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科蓝软件:2024年度财务决算报告

公告日期:2025-04-29


            北京科蓝软件系统股份有限公司

                2024 年度财务决算报告

    大华会计师事务所(特殊普通合伙)已完成对我公司 2024 年度财务报表的

 审计,并出具了大华审字【2025】0011011258 号标准无保留意见审计报告。现
 将 2024 年度财务决算情况报告如下(所有数据均为合并报表数据):

    一、财务状况及分析

    1、资产构成及变动原因分析

    截止 2024 年 12 月 31 日公司资产总额 2,329,304,143.55 元,比年初减少

 667,812,172.44 元,减幅为 22.28%。资产结构及变动情况如下:

                                                                    单位:元

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

流动资产:

货币资金              221,284,767.50      601,326,486.57  -380,041,719.07      -63.20%

交易性金融资产          24,934,953.61        3,557,117.40    21,377,836.21      600.99%

应收账款              513,232,186.53      846,924,581.49  -333,692,394.96      -39.40%

预付款项                66,814,534.29      49,189,560.18    17,624,974.11        35.83%

其他应收款              35,706,605.87      37,472,057.69    -1,765,451.82        -4.71%

存货                  458,459,788.08      596,838,299.77  -138,378,511.69      -23.19%

合同资产                14,773,462.76      24,275,648.01    -9,502,185.25      -39.14%

其他流动资产            58,800,720.30      41,461,349.29    17,339,371.01        41.82%

流动资产合计        1,394,007,018.94    2,201,045,100.40  -807,038,081.46      -36.67%

非流动资产:

长期股权投资            14,428,661.62      14,527,435.12        -98,773.50        -0.68%

其他权益工具投资        20,428,610.95      20,501,337.51        -72,726.56        -0.35%

固定资产                29,117,234.60      28,813,558.33        303,676.27        1.05%

在建工程              487,937,383.83      365,921,391.20    122,015,992.63        33.34%

使用权资产              11,975,008.47      15,744,632.47    -3,769,624.00      -23.94%

无形资产              171,412,320.89      135,227,779.94    36,184,540.95        26.76%

开发支出                76,288,945.53      72,176,878.98      4,112,066.55        5.70%

商誉                    42,834,768.47      66,190,047.13    -23,355,278.66      -35.29%

长期待摊费用            2,974,954.68        6,034,790.98    -3,059,836.30      -50.70%

递延所得税资产          73,796,347.76      70,933,363.93      2,862,983.83        4.04%

其他非流动资产          4,102,887.81                  -      4,102,887.81

非流动资产合计        935,297,124.61      796,071,215.59    139,225,909.02        17.49%

资产总计            2,329,304,143.55    2,997,116,315.99  -667,812,172.44      -22.28%

(1)货币资金:较年初减少 380,041,719.07 元,减幅为 63.20%,主要系本期偿 还到期银行贷款所致。
(2)交易性金融资产:较年初增加 21,377,836.21 元,增幅为 600.99%,主要系 下属子公司闲置资金购买理财产品所致。
(3)应收账款:较年初减少 333,692,394.96 元,减幅为 39.4%,主要系本期计 提的应收账款坏账准备增加所致。
(4)预付款项:较年初增加 17,624,974.11 元,增幅为 35.83%,主要系公司本 期与清华大学成立“智能数据库联合研究院”支付科研合作项目预付款所致。(5)合同资产:较年初减少 9,502,185.25 元,减幅为 39.14%,主要系本期质保 金到期转入应收账款所致。
(6)其他流动资产:较年初增加 17,339,371.01 元,增幅为 41.82%,主要系苏 州子公司支付的工程款获取增值税专用发票,形成以后年度留抵的增值税进项 税增加。
(7)在建工程:较年初增加 122,015,992.63 元,增幅为 33.34%,主要系期苏州 子公司长三角研发中心建设工程进度继续投入所致。
(8)开发支出:较年初增加 4,112,066.55 元,增幅为 5.7%,主要系内部研发产 品增加并未达到预定可使用状态所致。
(9)商誉:较年初减少 23,355,278.66 元,减幅为 35.29%,主要系下属被投企 业的贷款产品运营分润收入下降,同时并进行商誉减值。
(10)长期待摊费用:较年初减少 3,059,836.30 元,减幅为 50.7%,主要系公司 各共同经营项目承建各平台系统,在剩余合作年限内摊销。
(11)其他非流动资产:较年初增加 4,102,887.81 元,主要系苏州子公司长三角 研发中心建设工程预付款转入在建工程所致。

      2、负债结构及变动原因分析

      截止 2024 年 12 月 31 日公司负债总额 1,520,397,488.53 元,比年初减
  少了 329,689,153.53 元,减幅 17.82%。负债结构及变动情况如下:

                                                              单位:元

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

流动负债:

短期借款            223,576,364.57      427,941,018.87  -204,364,654.30      -47.76%

应付账款            145,998,676.56        74,226,096.03    71,772,580.53        96.69%

合同负债            75,214,330.68        74,186,731.59      1,027,599.09        1.39%

应付职工薪酬        140,741,581.73        79,246,933.59    61,494,648.14        77.60%

应交税费            68,292,949.22        69,001,045.13      -708,095.91        -1.03%

其他应付款          21,764,829.40        41,183,953.27    -19,419,123.87      -47.15%

一年内到期的非      21,400,217.22        43,121,317.60    -21,721,100.38      -50.37%
流动负债

其他流动负债            109,329.62            17,383.02        91,946.60      528.94%

流动负债合计        697,098,279.00      808,924,479.10  -111,826,200.10      -13.82%

非流动负债:

长期借款            598,096,114.08      580,069,750.96    18,026,363.12        3.11%

应付债券            200,852,325.04      399,366,932.31  -198,514,607.27      -49.71%

租赁负债              4,571,726.28        8,546,873.08    -3,975,146.80      -46.51%

长期应付款            5,404,372.79        15,853,930.60    -10,449,557.81      -65.91%

预计负债                        -          103,960.00      -103,960.00      -100.00%

递延收益              6,470,000.00        2,500,000.00      3,970,000.00      158.80%

递延所得税负债        7,904,671.34        21,446,031.95    -13,541,360.61      -63.14%

其他非流动负债                  -        13,274,684.06    -13,274,684.06      -100.00%

非流动负债合计      823,299,209.53    1,041,162,162.96  -217,862,953.43      -20.92%

负债合计          1,520,397,488.53    1,850,086,642.06  -329,689,153.53      -17.82%

 (1)短期借款:较年初减少 204,364,654.30 元,减幅为 47.76%,主要系偿还到
  期的银行贷款。
 (2)应付账款:较年初增