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中科信息:2024年度财务决算报告

公告日期:2025-03-28


        中科院成都信息技术股份有限公司

            2024 年度财务决算报告

  (2025年3月27日已经第四届董事会第十七次会议审议通过,

                待提交2024年度股东大会审议)

  中科院成都信息技术股份有限公司(以下简称“公司”或“本公司”)
2024 年 12 月 31 日资产负债表、2024 年度利润表、现金流量表和所有
者权益变动表及相关报表附注业经信永中和会计师事务所(特殊普通合伙)审计,并且出具标准无保留意见的审计报告。

  一、基本情况

  2024 年度,公司实现营业收入 50,700.13 万元,较去年同期下降
14.27%;营业利润 215.77 万元,较去年同期减少 94.83%;利润总额261.91 万元,较去年同期减少 93.83%;归属于上市公司股东的净利润为 957.77 万元,较上年同期下降 75.10%。

  二、2024 年度公司主要财务指标

                2024年度主要经营指标完成情况

          项目            2024 年实际完成  2023 年实际完成 2024 年实际完成同
                                (万元)          (万元)          比增长

        营业收入                    50,700.13        59,140.23        -14.27%

        利润总额                      261.91          4,246.44        -93.83%

          净利润                      720.28          4,009.71        -82.04%

 归属于母公司所有者的净利润            957.77          3,846.54        -75.10%

 经营活动产生的现金流量净额            4,864.24          5,122.09          -5.03%

        资产总额                  119,279.06        126,304.43          -5.56%


        负债总额                    33,301.50        39,847.12        -16.43%

          净资产                    85,977.56        86,457.31          -0.55%

 其中:归属于母公司所有者权          85,652.47        86,410.42          -0.88%
            益

        速动比率                        2.64              2.18            0.46

        资产负债率                    27.92%          31.55%          -3.63%

    加权净资产收益率                  1.11%            4.53%          -3.42%
  (不含少数股东权益)

          股本                      29,638.63        29,638.63          0.00%

      基本每股收益                    0.0323            0.1507        -78.56%

  三、2024 年度公司主要资产状况说明

          项目            2024 年实际完成    2023 年实际完成  2024 年实际完成同
                              (万元)          (万元)      比增长率(%)

        货币资金                    47,609.25          50,129.82            -5.03

        应收账款                    18,438.68          25,122.33          -26.60

          存货                      9,152.56          15,911.22          -42.48

        合同资产                    6,665.59            5,416.98            23.05

      其他流动资产                  8,370.69              47.14        17,657.82

        应收票据                    2,268.59            2,748.47          -17.46

      长期股权投资                  13,240.96          12,958.49            2.18

        固定资产                    1,752.24            1,861.00            -5.84

        无形资产                    2,571.17            3,062.61          -16.05

    递延所得税资产                  3,308.19            2,775.58            19.19

  变动比率较大科目说明:

  1.存货:本期末余额较上期末余额减少 42.48%,主要系报告期内未完工项目采购成本减少所致。

  2.其他流动资产:本期末余额较上期末余额增长 17,657.82%,主要
系购买理财产品未到期,尚未赎回所致。

    四、2024 年度公司主要负债和股东权益状况说明

        项目            2024 年实际完成      2023 年实际完成  2024 年实际完成同
                            (万元)            (万元)      比增长率(%)

      短期借款                    1,251.03              60.00          1,985.05

      应付账款                  16,886.67            18,625.93            -9.34

      应交税费                    3,654.72            4,237.50            -13.75

      其他应付款                  2,817.91            2,252.71            25.09

      合同负债                    6,314.53            11,808.58            -46.53

    其他流动负债                    235.16              422.53            -44.34

      递延收益                      698.58              196.50          255.51

        股本                    29,638.63            29,638.63            0.00

      资本公积                  19,602.05            19,835.85            -1.18

      未分配利润                  32,314.15            33,236.58            -2.78

      股东权益                  85,977.56            86,457.31            -0.55

  变动比率较大科目说明:

  1.短期借款:本期末余额较上期末余额增长 1,985.05%,主要系报告期内子公司成都瑞拓科技有限责任公司、北京中科国声科技有限公司获取银行贷款共计 1,250 万元所致;

  2.合同负债:本期末余额较上期末余额减少 46.53%,主要系报告期内未完工项目预收合同款减少所致;

  3.其他流动负债:本期末余额较上期末余额减少 44.34%,主要系报告期内已背书未到期票据减少所致;

  4.递延收益:本期末余额较上期末余额增长 255.51%,主要系报告期内收到的政府补助大于结转其他收益的政府补助所致。


  五、公司经营状况说明

        项目            2024 年实际完成    2023 年实际完成  2024 年实际完成同
                            (万元)          (万元)      比增长率(%)

      营业收入                  50,700.13          59,140.23            -14.27

      营业成本                  40,244.31          45,444.05            -11.44

      销售费用                    3,921.50            3,992.28            -1.77

      管理费用                    3,434.03            3,774.14            -9.01

      研发费用                    4,010.38            3,374.30            18.85

    信用减值损失                  -692.77            -211.94            226.87

    资产减值损失                  -306.92            -430.62            -28.73

      投资收益                    1,369.07              935.85            46.29

      其他收益                    646.45            1,474.87            -56.17

      利润总额                    261.91            4,246.44            -93.83

      所得税费用                  -458.37              236.72          -293.63

        净利润                      720.28            4,