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首页 公告 威海广泰:2024年度财务决算报告

威海广泰:2024年度财务决算报告

公告日期:2025-04-22


              威海广泰空港设备股份有限公司

                  2024 年度财务决算报告

        一、财务报表审计情况

        报告期内,公司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

    反映了企业2024年12月31日的合并及母公司财务状况及2024年度的合并及母公司

    经营成果和现金流量。公司编制的2024年度财务报表经中兴华会计师事务所(特殊

    普通合伙)审计,出具了标准无保留意见的审计报告(审计报告文号:中兴华审字

  (2025)第030388号)。

        二、主要会计数据和财务指标

                项  目                      2024 年              2023 年          本年比上年增减

  营业收入(元)                            2,887,540,235.69      2,404,425,547.07              20.09%

  归属于上市公司股东的净利润(元)            74,624,606.86        125,678,711.89            -40.62%

  归属于上市公司股东的扣除非经常性损

  益的净利润(元)                            70,024,536.59        102,396,032.71            -31.61%

  经营活动产生的现金流量净额(元)            77,242,096.22        32,192,582.14            139.94%

  基本每股收益(元/股)                                0.14                0.24            -41.67%

  稀释每股收益(元/股)                                0.14                0.24            -41.67%

  加权平均净资产收益率                              2.40%              4.12%              -1.72%

                项  目                      2024 年末            2023 年末      本年末比上年末增减

  总资产(元)                              6,443,803,845.67      5,988,586,371.04              7.60%

  归属于上市公司股东的净资产(元)          3,114,598,279.64      3,160,293,408.29              -1.45%

        三、财务状况及经营成果分析

      (一)资产负债表主要变动情况分析(除特别说明外,以下所有表格中数据

    以元为单位)

  项  目        2024 年          2023 年        增减金额    变动幅度          变动幅度解释

货币资金                                                                    1、本期货款回收情况较好。
                904,086,236.89    860,162,152.90    43,924,083.99    5.11%  2、本期短期借款增加。

应收票据          34,495,981.78      5,185,812.66    29,310,169.12  565.20%  本期收到的商业承兑汇票增加。

应收账款                                                                    主要本报告期销售业务增长,对
              1,499,280,119.15  1,379,141,331.86  120,138,787.29    8.71%  应应收账款增加。


应收款项融资                                                                本期期末未背书或贴现银行承兑
                  7,344,085.39      4,882,404.68    2,461,680.71    50.42%  汇票增加。

预付款项        149,831,877.94    145,035,229.27    4,796,648.67    3.31%

存货                                                                        国际市场增长迅速、国内市场回
              1,884,606,049.02  1,705,044,852.35  179,561,196.67    10.53%  暖,增加备货。

长期股权投资                                                                本报告期权益法核算下长期股权
                  66,079,929.45      59,987,594.20    6,092,335.25    10.16%  投资投资收益确认。

固定资产        973,108,170.26    961,900,257.02    11,207,913.24    1.17%

在建工程                                                                    主要是本期应急保障救援装备生
                257,823,449.13    200,160,636.41    57,662,812.72    28.81%  产基地建设项目投入增加。

使用权资产                                                                  截至报告期末新增部分租赁房

                  6,509,023.61      1,827,246.08    4,681,777.53  256.22%  产、软件。

开发支出                                                                    本报告期部分开发支出转无形资
                  1,192,279.10      2,641,198.37    -1,448,919.27  -54.86%  产。

商誉                                                                        本报告期对山鹰报警、全华时代
                  42,868,381.96      68,353,061.69  -25,484,679.73  -37.28%  计提商誉减值准备。

长期待摊费用                                                                主要是房屋建筑物装饰维修费增
                  42,286,849.49      24,570,368.69    17,716,480.80    72.11%  加。

其他非流动资                                                                报告期末预付工程款、设备款较
产                30,025,149.35      43,336,742.42  -13,311,593.07  -30.72%  上期末减少。

短期借款        801,441,667.01    517,440,489.29  284,001,177.72    54.89%  预期市场增长,补充流动资金。

应付账款        416,610,576.33    352,606,001.29    64,004,575.04    18.15%  本期采购备货增加所致。

应付职工薪酬                                                                主要是报告期末计提职工薪酬增
                  65,711,951.28      48,749,327.85    16,962,623.43    34.80%  加。

应交税费                                                                    主要是应交增值税较上年期末增
                  47,091,634.29      40,614,231.73    6,477,402.56    15.95%  加。

其他应付款                                                                  主要是由于审价形成的应付款增
                137,893,263.23      90,840,701.54    47,052,561.69    51.80%  加。

一年内到期的                                                                主要是一年内到期的长期借款增
非流动负债        90,856,197.15      72,359,089.43    18,497,107.72    25.56%  加所致。

                                                                            1、报告期偿还部分长期借款。
长期借款        127,911,727.09    167,000,000.00  -39,088,272.91  -23.41%  2、一年内到期的长期借款转入一
                                                                            年内到期的非流动负债。

应付债券        615,342,934.38      584894238.5    30,448,695.88    5.21%

租赁负债                                                                    截至报告期末新增部分租赁房

                  2,636,309.55        273817.27    2,362,492.28  862.80%  产、软件,形成租赁负债。

库存股          115,119,389.20      58,528,424.03    56,590,9