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首页 公告 劲旅环境:2024年度财务决算报告

劲旅环境:2024年度财务决算报告

公告日期:2025-04-25


              劲旅环境科技股份有限公司

                2024 年度财务决算报告

  劲旅环境科技股份有限公司(以下简称“劲旅环境”)2024 年度财务报表已经容诚会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的《审计报告》,会计师的审计意见:劲旅环境财务报表在所有重大方面按照企业会计
准则的规定编制,公允反映了劲旅环境 2024 年 12 月 31 日的合并及母公司财务
状况以及 2024 年度的合并及母公司经营成果和现金流量。现将 2024 年度财务决算的具体情况报告如下:

    一、主要会计数据及财务指标

                                                            单位:元

              项目                    2024 年          2023 年      增减幅度

 营业收入                          1,538,900,982.04    1,454,656,359.20    5.79%

 归属于上市公司股东的净利润          140,676,552.36    129,341,273.11    8.76%

 归属于上市公司股东的扣除非经常      132,753,598.25    107,534,096.01    23.45%
 性损益的净利润

 经营活动产生的现金流量净额          94,019,734.96      66,220,893.26    41.98%

 基本每股收益(元/股)                        1.06              0.97    9.28%

 稀释每股收益(元/股)                        1.06              0.97    9.28%

 加权平均净资产收益率                      7.83%            7.58%    0.25%

              项目              2024年12月31日  2023年12月31日  增减幅度

 总资产                            3,166,693,859.94    2,971,405,947.83    6.57%

 归属于上市公司股东的净资产        1,847,106,552.51    1,761,137,777.82    4.88%

    二、财务状况、经营成果和现金流量情况分析

    (一)资产构成情况

                                                            单位:元

          项目            2024 年 12 月 31 日  2023 年 12 月 31 日    增减幅度

 货币资金                        405,988,511.52      461,708,447.09      -12.07%

 交易性金融资产                  336,096,955.75      226,166,654.52      48.61%

 应收票据                            290,500.00          250,000.00      16.20%

 应收账款                      1,040,289,082.85      775,862,227.98      34.08%

 预付款项                        19,585,670.95      13,205,270.35      48.32%

 其他应收款                      24,921,783.71      19,769,649.22      26.06%

 存货                            76,770,052.94      96,962,875.16      -20.83%

 合同资产                          3,121,644.85        2,677,239.00      16.60%

 一年内到期的非流动资产          16,949,807.44      11,858,135.34      42.94%

  其他流动资产                  34,712,547.42      241,556,903.73      -85.63%

 流动资产合计                  1,958,726,557.43    1,850,017,402.39        5.88%

 长期应收款                      74,705,389.27      79,189,988.35        -5.66%

 长期股权投资                    47,158,477.45      36,445,989.00      29.39%

 其他权益工具投资                  6,078,200.00        6,078,200.00        0.00%

 固定资产                        309,142,803.31      232,955,476.67      32.70%

 在建工程                        32,516,509.24        6,002,952.12      441.68%

 使用权资产                      10,000,704.16      10,034,592.33        -0.34%

 无形资产                        622,820,030.84      636,780,017.82        -2.19%

 长期待摊费用                      2,795,864.63          766,385.79      264.81%

 递延所得税资产                  99,968,348.62      90,717,105.21      10.20%

 其他非流动资产                    2,780,974.99      22,417,838.15      -87.59%

 非流动资产合计                1,207,967,302.51    1,121,388,545.44        7.72%

 资产总计                      3,166,693,859.94    2,971,405,947.83        6.57%

  报告期末资产总额为 316,669.39 万元,较期初增加 6.57%。其中流动资产为
195,872.66 万元,占资产总额的 61.85%,较期初增加 5.88%;非流动资产为120,796.73 万元,占资产总额的 38.15%,较期初增加 7.72%。

  1、报告期末交易性金融资产较期初增加 48.61%,主要系本期利用闲置募集资金进行理财增加所致。

  2、报告期末应收账款较期初增加 34.08%,主要系本期受财政资金紧张,客户回款较慢所致。

  3、报告期末预付款项较期初增加 48.32%,主要系本期材料款和油费预付增加所致。

  4、报告期末一年内到期的非流动资产较期初增加 42.94%,主要系本期分期收款销售商品形成的一年内到期的款项增加所致。

  5、报告期末其他流动资产较期初减少 85.63%,主要系本期购买银行理财产品减少所致。

  6、报告期末固定资产较期初增加 32.70%,主要系本期作业车辆及设备采购增加所致。

  7、报告期末在建工程较期初增加 441.68%,主要系本期新建涂装生产线、焊接生产线所致。

  8、报告期末长期待摊费用较期初增加 264.81%,主要系本期新增设备维修

  9、报告期末其他非流动资产较期初减少 87.59%,主要系本期特许经营权项目资本性投入及环卫设备减少所致。

    (二)负债构成情况

                                                            单位:元

          项目            2024 年 12 月 31 日  2023 年 12 月 31 日    增减幅度

 短期借款                        68,064,942.45      10,009,500.00      580.00%

 应付票据                        10,526,648.84                  -            -

 应付账款                        231,086,964.45      204,175,349.69      13.18%

 合同负债                        39,777,103.67      13,415,673.15      196.50%

 应付职工薪酬                    141,858,251.91      109,398,823.79      29.67%

 应交税费                        13,729,417.57      16,144,400.64      -14.96%

 其他应付款                        7,595,689.52        6,421,430.76      18.29%

 一年内到期的非流动负债          64,026,297.04      69,824,661.65        -8.30%

 其他流动负债                      451,619.86        363,569.38      24.22%

 流动负债合计                    577,116,935.31      429,753,409.06      34.29%

 长期借款                        217,755,600.00      237,200,000.00        -8.20%

 租赁负债                          5,838,956.45        5,727,970.38        1.94%

 长期应付款                        220,583.46        2,785,169.41      -92.08%

 预计负债                        417,159,775.19      459,317,675.85        -9.18%

 递延收益                          4,796,379.73        4,158,161.74      15.35%

 非流动负债合计                  645,771,294.83      709,188,977.38      -8.94%

 负债合计