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首页 公告 爱乐达:2024年度财务决算报告

爱乐达:2024年度财务决算报告

公告日期:2025-04-22


          成都爱乐达航空制造股份有限公司

              2024 年度财务决算报告

    一、2024年度公司财务报表的审计情况

        公司2024年度财务报表经信永中和会计师事务所(特殊普通合伙)审计,并

    出具了标准无保留意见的审计报告(XYZH/2025BJAG1B0180)。

    二、2024年度财务决算情况

    (一)资产情况

                                                            单位:人民币元

  项 目          期末余额          期初余额      增减幅度      大幅变动原因说明

                                                                  主要系利用闲置资金购买银
  货币资金        389,564,164.84    671,795,892.34  -42.01%  行理财、设备采购付款、厂
                                                                  房基建投入、借款到期偿还
                                                                  及支付上年度分红款。

交易性金融资产      500,464,867.09    317,868,770.14  57.44%  主要系利用闲置资金购买理
                                                                  财产品期末尚未到期。

  应收票据          9,758,144.22      59,909,941.83  -83.71%  主要系报告期内收到尚未到
                                                                  期的票据较期初减少。

  应收账款        335,447,372.00    345,943,488.81  -3.03%

  预付款项          6,905,677.64      6,012,102.37  14.86%

  其他应收款            514,991.18        760,871.95  -32.32%  主要系本期收回以前年度支
                                                                  付成都海关的保证金。

    存货          188,925,426.08    190,340,152.40  -0.74%

                                                                  主要系本期收回上年度预交
 其他流动资产        5,681,880.95      10,536,129.78  -46.07%

                                                                  所得税。

 流动资产合计    1,437,262,524.00  1,603,167,349.62  -10.35%

                                                                  主要系本报告期公司对外投
 长期股权投资        66,716,625.98      26,538,098.22  151.40%  资主体利润增加,公司对应
                                                                  投资收益增加。


    项 目          期末余额          期初余额      增减幅度      大幅变动原因说明

  固定资产        490,305,405.74    454,861,642.18  7.79%

  在建工程          8,316,942.65      8,274,887.84  0.51%

  使用权资产        16,522,002.68      18,910,725.96  -12.63%

                                                                  主要系本报告期收购希瑞方
  无形资产          50,689,504.14      28,039,405.26  80.78%  晓溢价增值部分确认无形资
                                                                  产。

 长期待摊费用          974,716.99      1,560,484.27  -37.54%  主要系新都租赁厂房装修费
                                                                  摊销。

递延所得税资产      16,639,669.91      14,078,901.47  18.19%

                                                                  主要系上年度采购设备于本
其他非流动资产        3,445,934.28      31,709,690.61  -89.13%  报告期到场验收,转入固定
                                                                  资产影响。

  非流动资产        653,610,802.37    583,973,835.81  11.92%

    合计

  资产总计      2,090,873,326.37  2,187,141,185.43  -4.40%

    (二)负债情况

                                                            单位:人民币元

    项 目          期末余额          期初余额      增减幅度      大幅变动原因说明

  短期借款                    -    10,000,000.00  -100.00%  主要系借款到期偿还。

  应付账款      142,386,973.67    202,493,601.41  -29.68%

                                                                主要系收到客户按合同约定
  合同负债        9,212,101.91      2,107,164.12  337.18%

                                                                支付的预付款项。

  应付职工薪酬      18,629,669.40    18,226,384.06    2.21%

                                                                主要系本报告期营收及利润
  应交税费            80,638.04        587,473.51  -86.27%  下降,报告期末公司尚未缴纳
                                                                的增值税减少。

  其他应付款            4,544.18          3,700.00  22.82%

一年内到期的非流    2,347,229.17      1,994,779.27  17.67%

    动负债


  项 目          期末余额          期初余额      增减幅度      大幅变动原因说明

                                                                主要系本报告期预收客户合
 其他流动负债      1,583,050.01        178,318.58  787.77%  同款,将尚未达到增值税纳税
                                                                义务时点的税金重分类。

 流动负债合计    174,244,206.38    235,591,420.95  -26.04%

  长期借款        15,000,000.00    15,000,000.00      -

  租赁负债        17,050,928.24    19,398,157.41  -12.10%

  递延收益        21,476,882.60    23,637,323.11  -9.14%

                                                                主要系本报告期收购希瑞方
递延所得税负债    10,020,950.07      4,727,681.49  111.96%  晓溢价增值确认对应的递延
                                                                所得税负债。

非流动负债合计    63,548,760.91    62,763,162.01    1.25%

  负债合计      237,792,967.29    298,354,582.96  -20.30%

    (三)股东权益情况

                                                          单位:人民币元

    项目            期末余额          期初余额      增减幅度    大幅变动原因说明

    股本            293,152,983.00    293,152,983.00    -

  资本公积          812,469,673.83    812,469,673.83    -

  专项储备            15,579,066.36      15,149,755.81  2.83%

  盈余公积          100,072,161.89    100,072,161.89    -

 未分配利润          613,684,197.73    667,942,027.94  -8.12%

 归属于母公司股

                    1,834,958,082.81  1,888,786,602.47  -2.85%

  东权益合计

                                                                    主要系本报告期收购希