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首页 公告 浩云科技:2024年财务决算报告

浩云科技:2024年财务决算报告

公告日期:2025-04-23


                    浩云科技股份有限公司

                    2024 年度财务决算报告

          浩云科技股份有限公司(以下简称“公司”)2024 年 12 月 31 日母公司以

      及合并的资产负债表、2024 年度母公司以及合并的利润表、2024 年度母公司以

      及合并的现金流量表、2024 年度母公司以及合并的所有者权益变动表及相关报

      表附注已经天健会计师事务所(特殊普通合伙)审计,并由天健会计师事务所

      (特殊普通合伙)出具了标准无保留意见的审计报告。现将公司(合并)2024

      年度财务决算的相关情况汇报如下:

          一、财务状况

          1、资产构成情况

          截至 2024 年 12 月 31 日,公司资产总额为 1,419,347,444.79 元,比年初余

      额减少 78,177,834.80 元,降幅为 5.22%。其中:流动资产比年初增长 0.36%;

      非流动资产比年初下降 16.39%。具体各项变动情况如下:

                                                                  单位:元

                      2024 年末                    2024 年初                  变动 30%以上原

项目              金额      占 总 资 产      金额      占总资产 变动幅度    因分析

                              的比例                      的比例

货币资金        403,850,728.92  28.45%    508,307,209.39  33.94% -20.55%

交易性金融资                                                                  主要是公司本期
产                92,701,948.05    6.53%      45,386,141.46    3.03% 104.25%购买理财产品所
                                                                              致。

应收票据            426,315.00    0.03%        336,043.82    0.02%  26.86%

应收账款        213,786,507.84  15.06%    201,318,561.27  13.44%  6.19%

                                                                              主要原因是预付
预付款项          2,789,596.47    0.20%      8,835,951.56    0.59% -68.43%供应商货款减少
                                                                              所致。

其他应收款        16,376,156.09    1.15%      23,152,539.91    1.55% -29.27%

存货              87,114,565.04    6.14%    120,127,358.08    8.02% -27.48%

合同资产          26,817,230.53    1.89%      32,696,336.18    2.18% -17.98%

一年内到期的                                                                  主要原因是报告
非流动资产      151,559,824.25  10.68%      53,581,555.55    3.58% 182.86%期购买银行大额
                                                                              存单增加所致。

其他流动资产      6,854,757.54    0.49%      4,975,956.32    0.34%  37.76%主要原因是待抵
                                                                              扣增值税增加所

                                                                              致

流动资产合计  1,002,277,629.73  70.62%    998,717,653.54  66.69%  0.36%

长期股权投资      20,156,301.32    1.42%      20,299,308.68    1.36%  -0.70%

其他非流动金      69,289,456.32    4.88%      73,762,980.60    4.93%  -6.06%

融资产

投资性房地产      98,265,718.70    6.92%    102,488,822.16    6.84%  -4.12%

固定资产        115,557,647.78    8.14%    124,416,215.61    8.31%  -7.12%

                                                                              主要原因是公司
                                                                              子公司西藏浩云
在建工程            865,000.00    0.06%                      0.00%        创业投资有限公
                                                                              司在建酒店项目
                                                                              所致。

                                                                              主要原因是报告
使用权资产          827,391.43    0.06%      1,378,985.59    0.09% -40.00%期计提使用权资
                                                                              产折旧所致。

无形资产          52,616,604.04    3.71%      65,664,666.02    4.38% -19.87%

                                                                              主要原因是报告
开发支出            596,185.81    0.04%      9,198,122.42    0.61% -93.52%期研发项目完工
                                                                              验收结转至无形
                                                                              资产所致。

                                                                              主要原因是报告
商誉                                0.00%      12,861,956.78    0.86% -100.00%期公司计提商誉
                                                                              减值准备所致。

长期待摊费用        110,000.00    0.01%        143,000.00    0.01% -23.08%

递延所得税资      37,284,493.36    2.63%      32,944,609.88    2.20%  13.17%



                                                                              主要原因是公司
其他非流动资      21,501,016.30    1.51%      55,648,958.31    3.72% -61.36%购买的银行大额
产                                                                            存单到期收回所
                                                                              致。

非流动资产合    417,069,815.06  29.38%    498,807,626.05  33.31% -16.39%



资产总计      1,419,347,444.79  100.00%  1,497,525,279.59  100.00%  -5.22%

          2、负债状况

          截至 2024 年 12 月 31 日,公司负债总额为 130,549,552.07 元,比年初余额

      增加 19,981,785.97 元,增幅为 18.07%。其中流动负债比年初增长 18.65%;非

      流动负债比年初下降 22.65%。具体各项目变动情况如下:

                                                                              单位:元

 项目                  2024 年末                2024 年初        变动幅 变动 30%以上原因