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首页 公告 蠡湖股份:2024年度财务决算报告

蠡湖股份:2024年度财务决算报告

公告日期:2025-04-18


  证券代码:300694        证券简称:蠡湖股份        公告编号:2025-010

                无锡蠡湖增压技术股份有限公司

                    2024年度财务决算报告

      本公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有虚假记
  载、误导性陈述或重大遗漏。

      无锡蠡湖增压技术股份有限公司(以下简称“公司”)2024 年度财务报表已经
  天健会计师事务所(特殊普通合伙)审计,并出具了天健审〔2025〕8-272 号的标
  准无保留意见审计报告。现将公司 2024 年度财务决算相关情况报告如下:

      (一)资产情况比较表

                                                                          单位:万元

                                                                    占总资产比重

    项目        2024 年末      2023 年末      同比增减

                                                                2024 年末    2023 年末

货币资金            24,859.20      24,974.04        -0.46%      12.23%      11.59%

应收票据                    -          40.85      -100.00%      0.00%      0.02%

应收账款            43,859.16      46,800.22        -6.28%      21.58%      21.73%

应收款项融资          2,714.41        7,453.47        -63.58%      1.34%      3.46%

预付款项                963.25        1,057.62        -8.92%      0.47%      0.49%

其他应收款              121.93          83.29        46.38%      0.06%      0.04%

存货                47,066.28      53,424.14        -11.90%      23.16%      24.80%

其他流动资产          1,030.78          527.22        95.51%      0.51%      0.24%

固定资产            72,409.22      62,986.35        14.96%      35.63%      29.24%

在建工程              2,942.71        9,741.62        -69.79%      1.45%      4.52%

使用权资产              447.43          834.69        -46.40%      0.22%      0.39%

无形资产              4,414.63        4,622.62        -4.50%      2.17%      2.15%


长期待摊费用          2,087.58        2,637.55        -20.85%      1.03%      1.22%

递延所得税资产          60.34              -        100.00%      0.03%      0.00%

其他非流动资产          255.05          213.54        19.44%      0.13%      0.10%

资产总计            203,231.95      215,397.23        -5.65%    100.00%    100.00%

      2024 年度末,公司资产总额 203,231.95 万元,比 2023 年末减少 12,165.28 万元,
  同比减少 5.65%,主要变动说明如下:

      1、应收票据期末数较期初数下降 100%,主要系商业承兑汇票减少;

      2、应收款项融资较期初数下降 63.58%,主要系期末未到期的银行承兑汇票减
  少;

      3、其他应收款期末数较期初数增加 46.38%,主要系本期末待收回应收暂付款
  项增加;

      4、其他流动资产期末数较期初数增加 95.51%,主要系期末待抵扣税额增加;
      5、在建工程期末数较期初数下降 69.79%,主要系本期在建工程竣工结转固定
  资产;

      6、使用权资产期末数较期初数下降 46.40%,主要系租赁资产折旧摊销;

      7、递延所得税资产期末数较期初数增加 100.00%,主要系本期末母公司递延所
  得税资产、负债以抵销后净额列示为递延所得税资产。

      (二)负债情况比较表

                                                                          单位:万元

      项目        2024 年末      2023 年末      同比增减          占总负债比重

                                                              2024 年末    2023 年末

 短期借款            20,580.92      36,658.20        -43.86%      31.63%      44.70%

 应付票据              6,841.10      8,877.15        -22.94%      10.52%      10.82%

 应付账款            20,130.81      23,005.15        -12.49%      30.94%      28.05%

 预收款项                    -          42.00      -100.00%      0.00%      0.05%

 合同负债                582.04        482.58        20.61%      0.89%      0.59%

 应付职工薪酬          3,495.21      4,181.23        -16.41%      5.37%      5.10%


应交税费                265.76        252.06        5.44%      0.41%      0.31%

其他应付款              151.92        189.84        -19.98%      0.23%      0.23%

一年内到期的非

流动负债              4,347.15      2,178.83        99.52%      6.68%      2.66%

其他流动负债            75.67          62.74        20.61%      0.12%      0.08%

长期借款              4,450.00        950.00      368.42%      6.84%      1.16%

租赁负债                171.07        421.60        -59.42%      0.26%      0.51%

递延收益              1,162.42      1,520.01        -23.53%      1.79%      1.85%

递延所得税负债          45.41        433.15        -89.52%      0.07%      0.53%

其他非流动负债        2,759.92      2,759.92        0.00%      4.24%      3.37%

负债合计            65,059.39      82,014.45        -20.67%    100.00%    100.00%

    2024 年度末,公司负债总额 65,059.39 万元,比 2023 年末减少 16,955.06 万元,
 同比减少 20.67%,主要变动说明如下:

    1、短期借款期末数较期初数下降 43.86%,主要系本期末一年内银行借款减少;
    2、预收账款期末数较期初数下降 100.00%,主要系本期末预收房租款项减少;
    3、一年内到期的非流动负债期末数较期初数增加 99.52%,主要系本期末一年
 内到期的长期银行借款转入本科目;

    4、长期借款期末数较期初数增加 368.42%,主要系本期末一年以上银行借款增
 加;

    5、租赁负债期末数较期初数下降 59.42%,主要系租赁资产折旧摊销;

    6、递延所得税负债期末数较期初数下降 89.52%,主要系本期末子公司递延所
 得税资产、负债以抵销后净额列示为递延所得税负债较上期减少。

    (三)所有者权益情况比较表

                                                                        单位:万元

      项目          2024 年末    2023 年末    同比增减      占所有者权益比重

                                                              2024 年末    2023 年末

股本                    21,531.70    21,531.70        0.00%      15.58%      16.14%

资本公积                                            0.69%      48.66%      50.06%


                        67,230.29    66,767.47

专项储备                      -        22.38    -100.00%        0.00%      0.02%

盈余公积                6,392.47      6,043.21        5.78%        4.63%      4.53%

未分配利润              43,098.11    38,971.76      10.59%      31.19%      29.22%

归属于母公司所有者

权益合计              138,252.56    133,336.51        3.69%      100.0