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首页 公告 杭州园林:2024年度财务决算报告

杭州园林:2024年度财务决算报告

公告日期:2025-04-23


            杭州园林设计院股份有限公司

                2024 年度财务决算报告

  一、基本情况

  2024 年度公司共实现营业收入 209,114,189.10 元,同比下降 32.39%;营业利
润-38,578,766.75元,同比下降547.54%;净利润-38,537,601.35元,同比下降538.46%;归属于公司股东的净利润-37,172,959.58 元,同比下降 497.90%。资产总额1,001,521,131.15 元,其中流动资产 690,740,984.46 元,非流动资产 310,780,146.69元。负债总额 501,276,709.31 元,所有者权益总额 500,244,421.84 元。

  二、财务状况

  截止2024年12月31日,公司资产总额1,001,521,131.15元,同比下降了8.26%;
负债总额 501,276,709.31 元,同比下降 8.90%;所有者权益总额 500,244,421.84 元,
同比下降了 7.61%。

  资产主要构成项目为货币资金、应收账款、合同资产、固定资产,它们分别占资产总额的 19.51%、21.31%、27.57%、15.41%。资产方面变动较大的是合同资产和货币资金,其中合同资产较上一年末减少了 192,690,081.82 元,降幅 41.10%;货币资金较上一年末增加了 59,403,793.36 元,增幅 43.68%。

  负债主要构成项目为应付账款、其他应付款,它们分别占资产总额的 43.56%、2.88%。负债方面变动较大的是应付账款和其他应付款,其中应付账款较上一年末减少了 49,733,315.69 元,降幅 10.23%;其他应付款较上一年末增加了 10,575,747.49元,增幅 57.76%。

  所有者权益主要构成项目为股本、资本公积、未分配利润,它们分别占资产总额的 13.22%、13.27%、18.88%。所有者权益方面变动较大的是未分配利润,较上一年末减少了 45,117,956.12 元,降幅 19.27%。

  2024 年公司各项主要资产变动情况如下表所示:

                                                                                      单位:元

      项目                                                                    占总资产比例

                        2024 年          2023 年        变动增幅      2024 年    2023 年  变动增幅

货币资金                195,406,810.69    136,003,017.33        43.68%      19.51%    12.46%    7.05%

应收票据                  430,600.00        135,750.00      217.20%      0.04%    0.01%    0.03%

应收账款                213,399,086.86    174,333,749.55        22.41%      21.31%    15.97%    5.34%

预付款项                  1,384,343.88      2,589,259.12      -46.54%      0.14%    0.24%    -0.10%

其他应收款                2,534,038.33      3,292,038.18      -23.03%      0.25%    0.30%    -0.05%

合同资产                276,111,561.67    468,801,643.49      -41.10%      27.57%    42.94%    -15.37%

其他流动资产              1,474,543.03        16,286.20      8953.94%      0.15%    0.00%    0.15%

长期股权投资            110,131,205.94    99,466,503.64        10.72%      11.00%    9.11%    1.89%

投资性房地产              3,622,335.46      3,605,628.88        0.46%      0.36%    0.33%    0.03%

固定资产                154,285,304.01    164,028,876.66        -5.94%      15.41%    15.03%    0.38%

使用权资产              12,809,879.65      9,923,635.54        29.08%      1.28%    0.91%    0.37%

无形资产                  920,140.02        577,234.64        59.40%      0.09%    0.05%    0.04%

长期待摊费用              323,506.92        277,091.67        16.75%      0.03%    0.03%    0.01%

递延所得税资产          19,185,874.69    19,146,903.33        0.20%      1.92%    1.75%    0.16%

其他非流动资产                                                            0.00%    0.00%    0.00%

应付账款                436,215,068.45    485,948,384.14      -10.23%      43.56%    44.51%    -0.96%

预收款项                    15,395.80                                      0.00%    0.00%    0.00%

合同负债                  1,046,855.26      3,616,884.85      -71.06%      0.10%    0.33%    -0.23%

应付职工薪酬            19,304,242.13    28,362,630.54      -31.94%      1.93%    2.60%    -0.67%

应交税费                10,342,648.97    11,520,256.90      -10.22%      1.03%    1.06%    -0.02%

其他应付款              28,886,126.52    18,310,379.03        57.76%      2.88%    1.68%    1.21%

一年内到期的非流

动负债                    1,758,585.43        699,269.51      151.49%      0.18%    0.06%    0.11%

其他流动负债                28,840.19        44,560.62      -35.28%      0.00%    0.00%    0.00%

租赁负债                  3,369,972.93      1,425,891.77      136.34%      0.34%    0.13%    0.21%

长期应付款                308,973.63        316,338.48        -2.33%      0.03%    0.03%    0.00%

递延所得税负债                                                            0.00%    0.00%    0.00%

股本                    132,416,609.00    132,416,609.00        0.00%      13.22%    12.13%    1.09%

资本公积                132,869,266.19    128,323,968.85        3.54%      13.27%    11.75%    1.51%

盈余公积                45,106,611.00    45,106,611.00        0.00%      4.50%    4.13%    0.37%

未分配利润              189,062,890.37    234,180,846.49      -19.27%      18.88%    21.45%    -2.57%

资产总计              1,001,521,131.15  1,091,699,518.23        -8.26%    100.00%  100.00%    0.00%

      三、经营成果

      2024 年度公司共实现营业收入 209,114,189.10 元,同比下降 32.39%。其中设

  计业务收入 158,044,583.34 元,工程总承包业务收入 41,843,801.96 元,其他业务

  收入 9,225,803.8 元;营业利润-38,578,766.75 元,同比下降 547.54%;净利润

-38,537,601.35 元,同比下降 538.46%;归属于公司股东的净利润-37,172,959.58 元,同比下降 497.90%。

  2024 年公司各项经营成果指标如下表所示:

                                                                                      单位:元

      项目                                                          占收入比例

                      2024 年        2023 年    变动增幅  2024 年    2023 年    变动增幅

  营业收入        209,114,189.10  309,303,307.70    -32.39%

  营业成本        191,490,980.13  227,180,155.90    -15.71%    91.57%    73.45%    18.12%

  税金及附加        3,753,860.70    4,058,740.31    -7.51%    1.80%      1.31%      0.48%

  销售费用          3,391,841.38    4,210,382.34    -19.44%    1.6