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首页 公告 鸿铭股份:2024年度财务决算报告

鸿铭股份:2024年度财务决算报告

公告日期:2025-04-19


                  广东鸿铭智能股份有限公司

                  2024 年度财务决算报告

    公司 2024 年度会计报表已经致同会计师事务所(特殊普通合伙)审计,并出
具了标准无保留意见的审计报告致同审字(2025)第 332A012232 号《审计报告》。根据该《审计报告》并按照企业会计准则的规定,公司编制了 2024 年度的财务决算报告,具体情况如下:

    一、经营利润情况

                                                                      单位:人民币元

  指标项目        2024 年度        2023 年年度    增减幅度      大额变动原因说明

                                                            因市场环境影响,公司积极
营业收入      201,365,917.46    174,840,339.68    15.17%  开拓国内外市场,本期订单
                                                            比去年多

营业成本      151,257,122.63    136,974,169.32    10.43%  销售收入增长,成本同比上
                                                            升

销售费用      25,658,223.54      28,095,566.94    -8.68%  公司内部对费用控制所致

管理费用      22,184,359.01      18,145,396.41    22.26%  主要原因是募投项目转固,
                                                            对应的折旧与摊销增加所致

研发费用      13,295,801.41      13,380,400.46    -0.63%

财务费用      -4,741,205.43      -9,424,542.83    49.69%  本期闲余资金购买理财产
                                                            品,对应定期存款减少所致

其他收益      3,272,648.35        2,419,977.97    35.23%  本期政府补助种类比去年
                                                            多,相对金额也高些

投资收益      4,494,863.57        2,271,462.00    97.88%  本期闲余资金购买理财产品
                                                            增加对应的收益也增加所致

                                                            本期应收账款期末余额较上
信用减值损失  -3,884,858.85      -5,968,692.65    34.91%  年减少对应的坏账损失相应
                                                            减少

营业外支出    79,817.44            2,947,380.55  -97.29%  与上年相比本年没有发生大
                                                            额违约赔偿支出

归属于母公司                                                本年销售收入增长对应的利
股东的综合收  -9,770,853.36      -16,773,283.53    41.75%  润有所增加

益总额


基本每股收益  -0.20                -0.3355        40.39%

二、资产负债情况

                                                                      单位:人民币元

    指标项目          2024            2023 年      增减幅    大额变动原因说明
                    12 月 31 日        12 月 31 日      度

 流动资产:

 货币资金          210,805,466.78  371,201,808.67  -43.21%  主要是本期购买理财产
                                                                品增加所致

 交易性金融资产    190,755,273.98    51,000,000.00    274.03%  主要是本期购买理财产
                                                                品增加所致

 应收票据          4,237,824.92    6,070,272.51    -30.19%  主要是本期收到票据减
                                                                少所致

 应收账款          53,403,325.95    74,824,161.25    -28.63%  主要是本报告期公司回
                                                                款增加

 应收款项融资        508,998.49      548,014.45      -7.12%  主要是本报告期收到银
                                                                行承兑汇票减少所致

 预付款项            962,306.99      2,129,109.89    -54.80%  主要是本报告期向供应
                                                                商预付采购款减少所致

 其他应收款          826,552.91      1,714,142.47    -51.78%  主要是本期应收软件退
                                                                税款与保证金减少

 存货              143,954,849.65  144,868,146.44    -0.63%

 其他流动资产      12,750,439.90    13,348,806.87    -4.48%

 流动资产合计      618,205,039.57  665,704,462.55    -7.14%

 非流动资产:

 固定资产          262,333,626.52  149,998,640.59    74.89%  主要是本期在建厂房转
                                                                固增加及购买设备所致

 在建工程            140,412.84      91,375,951.98    -99.85%  主要是本期在建厂房转
                                                                固减少所致

 使用权资产        13,826,907.81    17,991,688.67    -23.15%  主要是本期租赁房产减
                                                                少所致

 无形资产          16,121,372.48    21,863,306.53    -26.26%  主要是本期土地使用权
                                                                转入投资性房地产所致

 长期待摊费用      1,350,730.58      209,833.22    543.72%  主要是本期租赁的厂房
                                                                装修费用增加所致

                                                                主要是本报告期计提资
 递延所得税资产    16,176,778.98    13,966,286.61    15.83%  产减值、预计负债等增加
                                                                所致

 其他非流动资产    1,328,849.80    4,745,527.65    -72.00%  主要是本期随着实施进
                                                                度确认工程量预付所致

 非流动资产合计    330,696,970.70  300,151,235.25    10.18%


资产总计          948,902,010.27  965,855,697.80    -1.76%

流动负债:
短期借款

                                                              主要是本报告期办理银
应付票据          8,500,000.00    2,730,000.00    211.36%  行承兑汇票用于采购付
                                                              款增加所致

应付账款          32,782,657.23    50,360,406.62    -34.90%  主要是本报告期采购材
                                                              料减少和支付账款增加

合同负债          25,522,841.12    14,060,463.19    81.52%  主要是本报告期预收货
                                                              款增加所致

应付职工薪酬      8,523,133.30    9,084,975.50    -6.18%

应交税费            6