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英力股份:2024年度财务决算报告

公告日期:2025-03-28


        安徽英力电子科技股份有限公司

            2024 年度财务决算报告

  安徽英力电子科技股份有限公司(以下简称“公司”)2024 年度财务会计报表已经容诚会计师事务所(特殊普通合伙)审计,出具了标准无保留意见的审计报告。现将公司 2024 年度财务决算(合并口径)的相关情况报告如下:

  2024 年度,公司完成营业收入 184,297.27 万元,上年同期营业收入
148,406.58 万元,同比上升 24.18%,公司全年营业成本为 164,693.58 万元,上年同期营业成本 131,466.15 万元, 同比上升 25.27%。

    一、主要财务数据

                                                          单位:万元

    项  目        2024 年度      2023 年度    与上年同期相    增减比率
                                                    比增减额

 一、营业总收入        184,297.27    148,406.58    35,890.69        24.18%

 其中:营业收入        184,297.27    148,406.58    35,890.69        24.18%

 二、营业总成本        181,460.95    148,348.05    33,112.90        22.32%

 其中:营业成本        164,693.58    131,466.15    33,227.43        25.27%

 税金及附加              1,498.32      1,400.46        97.86          6.99%

 销售费用                2,165.24      2,145.21        20.03          0.93%

 管理费用                5,823.18      5,504.11        319.07          5.80%

 研发费用                6,351.20      5,377.81        973.39        18.10%

 财务费用                  929.43      2,454.30    -1,524.87        -62.13%

 加:其他收益              893.88      1,413.26      -519.38        -36.75%

 投资收益(损失以“-”      -619.14        -267.03      -352.11      -131.86%
 号填列)

 公允价值变动收益          310.97      -1,171.02      1,481.99        126.56%
 (损失以“-”号填列)


 信用减值损失(损失        -445.12        -330.50

 以“-”号填列)                                        -114.62        34.68%

 资产减值损失(损失      -2,073.56      -3,806.47      1,732.91        -45.53%
 以“-”号填列)

 资产处置收益(损失          -1.92        -90.41        88.49        97.88%
 以“-”号填列)

 三、营业利润(亏损        901.43      -4,193.64      5,095.07        121.50%
 以“-”号填列)

 加:营业外收入              16.70          38.22        -21.52        -56.31%

 减:营业外支出            115.23          4.21        111.02      2637.05%

 四、利润总额(亏损        802.90      -4,159.64      4,962.54        119.30%
 以“-”号填列)

 减:所得税费用            -120.75        -440.61        319.86        72.59%

 五、净利润(净亏损        923.65      -3,719.03      4,642.68        124.84%
 以“-”号填列)

 经营活动产生的现金      15,114.95      4,662.33    10,452.62        224.19%
 流量净额

(1)本期财务费用较 2023 年度下降 62.13%,主要系 2024 年度汇率变动导致汇
兑净收益金额增加所致;

(2)本期其他收益较 2023 年度下降 36.75%,主要系 2024 年度收到的政府补助
减少所致;
(3)本期投资收益较 2023 年度大幅减少,主要系 2024 年度远期结售汇盈亏金额增加所致;
(4)本期公允价值变动收益较 2023 年度大幅增长,主要系本期远期结售汇浮动盈利金额较大所致;
(5)本期信用减值损失较 2023 年度增长 34.68%,主要系其他应收款余额增加,相应计提的其他应收款坏账损失增加所致;
(6)本期资产减值损失较 2023 年度下降 45.53%,主要系存货减值损失减少所致;
(7)本期资产处置收益较 2023 年度大幅增长,主要系公司固定资产处置损失金额减少所致;

 (8)本期营业外收入较 2023 年度下降 56.29%,主要系公司本期收到的其他营业外收入减少所致;
 (9)本期营业外支出较 2023 年度大幅上升,主要系非流动资产报废损失增加所致;
 (10)本期所得税费用较 2023 年度大幅上升,主要系递延所得税费用金额变动较大所致。

    二、资产负债增减变动情况

                                                          单位:万元

    项  目      2024 年末      2023 年末    与上年同期相    增减比率

                                                比增减额

 总资产            296,388.33    248,877.01      47,511.32          19.09%

 流动资产合计      149,635.33    130,602.88      19,032.45          14.57%

 其中:货币资金      19,856.29      8,254.66      11,601.63        140.55%

 交易性金融资产      3,014.13    12,013.57      -8,999.45        -74.91%

 应收票据            4,376.90          0.00      4,376.90            100%

 应收账款            72,204.28    56,326.26      15,878.02          28.19%

 预付款项              801.15      1,974.16      -1,173.01        -59.42%

 其他应收款          2,028.46      1,111.42        917.04          82.51%

 存货                42,139.41    46,182.35      -4,042.94          -8.75%

 合同资产              329.54        43.66        285.88        654.79%

 其他流动资产        4,878.04      4,689.79        188.25          4.01%

 非流动资产合计    146,753.00    118,274.13      28,478.87          24.08%

 其中:固定资产    124,230.00    87,960.71      36,269.29          41.23%

 在建工程            9,068.73    18,175.89      -9,107.16        -50.11%

 无形资产            6,845.05      7,006.95        -161.90          -2.31%

 递延所得税资产      1,594.48      2,506.65        -912.17        -36.39%

 总负债            157,635.02    136,459.74      21,175.28          15.52%


 其中:短期借款      42,512.87    20,732.64      21,780.23        105.05%

 应付账款            71,518.84    58,829.64      12,689.20          21.57%

 应交税费              212.00        276.93        -64.93        -23.45%

 其他应付款            162.14        215.43        -53.29        -24.74%

 所有者权益合计    138,753.31    112,417.27      26,336.04          23.43%

 其中:盈余公积      1,614.69      1,303.08        311.61          23.91%

 未分配利润          28,096.42    28,041.31          55.11          0.20%

(1)期末货币资金较 2023 年末大幅增长,主要系经营活动以及筹资活动产生的现金流量净额增加所致;
(2)期末交易性金融资产较 2023 年末下降 74.91%,主要系购买理财产品金额减少所致;
(3)期末应收票据较 2023 年末大幅增长,主要系本期收到的银行承兑汇票增多所致;
(4)期末应收账款较 2023 年末增长 28.19%,主要系营业收入规模增长,信用期内应收账款规模增加所致;

(5)期末预付款项较 2023 年末下降 59.42%,主要系 2023 年末预付材料款,已
于 2024 年到货所致;

(6)期末其他应收款较 2023 年末增长 82.51%,主要系 2024 年末应收出口退税
金额增加所致;
(7)期末合同资产较 2023 年末大幅增长,主要系 2024 年末未到期质保金增加所致;

(8)期末固定资产较 2023 年末增长 41.23%,主要系 2024 年光伏电站业务新增
资产较多所致;

(9)期末在建工程较 2023 年末下降 50.11%,主要系 2.4GW 大尺寸