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首页 公告 *ST名家:2024年年度财务报告

*ST名家:2024年年度财务报告

公告日期:2025-03-21


              深圳市名家汇科技股份有限公司

                2024年度财务决算报告

    深圳市名家汇科技股份有限公司(以下简称“公司” )2024年财务报表以及财
 务报表附注已经中兴华会计师事务所(特殊普通合伙)审计,并出具了中兴华
 审字[2025] 第410017号非标准无保留意见的审计报告,现将决算情况报告如下:
                                                        单位: 人民币元

          项目                  2024年12月31日            2024年1月1日      增减变动幅度(%)

  总资产                              792,729,388.46      972,489,914.33                -18.48%

  归属于公司普通股股

东的所有者权益                            96,440,101.87      144,108,592.70                -33.08%

  股  本                              695,596,569.00      695,596,569.00                  0.00%

                                                                                  增减变动幅度(
                项目                      2024年度            2023年度

                                                                                      %)

    营业总收入                            116,892,945.74        81,126,434.74              44.09%

    归属于公司普通股股东的净利润          -130,952,050.79      -376,465,354.89              65.22%

    经营活动产生的现金流量净额(元

)                                          5,946,871.75        22,184,306.30              -73.19%

    基本每股收益(元)                            -0.19                -0.54              64.81%

    加权平均净资产收益率(%)                  -166.57%            -113.28%              -53.29%

    扣除非经常性损益后的加权平均净

资产收益率(%)                                -194.31%            -120.37%              -73.94%

    注:上述数据以合并报表数据填列

    二、财务状况分析

    公司2024 年度相关财务状况分析如下:

    (一)财务状况分析

    1、资产结构

                                                        单位: 人民币元

                                                                                            增减变动幅度
        项目                2024年12月31日      2024年1月1日          变动额

                                                                                            (%)

货币资金                        157,885,587.34      17,435,255.05      140,450,332.29            805.55%

应收账款                        306,793,894.65      405,648,161.05        -98,854,266.40            -24.37%

其他应收款                        9,080,241.13      33,530,694.64        -24,450,453.51            -72.92%

存货                              13,311,209.84      30,854,881.42        -17,543,671.58            -56.86%

合同资产                        118,437,376.87      161,607,358.12        -43,169,981.25            -26.71%

一年内到期的非流动资产            5,462,561.05        3,361,679.32        2,100,881.73              62.50%

其他流动资产                      1,115,677.41      10,321,242.93        -9,205,565.52            -89.19%

流动资产合计                    614,640,211.02      664,628,551.64        -49,988,340.62              -7.52%

长期应收款                        3,613,127.67        8,012,309.36        -4,399,181.69            -54.91%

投资性房地产                        677,829.00        7,255,407.00        -6,577,578.00            -90.66%

在建工程                        133,267,559.49      137,780,845.94        -4,513,286.45              -3.28%

长期待摊费用                                -          14,814.82          -14,814.82            -100.00%

其他非流动资产                      294,105.13      105,795,405.08      -105,501,299.95            -99.72%

非流动资产合计                  178,089,177.44      307,861,362.69      -129,772,185.25            -42.15%

资产总计                        792,729,388.46      972,489,914.33      -179,760,525.87            -18.48%

      2024年末,公司资产总额为79,272.94 万元,比期初97,248.99万元下降

  18.48%,其中:流动资产为61,464.02 万元,比期初66,462.86万元下降7.52%

  , 非流动资产为17,808.92万元,比期初30,786.14万元下降42.15%,资产变动

  的主要原因是:

      (1)货币资金2024年期末余额为15,788.56万元,较期初增加805.55%,主

  要系报告期内筹资活动现金增加所致;

      (2)应收账款2024年期末余额为30,679.39万元,较期初减少24.37%,主要

      系报告期内公司收回应收工程款所致;

      (3)其他应收款2024年期末余额为908.02万元,较期初减少72.92%,主要

      系报告期内公司保证金抵偿高新投债务所致;

      (4)存货2024年期末余额为1,331.12万元,较期初减少56.86%,主要系报

      告期内公司内施工项目减少,备料相应减少所致;

      (5)合同资产2024年期末余额为11,843.74万元,较期初减少26.71%,主要


        系报告期内公司工程项目合同资产结转至应收账款所致;

        (6)一年内到期的非流动资产2024年期末余额为546.26万元,较期初增加

    62.50%,主要系从长期应收款转入的金额较上期增加所致;

        (7)长期应收款2024年期末余额为361.31万元,较期初减少54.91%,主

        要系报告期内承接工程项目的长期应收款确认金额较上期减少所致;

        (8)投资性房地产2024年期末余额67.78万元,较期初减少90.66%,主要

    系报告期公司处置房产所致;

        (9)在建工程2024年期末余额为13,326.76万元,较期初减少3.28%,主要

    系在建工程评估减值所致;

        (10)其他非流动资产2024年期末余额为29.41万元, 较期初减少99.72%,

    主要系报告期内处置抵账房产所致。

        2、负债结构

                                                          单位: 人民币元

                                                                                                增减变动幅度
        项目                2024年12月31日        2024年1月1日            变动额

                                                                                                (%)

短期借款                          44,986,647.13          52,071,958.34        -7,085,311.21            -13.61%

应付账款                          339,122,512.93        454,703,384.25      -115,580,871.32            -25.42%

合同负债                            4,429,307.16          10,693,516.09