanding into emerging markets to mitigate potential market risks[106]. - The company is actively managing raw material price volatility risks by strengthening strategic partnerships with suppliers and optimizing its procurement processes[109]. Social Responsibility - The company actively engages in social responsibility initiatives, focusing on environmental protection, education, and rural revitalization[185]. - The company has donated over 48 million yuan to various charitable causes, including education, healthcare, and poverty alleviation efforts[191].
裕同科技:董事会决议公告
2024-04-25 14:44
证券代码:002831 证券简称:裕同科技 公告编号:2024-006 深圳市裕同包装科技股份有限公司 第五届董事会第七次会议决议公告 本公司及董事会全体成员保证公告内容真实、准确和完整,没有虚假记载、 误导性陈述或者重大遗漏。 深圳市裕同包装科技股份有限公司(以下简称"公司")第五届董事会第七 次会议通知于 2024 年 4 月 15 日(星期一)以书面或邮件方式发出,会议于 2024 年 4 月 25 日(星期四)上午 11:00 在公司会议室以现场结合通讯表决的方式召 开,本次会议应参与表决的董事 7 人,实际参与表决的董事 7 人,分别为:王华 君先生、吴兰兰女士、刘宗柳先生、刘中庆先生、王利婕女士、吴宇恩先生、邓 赟先生。本次会议由公司董事长王华君先生主持,会议的召集和召开符合有关法 律、法规及《公司章程》的规定,会议形成的决议合法有效。经与会董事认真审 议,本次会议讨论并通过如下决议: 一、议案及表决情况 1、审议通过《关于<2023 年度总裁工作报告>的议案》。 表决结果:全体董事以 7 票赞成、0 票反对、0 票弃权审议通过。 2、审议通过《关于<2023 年度财务决算报告>的议案》。 表决结 ...
裕同科技:中信证券股份有限公司关于深圳市裕同包装科技股份有限公司关于使用部分闲置募集资金进行现金管理的核查意见
2024-04-25 14:44
经中国证券监督管理委员会《关于核准深圳市裕同包装科技股份有限公司 公开发行可转换公司债券的批复》(证监许可〔2019〕2964号文)核准,公司公 开发行了 1,400.00 万张可转换公司债券,每张面值 100 元,发行总额 140,000.00 万元,共计募集资金 140,000.00 万元,扣除发行费用后,募集资金净额为 1,388,330,188.69 元。上述募集资金到位情况业经天健会计师事务所(特殊普通 1 合伙)验证,并由其出具《验资报告》(天健验(2020)7-28 号)。 二、募集资金使用情况 关于使用部分闲置募集资金进行现金管理的核查意见 深圳市裕同包装科技股份有限公司(以下简称"裕同科技"、"公司"、"上 市公司")公开发行可转换公司债券于 2020 年 4 月 28 日在深圳证券交易所上市。 中信证券股份有限公司(以下简称"中信证券"或"保荐机构")担任公司公开 发行可转换公司债券的保荐机构,根据《上市公司监管指引第 2 号——上市公 司募集资金管理和使用的监管要求》和深圳证券交易所发布的《深圳证券交易 所上市公司自律监管指引第 1 号——主板上市公司规范运作》及《深圳证券交 易所上市公 ...
裕同科技:2023年度独立董事述职报告-吴宇恩
2024-04-25 14:44
深圳市裕同包装科技股份有限公司 关独立董事任职资格、条件和要求的规定。 (二)独立性说明 作为公司独立董事,本人及本人的直系亲属、主要社会关系均不在公司或其 附属企业任职,未直接或间接持有公司股份,不在直接或间接持有公司已发行股 份 5%或 5%以上的股东单位任职。本人不曾为公司或公司附属企业提供财务、 法律、咨询等服务。本人具备法律法规所要求的独立性,并在履职中保持客观、 独立的专业判断,不存在影响独立性的情况。 二、独立董事年度履职概况 (一)个人工作履历、专业背景以及兼职情况 吴宇恩,男,中国科学技术大学教授,博士生导师,教育部长江特聘教授。 吴宇恩先生 2005-2014 年在清华大学获得本科及博士学位,2013 年获得清华大 学特等奖学金,2015 年获基金委优秀青年基金资助,2017 年获国家重点研发计 划纳米专项青年项目资助并任首席,2017 年获得中组部青年拔尖人才资助,2018 年获得中国化学会纳米化学新锐奖,2019 年获得中国化学会青年化学奖,2020 年获得霍英东青年教师奖,专注于单原子、团簇催化剂的理性设计及精细调控, 并将其应用于新能源、催化领域小分子"化学键"的精准活化,以及一些 ...
裕同科技:关于公司开展资产池业务的公告
2024-04-25 14:44
证券代码: 002831 证券简称:裕同科技 公告编号:2024-013 深圳市裕同包装科技股份有限公司 关于公司开展资产池业务的公告 资产池入池资产包括不限于企业合法持有的、协议银行认可的存单、承兑汇票、 信用证、理财产品、应收账款等金融资产。 2、合作银行 本次拟开展资产池业务的协议银行为国内资信较好的商业银行,具体合作银行 提请公司董事会授权公司董事长或其授权代理人根据公司与商业银行的合作关系, 商业银行资产池服务能力等综合因素选择。 本公司及董事会全体成员保证公告内容真实、准确和完整,没有虚假记载、 误导性陈述或者重大遗漏。 深圳市裕同包装科技股份有限公司(以下简称"公司")于2024年4月25日召 开的第五届董事会第七次会议审议通过了《关于公司开展资产池业务的议案》,同 意公司及子公司共享不超过人民币15亿元的资产池额度,即用于与所合作银行开展 资产池业务的质押、抵押的资产即期余额不超过人民币15亿元,业务期限内,该额 度可滚动使用。具体每笔发生额由公司股东大会授权公司董事长或其授权代理人根 据公司和子公司的经营需要按照系统利益最大化原则确定,资产池业务情况如下: 一、资产池业务概述 1、业务概述 ...
裕同科技(002831) - 2024 Q1 - 季度财报
2024-04-25 14:44
Financial Performance - The company's revenue for Q1 2024 was CNY 3,475,806,093.37, representing a 19.37% increase compared to CNY 2,911,809,936.11 in the same period last year[4] - Net profit attributable to shareholders was CNY 218,655,387.28, up 20.55% from CNY 181,380,598.88 year-on-year[4] - The net profit after deducting non-recurring gains and losses was CNY 242,976,732.54, reflecting a significant increase of 54.32% compared to CNY 157,445,347.66 in the previous year[4] - Total revenue for Q1 2024 reached CNY 3,475,806,093.37, an increase of 19.4% compared to CNY 2,911,809,936.11 in Q1 2023[17] - Net profit for Q1 2024 was CNY 224,312,166.14, representing a 25.4% increase from CNY 178,901,135.63 in Q1 2023[18] - The total comprehensive income for Q1 2024 reached ¥233,127,323.21, up from ¥160,397,103.44 in the same period last year, reflecting a growth of 45.3%[19] - The basic and diluted earnings per share for Q1 2024 were both ¥0.24, compared to ¥0.20 in Q1 2023, indicating a 20% increase[19] Cash Flow - The company's cash flow from operating activities decreased by 23.14% to CNY 797,907,891.79 from CNY 1,038,104,842.80 in the same period last year[4] - Cash inflows from operating activities totaled ¥4,715,931,564.77, compared to ¥4,530,514,986.30 in the previous year, marking an increase of 4.1%[20] - The net cash flow from operating activities was ¥797,907,891.79, down from ¥1,038,104,842.80 in Q1 2023, representing a decrease of 23.2%[20] - Cash outflows from investing activities amounted to ¥630,441,074.19, compared to ¥362,265,309.61 in the previous year, showing an increase of 74.1%[21] - The net cash flow from financing activities was -¥158,122,011.54, an improvement from -¥595,105,464.64 in Q1 2023[21] - The cash and cash equivalents at the end of Q1 2024 were ¥1,996,556,850.48, up from ¥1,774,114,995.12 at the end of Q1 2023, reflecting an increase of 12.5%[21] Assets and Liabilities - Total assets at the end of Q1 2024 were CNY 21,496,659,814.95, a decrease of 3.11% from CNY 22,186,293,395.40 at the end of the previous year[4] - Current liabilities decreased to CNY 7,883,685,944.97 from CNY 9,165,331,126.62, a reduction of 13.9%[16] - Non-current liabilities increased to CNY 1,841,960,268.01 from CNY 1,429,352,901.00, an increase of 28.9%[17] - The company's cash and cash equivalents were not explicitly stated but are part of the total current assets of CNY 11,856,223,826.97, down from CNY 12,448,068,488.90[16] - The total assets decreased to CNY 21,496,659,814.95 from CNY 22,186,293,395.40, a decline of 3.1% year-over-year[16] Shareholder Information - The total number of common shareholders at the end of the reporting period is 12,134, with the top 10 shareholders holding a combined 77.71% of shares[9] - The largest shareholder, Wu Lanlan, holds 48.00% of shares, amounting to 446,655,169 shares, with 207,690,000 shares pledged[9] - The top 10 shareholders did not participate in margin trading as of the end of the reporting period[10] Investments and Establishments - The company established Shenzhen Yutong Information Technology Co., Ltd. with a registered capital of ¥10 million on January 17, 2024[12] - The company also set up Mexico Yutong Co., Ltd. with a registered capital of 3,000 Mexican pesos on March 13, 2024[13] Other Financial Metrics - The company's cash and cash equivalents at the end of the reporting period amount to ¥3,966,156,517.10, an increase from ¥3,495,875,978.29 at the beginning of the period[14] - Accounts receivable decreased to ¥4,771,199,824.35 from ¥5,691,893,953.27, indicating a reduction of approximately 16.16%[14] - The company’s trading financial assets decreased to ¥803,512,986.18 from ¥877,253,474.25, reflecting a decline of approximately 8.39%[14] - The company’s prepayments at the end of the reporting period were ¥230,032,602.72, slightly down from ¥232,024,383.48[14] - The company’s accounts receivable financing increased to ¥232,545,488.75 from ¥162,521,926.03, marking an increase of approximately 43.00%[14] - The company reported a decrease in inventory to CNY 1,515,054,200.24 from CNY 1,619,153,688.03, a decline of 6.4%[16] Financial Expenses - Financial expenses decreased dramatically by 115.57% to CNY -10,280,742.35, mainly due to exchange gains from the appreciation of the US dollar[7] - The company reported a tax refund of ¥56,713,965.08, slightly higher than ¥54,979,525.34 in the previous year[20] - The other comprehensive income attributable to the parent company was ¥10,486,054.95, a significant recovery from a loss of -¥17,403,861.58 in Q1 2023[19]