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首页 公告 中文在线:2024年度财务决算报告

中文在线:2024年度财务决算报告

公告日期:2025-04-29


                  中文在线集团股份有限公司

                    2024 年度财务决算报告

    本公司 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 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。公司
2024 年度财务报表已经中审亚太会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的《审计报告》。2024 年度合并财务报表的主要数据报告如下:

  一、财务状况

                                                                                  单位:人民币元

 序              项目              2024 年 12 月 31 日      2024 年 1 月 1 日        变动率

 号
一、资产

 1            总资产                1,634,392,655.06      1,835,921,661.40          -10.98%

 2            货币资金                  139,524,706.34        340,776,932.74          -59.06%

 3            应收票据                            0.00          2,394,787.00        -100.00%

 4            应收账款                  161,931,885.30        139,377,442.44          16.18%

 5            预付账款                  134,862,342.13        176,060,118.55          -23.40%

 6          其他应收款                  10,649,686.83        20,804,819.35          -48.81%

 7              存货                    71,224,096.14        37,125,196.05          91.85%

 8            合同资产                            0.00        10,957,711.28        -100.00%

 9    一年内到期的非流动资产          145,615,568.29        16,739,160.00          769.91%

 10          其他流动资产                  5,057,200.73          4,383,252.09          15.38%

 11          长期股权投资                274,070,826.49        264,751,666.35            3.52%

 12        其他权益工具投资                3,823,766.46          7,034,135.56          -45.64%

 13      其他非流动金融资产              83,595,011.70        218,445,621.13          -61.73%

 14          投资性房地产                85,167,825.22        87,901,027.90          -3.11%

 15            固定资产                  19,016,599.60        19,641,161.76          -3.18%

 16          使用权资产                  21,297,394.98        30,919,067.73          -31.12%

 17            无形资产                  322,543,858.95        334,008,265.83          -3.43%

 18            开发支出                  17,608,284.55          3,091,190.79          469.63%

 19              商誉                    116,638,278.60        116,860,208.34          -0.19%

 20          长期待摊费用                  4,526,201.73            91,486.41        4,847.40%

 21        递延所得税资产                2,974,655.69          4,533,787.78          -34.39%

 22        其他非流动资产                14,264,465.33            24,622.32      57,833.07%

二、负债


 序              项目              2024 年 12 月 31 日      2024 年 1 月 1 日        变动率

 号

 1            负债合计                  628,453,528.50        570,034,055.60          10.25%

 2            流动负债                  519,105,930.35        529,957,472.27          -2.05%

 3            短期借款                  228,000,000.00        235,000,000.00          -2.98%

 4            应付账款                  120,894,299.50        95,889,963.17          26.08%

 5            预收账款                    1,442,273.71          1,404,290.43            2.70%

 6            合同负债                  62,477,412.07        38,291,691.60          63.16%

 7          应付职工薪酬                70,918,479.54        62,159,335.94          14.09%

 8            应交税费                  17,420,630.86        16,429,977.63            6.03%

 9          其他应付款                  7,179,748.08        70,457,721.11          -89.81%

 10            长期借款                  78,050,000.00                  0.00          100.00%

 11            租赁负债                  13,187,825.57        22,354,646.55          -41.01%

 12            递延收益                  11,431,634.49        11,803,328.01          -3.15%

 13        递延所得税负债                6,678,138.09          5,918,608.77          12.83%

三、所有者权益

 1        所有者权益合计            1,005,939,126.56      1,265,887,605.80          -20.53%

 2              股本                    729,939,618.00        729,939,618.00            0.00%

 3            库存股                    26,999,515.08                  0.00          100.00%

 4            资本公积                2,493,176,174.48      2,483,605,012.84            0.39%

 5          其他综合收益                -57,674,124.42        -58,381,269.02            1.21%

 6            盈余公积                  30,930,203.91        30,930,203.91            0.00%

 7          未分配利润              -2,183,909,264.01    -1,941,019,743.99          -12.51%

 8  归属于母公司所有者权益合计        985,463,092.88      1,245,073,821.74          -20.85%

 9          少数股东权益                20,476,033.68        20,813,784.06          -1.62%

  主要变动项目分析:

  1. 总资产较年初减少 10.98%,主要系本年度经营亏损货币资金减少所致;

  2. 货币资金较年初减少 59.06%,主要系本年度经营亏损及支付北京寒木春华动画
    技术有限公司相关股权投资款所致;

  3. 应收票据较年初减少 100.00%,主要系本年度应收票据到期收回所致;

  4. 应收账款较年初增加 16.18%,主要系本年度海外业务销售收入增加所致;

  5. 预付账款较年初减少 23.40%,主要系本年度预付投放推广费减少所致;

6. 其他应收款较年初减少 48.81%,主要系本年度其他应收款往来款减少所致;
7. 存货较年初增加 91.85%,主要系本年度《罗小黑战记 2》电影制作投入增加所
  致;
8. 合同资产较年初减少 100.00%,主要系本年度文化业务附条件收取合同对价权利
  金额减少所致;
9. 一年内到期的非流动资产较年初增加 769.91%,主要系本年度将于一年以内到期
  的金融产品投资重分类所致;
10.其他流动资产较年初增加 15.38%,主要系本年度待抵扣进项税增加所致;
11.长期股权投资较年初增加 3.52%,主要系公司参股公司权益法核算投资收益增加
  所致;
12.其他权益工具投资较年初减少 45.64%,主要本