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首页 公告 华业香料:2024年度财务决算报告

华业香料:2024年度财务决算报告

公告日期:2025-04-17


              安徽华业香料股份有限公司

              2024 年度财务决算报告

        公司 2024 年度财务报表已经容诚会计师事务所(特殊普通合伙)审计,并

    出具了“容诚审字[2025] 230Z1323 号”标准无保留意见的审计报告。

        一、2024 年主要财务数据

                      2024 年          2023 年        本年比上年增减        2022 年

营业收入(元)        345,180,521.41    269,418,412.06            28.12%    254,836,775.96

归属于上市公司股      22,089,850.23      -3,945,839.45          659.83%      20,783,528.87
东的净利润(元)
归属于上市公司股

东的扣除非经常性      19,151,230.03      -7,247,915.40          364.23%      14,127,863.25
损益的净利润(元)

经营活动产生的现      20,420,665.16      39,419,395.19          -48.20%      21,470,305.04
金流量净额(元)

基本每股收益(元/            0.2963            -0.0529          660.11%            0.2788
股)

稀释每股收益(元/            0.2963            -0.0529          660.11%            0.2788
股)

加权平均净资产收            4.01%            -0.73%            4.74%            3.91%
益率

                      2024 年末        2023 年末      本年末比上年末增      2022 年末

                                                            减

资产总额(元)        631,737,498.02    602,320,218.77            4.88%    616,169,061.01

归属于上市公司股      565,479,417.63    538,554,722.60            5.00%    540,043,367.76
东的净资产(元)

        注:本表数据为公司合并表数据。

        二、2024 年主要财务状况

        1、主要资产及负债变动情况:

                    2024 年末                2024 年初                      重大变动说
                金额      占总资产      金额      占总资产    比重增减        明

                              比例                      比例

货币资金      53,444,132.93      8.46%  59,553,889.73      9.89%      -1.43%

                                                                              主要系销售
应收账款    110,826,009.44    17.54%  76,059,776.59    12.63%      4.91%  额增大应收
                                                                              款增多所致

存货        108,529,241.19    17.18%  96,981,635.02    16.10%      1.08%

固定资产    248,505,859.66    39.34%  253,028,056.51    42.01%      -2.67%  主要系计提
                                                                              折旧所致

                                                                              主要系合肥
在建工程      5,699,804.17      0.90%  10,132,946.29      1.68%      -0.78%  子公司在建
                                                                              项目达到预
                                                                              定可使用状

                                                                              态转固所致

                                                                              系本期归还
短期借款                                3,003,025.00      0.50%      -0.50%  借款后未新
                                                                              增借款所致

合同负债        537,728.03      0.09%    1,288,065.15      0.21%      -0.12%  系预收货款
                                                                              减少所致

    2、费用情况:

                      2024 年          2023 年          同比增减        重大变动说明

销售费用                5,484,139.64      3,773,077.72            45.35%  主要系营销人员薪
                                                                        酬增加所致

管理费用              35,867,121.71      34,496,678.15            3.97%

                                                                        主要系汇率波动形
财务费用              -3,500,303.66      -1,861,429.78            88.04%  成的汇兑收益增加
                                                                        所致

研发费用              19,231,678.35      14,851,731.62            29.49%  主要系公司加大研
                                                                        发投入所致

    3、现金流情况:

        项目                2024 年                2023 年              同比增减

经营活动现金流入小计          373,847,760.86          295,165,425.06                26.66%

经营活动现金流出小计          353,427,095.70          255,746,029.87                38.19%

经营活动产生的现金流            20,420,665.16          39,419,395.19                -48.20%
量净额

投资活动现金流入小计          201,363,783.82          90,912,539.52              121.49%

投资活动现金流出小计          226,337,070.09          177,447,251.62                27.55%

投资活动产生的现金流          -24,973,286.27          -86,534,712.10                71.14%
量净额

筹资活动现金流入小计                                  10,000,000.00              -100.00%

筹资活动现金流出小计            3,038,775.00          20,896,764.95                -85.46%

筹资活动产生的现金流            -3,038,775.00          -10,896,764.95                72.11%
量净额

现金及现金等价物净增            -6,109,757.95          -57,688,190.35                89.41%
加额

    注:

    1、经营活动产生的现金流量净额较上年减少 48.2%,主要系销售收入增加应收账款余额加

    大所致;

    2、投资活动产生的现金流量净额较上年同期增长 71.14%,主要系去年有理财款 5000 万未

    到期所致;

    3、筹资活动产生的现金流量净额较上年同期增长 72.11%,主要系本期归还银行借款减少所

    致。

安徽华业香料股份有限公司
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        2025 年 4 月 17 日