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首页 公告 开勒股份:2024年度财务决算报告

开勒股份:2024年度财务决算报告

公告日期:2025-04-29


        开勒环境科技(上海)股份有限公司

              2024 年度财务决算报告

  2024 年度,开勒环境科技(上海)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,并出具标准无保留意见的《审计报告》(天健审〔2025〕8375 号)。天健会计师事务所认为,公司的财务报表在所有重大方面已经按照企业会计准则以及有关规定编制,公允地反映
了公司截至 2024 年 12 月 31 日的财务状况以及 2024 年度经营成果和现金流量。
现将公司 2024 年度财务决算情况报告如下:

    一、主要会计数据和财务指标

                                                                      单位:元

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

 营业收入(元)      331,191,152.88    368,581,262.85        -10.14%    303,935,858.45

 归属于上市公司股  -10,530,566.16    26,851,573.61        -139.22%    30,095,059.37
 东的净利润(元)
 归属于上市公司股

 东的扣除非经常性  -18,126,815.73    17,885,722.88        -201.35%    17,899,157.85
 损益的净利润(元)

 经营活动产生的现    43,644,262.78    36,422,394.85          19.83%    38,471,827.90
 金流量净额(元)

 基本每股收益(元/            -0.16              0.42        -138.10%              0.47
 股)

 稀释每股收益(元/            -0.16              0.41        -139.02%              0.47
 股)

 加权平均净资产收          -1.32%            3.36%          -4.68%            3.83%
 益率

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

                                                              增减

 资产总额(元)      958,274,315.91  1,052,421,374.13          -8.95%    959,022,924.72

 归属于上市公司股  779,163,822.91    816,061,536.81          -4.52%    783,180,292.80
 东的净资产(元)

    二、2024 年末主要资产负债变动情况

                                                                      单位:元

                    2024 年末                2024 年初        比重增

                金额      占总资      金额      占总资    减      重大变动说明

                            产比例                  产比例


                                                                      主要系本期末赎回理
货币资金  213,825,047.54  22.31%  168,820,570.18  16.04%  6.27%  财产品,货币资金增
                                                                      加所致。

                                                                      主要系本期收入下降
应收账款    54,338,433.30    5.67%  66,838,014.41  6.35%  -0.68%  及销售回款率提升所
                                                                      致。

合同资产    4,937,720.61    0.52%    4,041,096.36  0.38%  0.14%  主要系本期末质保金
                                                                      金额增加所致。

存货        60,676,825.75    6.33%  94,856,630.40  9.01%  -2.68%  主要系本期业务量下
                                                                      降,备货减少所致。

长期股权  60,355,078.40    6.30%  42,872,384.37  4.07%  2.23%  主要系本期增加对联
投资                                                                  营企业的投资所致。

固定资产  294,549,868.68  30.74%  287,804,963.69  27.35%  3.39%  主要系本期增加固定
                                                                      资产投资所致。

                                                                      主要系本期部分在建
在建工程      267,000.00    0.03%    3,443,455.92  0.33%  -0.30%  工程项目完工,转入
                                                                      固定资产及无形资产
                                                                      所致。

使用权资                                                              主要系本期减少部分
产          2,768,396.47    0.29%    6,639,961.06  0.63%  -0.34%  异地租赁办公场所所
                                                                      致。

短期借款      945,258.18    0.10%  19,016,605.48  1.81%  -1.71%  主要系本期偿还了前
                                                                      期贷款所致。

合同负债    8,596,260.06    0.90%  18,185,371.62  1.73%  -0.83%  主要系本期预收客户
                                                                      货款金额下降所致。

长期借款    32,303,807.34    3.37%  40,969,582.44  3.89%  -0.52%  主要系本期归还部分
                                                                      长期借款所致。

                                                                      主要系本期减少部分
租赁负债    1,615,650.78    0.17%    4,975,251.30  0.47%  -0.30%  异地租赁办公场所所
                                                                      致。

交易性金                                                              主要系本期使用闲置
融资产    176,405,193.81  18.41%  266,273,099.38  25.30%  -6.89%  资金购买银行理财规
                                                                      模下降所致。

其他应收                                                              主要系本期收回计入
款          1,036,860.88    0.11%    2,940,861.91  0.28%  -0.17%  该项目的股权转让款
                                                                      所致。

其他流动                                                              主要系本期赎回计入
资产        4,061,650.32    0.42%  45,174,881.24  4.29%  -3.87%  该项目的固定收益凭
                                                                      证所致。

                                                                      主要系本期备货采购
应付账款    36,911,661.78    3.85%  56,082,587.89  5.33%  -1.48%  量减少及提升了银行
                                                                      承兑汇票支付比例所
                                                                      致。

                                                                      主要系本期末持有的
应收票据      218,381.22