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首页 公告 芭田股份:2024年度财务决算报告

芭田股份:2024年度财务决算报告

公告日期:2025-04-15


  深圳市芭田生态工程股份有限公司

                2024 年度财务决算报告

    一、2024 年度公司财务报表的审计情况

        公司 2024 年度财务报表按照《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至 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。上述财务报表已经深圳久安会计师事务所(特殊普通合伙)审计,

    出具了久安审字[2024]第 00036 号标准无保留意见的审计报告,现将 2024 年度

    合并财务报表反映的主要财务数据报告如下:

    二、报告期财务状况、经营成果和现金流量情况

    (一)报告期资产变动情况

                                                                                金额单位:人民币万元

      项目                  报告期末                      报告期初                增减额      变动比率
                          金额          占比          金额          占比

货币资金                91,706.01      15.06%      53,972.79        10.14%        37,733.22      69.91%

应收票据                13,377.34        2.20%        4,559.46        0.86%        8,817.89      193.40%

应收账款                17,003.25        2.79%        7,313.35        1.37%        9,689.90      132.50%

应收款项融资            577.05        0.09%        1,147.28        0.22%          -570.23      -49.70%

预付款项                5,980.80        0.98%        17,596.83        3.31%        -11,616.03      -66.01%

其他应收款              3,285.97        0.54%        2,541.27        0.48%          744.70        29.30%

存货                    64,589.25      10.61%      57,265.57        10.76%        7,323.68      12.79%

持有待售资产            2,163.29        0.36%          0.00          0.00%        2,163.29        0.00%

其他流动资产            11,198.97        1.84%        14,038.83        2.64%        -2,839.87      -20.23%

流动资产合计            209,881.93      34.48%      158,435.37        29.78%        51,446.56      32.47%

长期应收款              2,839.91        0.47%        1,541.63        0.29%        1,298.28      84.21%

长期股权投资            12,320.62        2.02%        12,162.13        2.29%          158.49        1.30%

其他权益工具投资        2,729.48        0.45%        3,080.52        0.58%          -351.04      -11.40%

固定资产                201,539.09      33.11%      127,059.92        23.88%        74,479.16      58.62%

在建工程                64,216.84      10.55%      119,780.03        22.51%        -55,563.19      -46.39%

使用权资产              401.15        0.07%        771.45          0.14%          -370.29      -48.00%

无形资产                81,843.78      13.44%      79,798.90        15.00%        2,044.88        2.56%

商誉                    6,836.45        1.12%        6,836.45        1.28%          0.00        0.00%

长期待摊费用            5,006.40        0.82%        4,804.23        0.90%          202.17        4.21%

递延所得税资产          14,795.14        2.43%        10,789.44        2.03%        4,005.70      37.13%


其他非流动资产          6,327.55        1.04%        7,045.87        1.32%          -718.32      -10.19%

  非流动资产合计      398,856.42      65.52%      373,670.58        70.22%        25,185.84      6.74%

    资产总计          608,738.35      100.00%      532,105.95      100.00%        76,632.40      14.40%

    资产项目增减变动幅度达 30%以上的说明:

    1、货币资金增加,主要系本期完成非公开发行股份募集资金到账所致。

    2、应收票据增加,主要系本期采用银行承兑汇票结算增加所致。

    3、应收账款增加,主要系应收客户未到结算期货款增加所致。

    4、应收款项融资减少,主要系收到客户开具的低风险承兑汇票减少所致。

    5、预付账款的减少,主要系预付原材料采款减少所致。

    6、长期应收款增加,主要系融资租赁业务支付保证金增加所致。

    7、固定资产增加,主要系在建工程本期转固定资产所致。

    8、在建工程减少,主要系在建工程本期转固定资产所致。

    9、使用权资产减少,主要系本期折旧所致。

    10、递延所得税资产增加,主要系可抵扣亏损计提递延所得税所致。

        (二)报告期负债变动情况分析

                                                                                    单位:人民币万元

                                    报告期末                    报告期初

          项目                金额          占比          金额          占比        增减额    变动比率

短期借款                    146,388.42      51.04%      144,766.38      50.16%      1,622.04      1.12%

应付票据                    5,784.00        2.02%        20,604.00      7.14%      -14,820.00    -71.93%

应付账款                    28,308.99        9.87%        25,164.27      8.72%      3,144.72      12.50%

合同负债                    14,821.90        5.17%        13,641.06      4.73%      1,180.83      8.66%

应付职工薪酬                3,097.37        1.08%        3,663.68        1.27%      -566.31      -15.46%

应交税费                    11,441.45        3.99%        7,826.17        2.71%      3,615.28      46.19%

其他应付款                  5,010.39        1.75%        6,775.65        2.35%      -1,765.26    -26.05%

持有待售负债                  10.31          0.00%          0.00        0.00%        10.31      0.00%

其中:应付利息                              0.00%                      0.00%        0.00        0.00%

 一年内到期的非流动负债      19,911.95        6.94%        21,020.54      7.28%      -1,108.59    -5.27%

其他流动负债                6,065.49        2.11%        3,994.58        1.38%      2,070.92      51.84%

流动负债合计                240,840.27      83.98%      247,456.33      85.75%      -6,616.06    -2.67%

长期借款                    32,799.35      11.44%      13,300.00      4.61%      19,499.35    146.61%

租赁负债                      32.91          0.01%        418.40        0.14%      -385.50      -92.13%

长期应付款                  8,113.78        2.83%        22,680.97      7.86%