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首页 公告 深华发A:2024年度财务决算报告

深华发A:2024年度财务决算报告

公告日期:2025-04-22


              深圳中恒华发股份有限公司

                2024 年度财务决算报告

  公司 2024 年度财务会计报告系按照《企业会计准则》的规定编制,在所有重
大方面公允反映了公司截止 2024 年 12 月 31 日的财务状况以及 2024 年度的经营成
果和现金流量情况。详细情况如下:

  一、2024 年公司的资产状况

  截至 2024 年 12 月 31 日,公司资产总额 68025.94 万元,负债总额 27726.46 万
元,归属于母公司股东权益为 40299.48 万元,资产负债率 40.76%。

  1. 资产负债表主要项目分析

                                                          (金额单位:人民币元)

 项目            2024 年 12 月 31 日    2024 年 1 月 1 日    增减比率      变动原因分析

                                                                    本期销售增长,回款增
 货币资金              203,169,481.08      110,027,701.36    84.65%  加;本期采购现金付款减
                                                                    少

 应收票据                7,492,500.00        5,660,196.84    32.37%  本期销售增长,回款增加

 应收账款              137,308,706.33      111,615,906.26    23.02%

 预付款项              12,914,673.96        22,630,668.12  -42.93%  本期末预定原材料减少

 投资性房地产          40,849,327.59        42,630,144.33    -4.18%

 固定资产              163,832,355.78      156,905,219.13    4.41%

 无形资产              34,118,614.02        35,745,920.23    -4.55%

 长期待摊费用            312,762.05          271,397.98    15.24%

 递延所得税资产        9,780,562.38        7,741,309.45    26.34%

                                                                    本期销售增长对应采购
 应付票据              89,759,131.93        41,104,650.60  118.37%  增长,部分供应商现金结
                                                                    算转为票据结算

 应付账款              113,419,533.44        92,494,000.69    22.62%

 应付职工薪酬          9,075,932.81        7,316,651.50    24.04%

 应交税费              12,565,042.47        11,666,022.47    7.71%

 其他应付款            36,343,500.49        31,657,264.99    14.80%

 预计负债                                                          本期销售增长,售后服务
                        3,662,485.00        2,545,210.00    43.90%  费增加

  2. 资产运营状况指标分析


        项目                2024 年度            2023 年度            2022 年度

 应收帐款周转率(次)                      5.68                5.90                5.05

 存货周转率(次)                        10.37                8.64                7.02

  整体上公司运营状况良好:

  (1)应收帐款周转率(次)维持在一定的水平,总体回款情况控制较好,保证
了公司现金流的正常运转。

  (2)公司存货管理严格,存货周转率保持在较好的水平,减少了存货积压,使
企业周转资金得到充分利用。

  3. 偿债能力分析

      项目              2024 年度            2023 年度              2022 年度

    流动比率(倍)                    1.59                  1.65                    1.71

    速动比率(倍)                    1.37                  1.30                    1.38

  资产负债比率(%)                40.76                  35.68                  41.92

  2024 年末公司净资产为 40365.9 万元,公司资产负债结构合理,有较强的偿债

能力。

    二、公司 2024 年度经营情况

    1.经营计划或盈利预测完成情况

  2024 年度,公司实现营业收入 81668.27 万元,同比 2023 年增加 12.41%;实

现营业利润 4020.08 万元,同比增加 121.01%;归属于母公司的净利润 3673.83 万

元,同比增加 175.35%。

  2. 营业收入、成本、费用、利润与上年同期对比情况

                                                          (金额单位:人民币元)

      项目            2024 年            2023 年        增减比率        变动原因分析

 营业收入              816,682,662.07      726,541,177.76      12.41%

 营业成本              725,116,468.05      654,797,158.36      10.74%

 营业税金及附加          4,028,235.92        4,164,190.80        -3.26%

 销售费用                4,903,159.52        5,038,137.01        -2.68%

 管理费用              27,680,561.61      31,147,256.96      -11.13%

 研发费用              11,653,273.78      10,088,853.94      15.51%

 财务费用                                                              本期贷款减少,汇兑收益
                        -2,464,533.69          485,191.77      -607.95%  增加

 其他收益                  704,957.63        1,482,676.03      -52.45%  本期政府补贴减少

 投资收益                  661,149.62          647,855.39        2.05%


 资产处置收益          -1,447,146.44        -4,952,075.03      70.78%  上期泡沫厂设备已处置完

 营业利润              40,200,769.28        18,189,170.29      121.01%  本期销售增加

 营业外收入                323,134.86          340,059.23        -4.98%

 营业外支出                  5,736.43          99,028.38      -94.21%  本期罚款及违约金减少

 利润总额              40,518,167.71      18,430,201.14      119.85%  本期销售增加

 所得税费用              3,779,877.38        5,087,889.62      -25.71%

 净利润                36,738,290.33      13,342,311.52      175.35%  本期销售增长

    三、2024 年度现金流量情况

                                                          (金额单位:人民币元)

        项目              2024 年          2023 年        增减比率      变动原因分析

 经营活动现金流入小计    848,073,518.78    693,880,645.64        22.22%  本期销售增长

 经营活动现金流出小计    738,931,774.97    578,845,360.15        27.66%  本期销售增长

 经营活动产生的现金流

 量净额                  109,141,743.81    115,035,285.49        -5.12%

 投资活动产生的现金流                                                  本期购入固定资产增加
 量净额                  -15,835,043.80      2,019,819.95      -883.98%

 筹资活动产生的现金流                                                  本期归还银行借款减少
 量净额                  -54,441,065.78    -99,609,365.07        45.35%

 汇率变动对现金及现金                                                  本期汇率变化较大

 等价物的影响              1,271,155.07        27,405.36      4538.34%

 现金及现金等价物净增

 加额                      40,136