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首页 公告 华明装备:2024年财务决算报告

华明装备:2024年财务决算报告

公告日期:2025-04-11


                华明电力装备股份有限公司

                  2024 年度财务决算报告

  报告期内,华明电力装备股份有限公司(以下简称“公司”)严格按照
《公司法》、《会计法》、《企业会计准则》等规定进行会计核算,公司编制的
2024 年度财务报表经信永中和会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告(编号:XYZH/2025JNAA1B0063)。现将公司 2024 年度的财务决算情况报告如下:

    一、2024 年度经营成果

  报告期内,利润表相关项目变动情况如下表所示(单位:元)

          项目              2024 年度        2023 年度    同比变动幅度

 营业收入                    2,322,202,947.07  1,961,135,955.92      18.41%

 减:营业成本                1,188,919,649.01    943,000,246.90      26.08%

    税金及附加                30,793,756.77    31,167,944.26        -1.20%

    销售费用                209,622,678.74    206,195,488.87        1.66%

    管理费用                143,903,478.06    135,889,965.80        5.90%

    研发费用                  81,360,934.02    78,467,703.42        3.69%

    财务费用                  -12,585,401.87    -11,245,942.20      11.91%

 加:其他收益                  11,047,615.26      4,049,355.60      172.82%

    投资收益                  17,175,640.57    10,783,877.44      59.27%

    公允价值变动收益                    -      6,728,006.82      -100.00%

    信用减值损失              -4,548,652.68    27,013,371.20      116.84%

    资产减值损失              -6,246,667.66    -2,579,055.90      142.21%

    资产处置收益              -1,275,040.60    -1,629,989.52      -21.78%

 营业利润                    696,340,747.23    622,026,114.51      11.95%

    营业外收入                33,627,751.74    27,163,936.85      23.80%

    营业外支出                3,332,202.39      3,412,079.51        -2.34%

 利润总额                    726,636,296.58    645,777,971.85      12.52%

    所得税费用              106,855,244.88    95,119,934.16      12.34%

 净利润                      619,781,051.70    550,658,037.69      12.55%

 归属于母公司股东的净利润    614,298,729.87    542,405,245.44      13.25%

  本报告期,公司实现归属于母公司股东的净利润 6.14 亿元,较上年同比增加 13.25%。主要原因如下:

  1、营业收入较上年同期增加 18.41%,主要是本期内公司的核心业务--电力设备保持了增长。2024 年公司电力设备产品实现营业收入 18.11 亿,同比增长11.47%。其中,国内电力设备业务实现营业收入 15.38 亿,同比增长 11.18%;电
力设备的出口业务实现收入 2.74 亿,同比增加 13.12%。

  2、其他收益较上年同期增加 172.82%,主要是本期确认政府补助收益所致。
  3、投资收益较上年同期增加 59.27%,主要是本期确认的对金开启昱的投资收益增加所致。

  4、公允价值变动收益较上年同期减少 100%,主要是上期确认力通达项目的公允价值变动所致。

  5、信用减值损失较上年同期增加 31,562,023.88 元,主要是上期收回单项计提的应收工程款所致。

  6、资产减值损失较上年同期增加 142.21%,主要是本期计提下属公司存货跌价准备较多所致。

  7、营业外收入较上年同期增加 23.80%,主要是本期核销无需支付的应付款所致。

    二、2024 年末财务状况

  报告期末,资产负债表相关项目变动情况如下表所示(单位:元)

 项目                          2024 年末        2024 年初    同比变动幅度

 货币资金                    1,161,330,710.21  1,054,595,717.29      10.12%

 交易性金融资产                          -    56,254,006.82      -100.00%

 应收票据                    223,185,863.52    233,151,243.64        -4.27%

 应收账款                    506,692,591.84    426,037,746.60      18.93%

 应收款项融资                394,706,881.34    574,049,682.53      -31.24%

 预付款项                      35,793,284.75    97,454,627.04      -63.27%

 其他应收款                    62,539,955.84    57,673,986.39        8.44%

 存货                        383,566,721.56    365,473,246.83        4.95%

 合同资产                      58,360,861.37    43,224,973.66      35.02%

 持有待售资产                128,180,058.36                -      100.00%

 其他流动资产                  60,552,021.55    75,608,956.31      -19.91%

 流动资产合计                3,014,908,950.34  2,983,524,187.11        1.05%

 长期股权投资                  27,192,284.63    138,450,316.58      -80.36%

 其他权益工具投资              58,269,630.23    72,144,696.48      -19.23%

 投资性房地产                  3,779,936.30      3,999,453.74        -5.49%

 固定资产                    861,135,151.41    865,146,453.40        -0.46%

 在建工程                      57,920,800.86    22,987,475.17      151.97%

 使用权资产                    36,177,570.02    51,963,571.15      -30.38%

 无形资产                    153,913,066.16    161,334,861.38        -4.60%

 商誉                          99,418,923.61    99,418,923.61        0.00%

 长期待摊费用                  29,569,545.08    31,704,737.05        -6.73%

 递延所得税资产                94,555,241.32    87,473,503.02        8.10%

 其他非流动资产                20,853,131.08                -      100.00%

 非流动资产合计              1,442,785,280.70  1,534,623,991.58      -5.98%

 资产总计                    4,457,694,231.04  4,518,148,178.69      -1.34%

 短期借款                    120,008,166.67    60,045,833.22      99.86%

 应付票据                    154,012,282.24    198,274,715.26      -22.32%

 应付账款                    268,375,711.02    187,251,171.06      43.32%

 合同负债                      54,413,522.64    83,274,097.13      -34.66%

 应付职工薪酬                  64,240,170.15    60,807,612.77        5.64%

 应交税费                      73,277,600.55    38,661,797.30      89.53%

 其他应付款                    91,817,108.78    36,294,185.11      152.98%

 一年内到期的非流动负债      160,977,164.23    65,826,239.73      144.55%

 其他流动负债                  5,136,249.41    10,120,045.11      -49.25%

 流动负债合计                992,257,975.69    740,555,696.69      33.99%

 长期借款