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首页 公告 ST交投:2024年度财务决算报告

ST交投:2024年度财务决算报告

公告日期:2025-04-17


                云南交投生态科技股份有限公司

                    2024 年度财务决算报告

          一、2024 年审计机构发表的审计报告类型

          经中审众环会计师事务所(特殊普通合伙)对公司 2024 年的财务状况及经

      营成果的审计后,出具了带持续经营重大不确定性的无保留意见审计报告,认为:

      公司的财务报表在所有重大方面按照企业会计准则的规定编制,公允反映了交投

      生态公司2024 年12 月 31 日的合并及公司财务状况以及 2024 年度的合并及公司

      经营成果和现金流量。

          二、2024 年报表合并范围

          2024 年公司会计报表合并范围包括 8 户二级子公司及 1 户三级子公司,较

      2023 年 12 月 31 日一致。

          三、2024 年度基本财务状况

          (一)财务状况

          1.资产结构及主要变动原因

                                                        金额单位:人民币元

        项目            2024 年 12 月 31 日    2023 年 12 月 31 日      增减额        增减率(%)

货币资金                      379,999,759.82      425,974,386.05    -45,974,626.23        -10.79

应收账款                      352,668,073.26      289,125,610.65    63,542,462.61        21.98

预付款项                          943,765.45        1,824,264.78      -880,499.33        -48.27

其他应收款                    15,520,304.66        32,470,978.50    -16,950,673.84        -52.20

存货                          57,307,687.33        59,594,956.35      -2,287,269.02          -3.84

合同资产                      369,825,002.40      452,799,695.80    -82,974,693.40        -18.32

一年内到期的非流动资产            488,136.57          541,868.68        -53,732.11          -9.92

其他流动资产                  161,243,702.85      162,673,156.79      -1,429,453.94          -0.88

长期应收款                    942,725,891.87      1,199,235,602.36    -256,509,710.49        -21.39

长期股权投资                    4,570,599.67        17,973,435.77    -13,402,836.10        -74.57

其他权益工具投资                2,000,000.00                  -      2,000,000.00          100

投资性房地产                    3,133,281.53        8,886,431.02      -5,753,149.49        -64.74


  固定资产                      22,440,992.86        15,310,309.03      7,130,683.83        46.57

  生产性生物资产                    56,205.55            67,925.41        -11,719.86        -17.25

  使用权资产                    26,244,411.59        19,749,525.23      6,494,886.36        32.89

  无形资产                        6,700,143.67        6,952,099.51      -251,955.84          -3.62

  长期待摊费用                    1,002,149.39        1,253,352.11      -251,202.72        -20.04

  递延所得税资产                47,137,564.06        46,721,297.60        416,266.46          0.89

  其他非流动资产                570,013,504.25      490,382,392.71    79,631,111.54        16.24

  资产总计                    2,964,021,176.78      3,231,537,288.35    -267,516,111.57          -8.28

            (1)预付款项期末余额较年初余额减少 880,499.33 元,下降 48.27%,主要

        原因是:公司上期预付新项目办公场地短期租金在本期摊销所致;

            (2)其他应收款期末余额较年初余额减少 16,950,673.84 元,下降 52.20%,

        主要原因是:公司本期收回景东彝族自治县住房和城乡建设局工程款利息所致;

            (3)长期股权投资期末余额较年初余额减少 13,402,836.10 元,下降 74.57%,

        主要原因是:公司本期持股联营企业玉溪润景园林绿化工程有限公司本期宣告分

        配股利所致;

            (4)其他权益工具投资期末余额较年初余额增加2,000,000.00元,增长100%,

        主要原因是:公司本期增加对云南都香高速公路有限公司股权投资所致;

            (5)投资性房地产期末余额较年初余额减少 5,753,149.49 元,下降 64.74%,

        主要原因是:公司本期部分投资性房地产转换为自用房地产所致;

            (6)固定资产期末余额较年初余额增加 7,130,683.83 元,增长 46.57%,主

        要原因是:公司本期部分投资性房地产转换为自用房地产增加固定资产所致;

            (7)使用权资产期末余额较年初余额增加 6,494,886.36 元,增长 32.89%,

        主要原因是:公司本期新增租赁所致。

            2.负债结构及主要变动原因

                                                            金额单位:人民币元

          项目              2024 年 12 月 31 日    2023 年 12 月 31 日      增减额        增减率(%)

短期借款                                              45,132,228.06    -45,132,228.06      -100.00

应付账款                        1,010,601,631.32        907,967,054.19    102,634,577.13        11.30

预收款项                              92,318.02          233,830.00        -141,511.98        -60.52

合同负债                          127,313,926.53        215,205,578.17    -87,891,651.64        -40.84


应付职工薪酬                        4,183,683.06          1,335,222.76      2,848,460.30      213.33

应交税费                            3,638,722.59          9,947,193.93      -6,308,471.34        -63.42

其他应付款                        61,418,434.34        88,398,908.59    -26,980,474.25        -30.52

一年内到期的非流动负债            63,900,634.87        62,754,184.56      1,146,450.31        1.83

其他流动负债                      259,189,705.09        344,639,539.73    -85,449,834.64        -24.79

长期借款                        1,102,000,000.00      1,132,000,000.00    -30,000,000.00        -2.65

租赁负债                          20,245,511.29        21,688,185.07      -1,442,673.78        -6.65

预计负债                          29,865,028.64        25,055,647.75      4,809,380.89        19.19

递延收益                            361,165.46          459,770.90        -98,605.44        -21.45

递延所得税负债                      4,405,395.27          3,700,524.58        704,870.69        19.05

其他非流动负债                    82,501,431.55        79,662,059.88      2,839,371.67        3.56

负债合计                        2,769,717,588.03      2,938,179,928.17    -168,462,340.14        -5.73

            (1)短期借款期末余额较年初余额减少 45,132,228.06 元