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首页 公告 慈文传媒:2024年度财务决算报告

慈文传媒:2024年度财务决算报告

公告日期:2025-04-10


                  慈文传媒股份有限公司

                      2024 年度财务决算报告

    一、2024 年度财务报表已经大信会计师事务所(特殊普通合伙)审计

    经过审计,大信会计师事务所(特殊普通合伙)认为本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,公允反映了公司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,并为本公司2024年度财务报表出具了“大信审字[2025]第6-00038号”审计报告。

    二、主要会计数据和财务指标

                  项目                      2024 年        2023 年      变动幅度

 营业收入(万元)                                              36,605.06        46,118.94          -20.63%

 归属于上市公司股东的净利润(万元)                            3,034.78          2,762.78            9.85%

 归属于上市公司股东的扣除非经常性损益的净利润(万元)          1,285.14          -3,965.62          132.41%

 经营活动产生的现金流量净额(万元)                          -23,474.68          1,227.51        -2,012.39%

 基本每股收益(元/股)                                              0.06              0.06            0.00%

 稀释每股收益(元/股)                                              0.06              0.06            0.00%

 加权平均净资产收益率                                          3.09%            2.90%            6.55%

                  项目                      2024 年末      2023 年末      变动幅度

 总资产(万元)                                              161,847.95        126,767.60          27.67%

 归属于上市公司股东的净资产(万元)                            99,694.09        96,691.79            3.11%

    三、财务状况

    (一)报告期主要资产构成情况

                                                                          单位:万元

                      2024 年末          2024 年初

    项 目                占总资            占总资 变动幅度      重大变动说明

                  金额    产比例    金额  产比例

货币资金              19,803.61    12.24%  17,700.23  13.96%    11.88% 系项目回款增加所致

交易性金融资产          3,000.00    1.85%    1,509.43    1.19%    98.75% 系追加购买理财所致

衍生金融资产              551.94    0.34%                        100.00% 系项目嵌入衍生金融工具所致


应收票据                  15.56    0.01%                        100.00% 系应收票据未到期兑付所致

应收账款              30,529.00    18.86%  20,058.05  15.82%    52.20% 系确认收入所致

预付款项                2,270.89    1.40%      26.43    0.02%  8492.09% 系项目投入增加所致

其他应收款                679.86    0.42%    926.62    0.73%    -26.63% 系剧组备用金减少所致

存货                  72,989.69    45.10%  49,794.98  39.28%    46.58% 系增加项目储备所致

合同资产

其他流动资产            4,580.46    2.83%    3,689.68    2.91%    24.14% 系项目可抵税金增加所致

流动资产合计          134,420.99    83.05%  93,705.42  73.92%    43.45%

债权投资                  260.00    0.16%                        100.00% 系投资固定回报项目所致

长期股权投资            2,428.71    1.50%    1,201.54    0.95%          系海南大秦公司减资转权益法核
                                                                  102.13% 算所致

其他权益工具投资          887.74    0.55%    945.28    0.75%    -6.09% 系参股公司亏损所致

其他非流动金融资产    13,945.75    8.62%  20,286.24  16.00%    -31.26% 系资管产品部分赎回所致

投资性房地产            1,647.67    1.02%    1,817.97    1.43%    -9.37% 系计提折旧所致

固定资产                  80.38    0.05%      74.31    0.06%    8.17% 系增加固定资产投资所致

使用权资产                                      76.49    0.06%  -100.00% 系不确认使用权资产所致

无形资产                  15.83    0.01%                        100.00% 系增加无形资产投资所致

长期待摊费用                3.23    0.00%      6.75    0.01%    -52.15% 系装修费用摊销所致

递延所得税资产          8,135.09    5.03%    8,653.60    6.83%    -5.99% 系可抵扣亏损减少所致

非流动资产合计        27,426.95    16.95%  33,062.18  26.08%    -17.04%

资产总计              161,847.95  100.00%  126,767.60  100.00%    27.67%

    (二)报告期主要负债构成情况

                                                                          单位:万元

                    2024 年末          2024 年初        变动

    项 目      金额    占总负    金额    占总负    幅度        重大变动说明

                          债比例              债比例

短期借款              24,423.64    38.85%    3,561.09    13.19%  585.85% 系银行贷款增加所致

应付账款              21,549.79    34.28%    10,737.28    39.78%  100.70% 系项目待结算款增加所致

合同负债              8,500.54    13.52%    7,615.15    28.21%    11.63% 系预收销售款增加所致

应付职工薪酬            347.27    0.55%      248.74    0.92%    39.61% 系待发放工资增加所致

应交税费              1,018.79    1.62%      668.76    2.48%    52.34% 系末待缴纳税金增加所致

其他应付款              765.88    1.22%      896.13    3.32%    -14.53% 系支付结算款所致

一年内到期的非流          2.58    0.00%        77.22    0.29%    -96.66% 系租赁负债减少所致

动负债

其他流动负债            506.14    0.81%      456.91    1.69%    10.77% 系预收销售款税金增加所致


 流动负债合计          59,510.87    94.67%    26,629.20    98.66%  123.48%

 长期借款              3,000.00    4.77%                          100.00% 系增加长期借款所致

 递延收益                33.02    0.05%                            100% 系收到政府补贴所致

 递延所得税负债          319.00    0.51%                                  系其他权益工具投资公允价值
                                                360.64    1.34%    -11.55% 变动所致

 非流动负债合计        3,352.02    5.33%      360.64    1.34%  829.46%

 负债合计              62,862.89  100.00%    26,989.84  100.00%  132.91%

    四、经营成果

                                                                              单位:万元

                2024 年度          2023 年度      变动

  项目              占营业收          占营业收  幅度            重大变动说明

              金额    入比例    金额    入比例

营业收入        3