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首页 公告 飞天诚信:2024年度财务决算报告

飞天诚信:2024年度财务决算报告

公告日期:2025-04-18


            飞天诚信科技股份有限公司

              2024 年度财务决算报告

  飞天诚信科技股份有限公司(以下简称“公司”)2024 年度财务报表按照企业会计准则的规定编制,经天职国际会计师事务所(特殊普通合伙)审计并出具天职业字[2025]17608 号标准无保留意见的审计报告。现将财务决算情况报告如下:

    一、主要财务数据和指标

            项目                2024 年        2023 年      本年比上年      2022 年

                                                                  增减

 营业收入(元)                712,576,013.09  738,554,024.76      -3.52%  867,682,665.08

 归属于上市公司股东的净利润

 (元)                        -77,234,586.05  -171,778,655.98      55.04%  -120,732,368.69

 归属于上市公司股东的扣除非

 经常性损益的净利润(元)      -90,206,451.29  -177,877,417.48      49.29%  -121,888,793.33

 经营活动产生的现金流量净额

 (元)                            -460,809.90    -11,568,182.95      96.02%  -171,318,990.69

 基本每股收益(元/股)                  -0.18            -0.41      56.10%            -0.29

 稀释每股收益(元/股)                  -0.18            -0.41      56.10%            -0.29

 加权平均净资产收益率                -5.13%        -10.56%      5.43%          -6.87%

 资产总额(元)              1,686,892,442.63  1,741,800,258.86      -3.15%  1,889,944,743.07

 归属于上市公司股东的净资产

 (元)                      1,470,242,282.64  1,542,581,656.08      -4.69%  1,710,445,995.98

    二、2024 年资产负债情况

      项目        2024 年 12 月 31  2024 年 1 月 1 日  本年比上        重大变动说明

                      日(元)          (元)        年增减

 货币资金            296,998,177.24    313,384,503.84    -5.23%

 应收票据                                                        主要系收到的商业承兑票据
                        3,563,246.88      5,618,302.40    -36.58%  减少所致

 应收账款              94,062,965.68      92,762,771.59    1.40%

 预付款项                                                        主要系预付款模式下的采购
                      20,635,301.48      30,834,504.90    -33.08%  需求减少所致

 其他应收款                                                      主要系保证金及押金减少所
                        7,184,327.72      10,744,687.46    -33.14%  致


    项目        2024 年 12 月 31  2024 年 1 月 1 日  本年比上        重大变动说明

                    日(元)          (元)        年增减

存货                264,988,450.81    271,875,121.58    -2.53%

持有待售资产          35,847,691.95      35,847,691.95    0.00%

一年内到期的非                                                  主要系大额存单将于 1 年内
流动资产            275,212,953.18                              到期所致

其他流动资产                                                    主要系增加现金管理投资所
                    533,224,456.59    313,408,932.64    70.14%  致

 流动资产合计    1,531,717,571.53  1,074,476,516.36    42.55%

长期股权投资          2,945,998.57      3,498,562.95    -15.79%

其他权益工具投                                                  主要系其他权益工具投资公
资                    12,928,430.56      8,937,160.86    44.66%  允价值增加所致

固定资产              13,216,669.30      15,159,790.70    -12.82%

在建工程                                                        主要系在建工程转固定资产
                        832,526.98      1,401,559.18    -40.60%  所致

使用权资产            12,064,455.81      16,546,044.34    -27.09%

无形资产              4,504,583.06      6,850,833.86    -34.25%  主要系累计摊销增加所致

商誉                                                            主要系计提商誉减值准备所
                                      70,235,411.39  -100.00%  致

长期待摊费用          2,326,265.82      3,610,794.06    -35.57%  主要系摊销金额增加所致

递延所得税资产                                                  主要系使用权资产确认的递
                        10,280.73        183,524.58    -94.40%  延所得税资产减少所致

其他非流动资产                                                  主要系重分类至一年以内非
                    106,345,660.27    540,900,060.58    -80.34%  流动资产所致

 非流动资产合计      155,174,871.10    667,323,742.50    -76.75%

  资产总计      1,686,892,442.63  1,741,800,258.86    -3.15%

应付账款              83,024,913.59      81,067,048.91    2.42%

预收款项                                                        主要系预收股权回购款增加
                      31,000,000.00      10,000,000.00  210.00%  所致

合同负债              52,183,252.32      44,299,581.37    17.80%

应付职工薪酬          17,238,938.48      21,977,790.08    -21.56%

应交税费              5,133,563.92      3,941,319.96    30.25%  主要系应交增值税增加所致

其他应付款            3,756,398.99      2,500,576.32    50.22%  主要系应付费用增加所致

一年内到期的非

流动负债              8,403,909.27      7,413,482.63    13.36%

其他流动负债          2,356,964.01      2,564,005.39    -8.07%

 流动负债合计      203,097,940.58    173,763,804.66    16.88%

租赁负债              2,988,780.17      9,576,786.04    -68.79%  主要系租赁应付款减少所致

                                                                主要系上期收到的政府补助
递延收益              1,489,894.95      5,733,543.43    -74.01%  在本期验收通过,计入其他
                                                                收益所致

递延所得税负债        4,741,608.85      5,319,964.95    -10.87%


    项目        2024 年 12 月 31  2024 年 1 月 1 日  本年比上        重大变动说明

                    日(元)          (元)        年增减

非流动负债合计        9,220,283.97      20,630,294.42    -55.31%

  负债合计        212,318,224.55    194,394,099.08    9.22%

  三、2024 年利润表情况

      项目          2024 年(元)    2023 年(元)  本年比上        重大变动说明

                                                        年增减

 营业收入