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首页 公告 ST金鸿:2024年年度财务报告

ST金鸿:2024年年度财务报告

公告日期:2025-04-29


              金鸿控股集团股份有限公司

                                  2024 年年度财务报告

                                      (经审计)

                                      2024 年 4 月


                                              资产负债表

    编制单位:金鸿控股集团股份有限公司                                                          单位:人民币元

          项  目        附注                2024 年 12 月 31 日                              2023 年 12 月 31 日

                                          合并                  公司                  合并                    公司

  流动资产:

    货币资金              五、1        82,951,296.65        582,892.91        38,431,008.55          3,463,896.38

    应收账款              五、2        23,872,736.20      11,400,000.00        22,018,347.16

    应收款项融资          五、3        1,818,660.45                          1,838,169.42

    预付款项              五、4        13,113,454.49                        20,536,652.49

    其他应收款            五、5        56,040,586.75    2,290,145,400.57      281,351,449.46      2,316,704,372.10

      其中:应收利息

            应收股利                  87,200.00      720,000,000.00          218,000.00        720,000,000.00

    存货                  五、6        15,590,863.76                        15,508,698.98

    其他流动资产          五、7        8,806,915.38          73,866.52        6,949,965.16          383,650.16

      流动资产合计                202,194,513.68    2,302,202,160.00      386,634,291.22      2,320,551,918.64

  非流动资产:

    长期股权投资          五、8      109,742,919.28    2,646,714,800.00      125,685,282.81      2,646,714,800.00

    投资性房地产          五、9        8,888,984.78                          9,540,819.14

    固定资产            五、10    1,607,498,991.05        114,276.03    1,715,389,782.50          122,576.76

    在建工程            五、11      101,024,477.91                        75,589,805.97

    使用权资产          五、12        5,148,186.65                          3,697,848.08

    无形资产            五、13      278,163,402.21          3,800.32      286,610,410.76            5,700.28

    商誉                五、14        28,689,498.23                        41,625,610.17

    长期待摊费用        五、15        2,560,754.75                          368,072.39

    递延所得税资产      五、16      106,238,127.89                        62,534,541.61

    其他非流动资产

      非流动资产合计              2,247,955,342.75    2,646,832,876.35    2,321,042,173.43      2,646,843,077.04

        资产总计                  2,450,149,856.43    4,949,035,036.35    2,707,676,464.65      4,967,394,995.68

            公司法定代表人:            主管会计工作的公司负责人:          公司会计机构负责人:

                                    资产负债表(续)


    编制单位:金鸿控股集团股份有限公司                                                          单位:人民币元

            项  目            附注                    2024 年 12 月 31 日                                  2023 年 12 月 31 日

                                                    合并                    公司                    合并                    公司

  流动负债:

    短期借款                    五、17      556,755,887.64                        613,225,788.89

    应付票据                    五、18        11,591,666.37                          7,004,967.15

    应付账款                    五、19      177,770,719.97                        175,521,621.38

    预收款项                    五、20                                                6,000.00

    合同负债                    五、21      127,624,079.14                        123,069,664.91

    应付职工薪酬                五、22        14,297,894.15      6,633,781.77        14,966,190.70      2,634,152.22

    应交税费                    五、23        66,383,517.35        488,079.48        71,861,845.06      1,339,805.67

    其他应付款                  五、24      233,949,640.14    1,836,797,881.26      210,354,437.66    1,779,375,984.81

      其中:应付利息                    99,432,467.03      99,432,467.03        98,987,229.11      98,987,229.11

            应付股利                      7,312,477.24                          7,312,477.24

    一年内到期的非流动负债      五、25      350,091,427.08      279,749,147.13      389,809,081.68      279,749,147.13

    其他流动负债                五、26        18,683,770.43      6,938,891.69        18,263,156.97      6,951,689.79

      流动负债合计                    1,557,148,602.27    2,130,607,781.33    1,624,082,754.40    2,070,050,779.62

  非流动负债:

    长期借款                    五、27      261,118,282.00                        239,812,000.00

    应付债券                    五、28

    租赁负债                    五、29        4,657,786.72                          3,323,989.18

    长期应付款                  五、30        47,769,178.02                        48,537,811.91

    预计负债                    五、31      420,671,300.75      9,778,540.75      410,892,760.00

    递延收益                    五、32        8,778,500.00                          9,973,770.00

    递延所得税负债              五、31        4,474,341.85                          4,750,882.50

      非流动负债合计                    747,469,389.34      9,778,540.75      717,291,213.59

        负债合计                      2,304,617,991.61    2,140,386,322.08