联系客服QQ:86259698

300155 深市 安居宝


首页 公告 安居宝:2024年度财务决算报告

安居宝:2024年度财务决算报告

公告日期:2025-04-24


              广东安居宝数码科技股份有限公司

                  2024年度财务决算报告

    公司 2024 年 12 月 31 日资产负债表、2024 年度利润表、现金流量表、所有者权益变动表以及财务报
表附注已经立信会计师事务所(特殊普通合伙)审计并出具了标准无保留意见的审计报告。公司 2024 年
12 月 31 日财务状况以及 2024 度经营成果、现金流量情况基本情况简述如下:

一、财务状况
1、资产、负债项目重大变动情况

                                                                                    单位:元

                          2024 年末                    2023 年末          比重增    变动幅
    项目                        占总资产                    占总资产    减      度
                      金额        比例          金额        比例

  货币资金      275,809,853.13    19.22%  451,618,353.84    29.77%  -10.55%  -38.93%

交易性金融资产  248,516,721.02    17.32%  45,300,049.15      2.99%  14.33%  448.60%

  应收票据        2,811,101.76      0.20%    7,549,091.42      0.50%  -0.30%  -62.76%

  应收账款      182,045,472.73    12.69%  236,484,349.56    15.59%  -2.90%  -23.02%

  预付款项          741,062.20      0.05%    1,445,604.62      0.10%  -0.05%  -48.74%

其他应收款      1,969,985.36      0.14%  16,684,899.66      1.10%  -0.96%  -88.19%

    存货        56,420,830.89      3.93%  81,058,648.21      5.34%  -1.41%  -30.40%

一年内到期的非    75,735,252.32      5.28%  21,696,072.44      1.43%    3.85%  249.07%
  流动资产

长期应收款      45,479,023.63      3.17%  68,196,585.16      4.50%  -1.33%  -33.31%

使用权资产      3,769,613.66      0.26%    1,378,578.78      0.09%    0.17%  173.44%

    商誉          4,770,472.59      0.33%    8,492,419.75      0.56%  -0.23%  -43.83%

 长期待摊费用      3,310,091.11      0.23%    4,624,834.00      0.30%  -0.07%  -28.43%

其他非流动资产    15,154,596.64      1.06%    7,115,709.57      0.47%    0.59%  112.97%

  合同负债      18,510,741.49      1.29%  24,914,036.48      1.64%  -0.35%  -25.70%

  应交税费        2,367,731.55      0.17%    7,705,445.24      0.51%  -0.34%  -69.27%

其他应付款      10,177,622.53      0.71%  14,851,168.58      0.98%  -0.27%  -31.47%

一年内到期的非    2,060,468.28      0.14%      466,756.61      0.03%    0.11%  341.44%
  流动负债

  租赁负债        1,184,689.21      0.08%      145,893.61      0.01%    0.07%  712.02%

  递延收益          104,195.14      0.01%      468,417.38      0.03%  -0.02%  -77.76%

递延所得税负债    3,865,297.09      0.27%      475,007.87      0.03%    0.24%  713.73%
重大变动项目说明如下:
1、交易性金融资产 2024 年年末比年初增长 448.60%,主要原因系报告期内公司购买理财产品增加;
2、应收票据 2024 年年末比年初下降 62.76%,主要原因系报告期内公司收到的商业票据减少;
3、其他应收款 2024 年年末比年初下降 88.19%,主要原因系报告期内公司收回的保证金增加;
4、一年内到期的非流动资产 2024 年年末比年初增长 249.07%,主要原因系报告期末一年内到期的债权投资增加;
5、长期应收款 2024 年年末比年初下降 33.31%,主要原因系报告期内分期收款销售商品项目的减少;
6、其他非流动资产 2024 年年末比年初增长 112.97%,主要原因系报告期内公司抵债房产增加;
7、应交税费 2024 年年末比年初下降 69.27%,主要原因系随着报告期营业收入下降而下降;
8、递延所得税负债 2024 年年末比年初增长 713.73%,主要原因系债权投资公允价值变动增加所致。
2、所有者权益状况

                                                                                单位:元

      项目            2024 年末            2023 年末            增减额        增减比例

    未分配利润        191,825,672.75      243,589,750.12    -51,764,077.37      -21.25%

  其他综合收益          1,173,525.33        1,047,462.51        126,062.82        12.04%

 归属于母公司所有    1,257,831,224.39    1,309,469,238.94    -51,638,014.55        -3.94%
    者权益合计

  2024 年,公司未分配利润比年初余额下降 21.25%,归属母公司所有者权益比年初余额下降 3.94%,
主要原因系本期净利润的下降;其他综合收益比年初余额增长 12.04%,主要原因系受汇率变动影响。
二、盈利状况

                                                                                单位:元

          项目                  本年金额              上年金额            同比增减

      营业总收入                206,832,394.50      360,960,480.60            -42.70%

        营业成本                119,229,052.27      215,097,283.19            -44.57%

      税金及附加                  5,355,882.39        5,859,085.34              -8.59%

        销售费用                  48,475,384.95        53,202,564.50              -8.89%

        管理费用                  44,667,318.16        42,863,471.07              4.21%

        研发费用                  36,382,508.54        43,479,786.63            -16.32%

        财务费用                -10,806,683.58      -16,674,973.83              35.19%

    公允价值变动损益              2,841,302.11          -765,128.94            471.35%

        投资收益                  9,619,201.38        5,889,178.16              63.34%

        其他收益                  4,872,402.56        9,790,472.70            -50.23%

      信用减值损失              -24,062,021.76      -71,253,962.52              66.23%

      资产减值损失              -12,377,623.16      -11,219,114.97            -10.33%

      资产处置收益                -1,102,051.71          172,098.85            -740.36%

        营业利润                -56,679,858.81      -53,293,306.69              -6.35%

      营业外收入                  2,061,836.67            44,047.35            4580.96%

      营业外支出                  3,796,123.92        2,166,894.91              75.19%

        利润总额                -58,414,146.06      -55,416,154.25              -5.41%

      所得税费用                -5,582,277.94      -11,059,816.97              49.53%

        净利润                  -52,831,868.12      -44,356,337.28            -19.11%

 归属于母公司股东的净利润        -51,764,077.37      -39,184,705.20            -32.10%

      少数股东损益