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首页 公告 宏工科技:2024年度财务决算报告

宏工科技:2024年度财务决算报告

公告日期:2025-04-29


                  宏工科技股份有限公司

                  2024年度财务决算报告

        一、2024 年度财务报表的审计情况

        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,出具了“天健审【2025】3-416 号”《审计报告》。

        二、主要财务数据和指标

                                                        单位:元

      项目            2024 年            2023 年          增减金额      同比
                        1-12 月            1-12 月                          增减率

营业收入            2,090,496,291.57  3,198,365,126.77 -1,107,868,835.20 -34.64%

综合毛利润            608,104,110.27    773,248,178.49  -165,144,068.22 -21.36%

综合毛利率                    29.09%            24.18%                      4.91%

期间费用              305,781,324.39    384,199,257.05    -78,417,932.66 -20.41%

其中: 销售费用        68,801,969.23    73,086,791.25    -4,284,822.02  -5.86%

      管理费用        83,950,394.52    99,782,107.35    -15,831,712.83 -15.87%

      研发费用        129,370,892.97    196,601,228.80    -67,230,335.83 -34.20%

      财务费用        23,658,067.67    14,729,129.65      8,928,938.02  60.62%

期间费用占收入比              14.63%            12.01%                      2.62%

净利润                207,773,643.03    314,954,387.65  -107,180,744.62 -34.03%

扣除非经常性损益      202,111,342.81    301,796,241.30    -99,684,898.49 -33.03%
后的净利润

归属于母公司所有      207,773,643.03    314,954,387.65  -107,180,744.62 -34.03%
者的净利润

基本每股收益                    3.46              5.25            -1.79 -34.10%

稀释每股收益                    3.46              5.25            -1.79 -34.10%

加权平均净资产收              22.73%            48.29%                - -25.56%
益率

      项目          2024 年末        2023 年末        增减金额    同比增减率

 资产总额          4,024,540,753.7  4,289,469,984.5  -264,929,230.71      -6.18%
                                  9                0


资产负债率(合              74.70%          81.12%                -      -6.42%
并)

资产负债率(母公            68.02%          77.32%                -      -9.30%
司)

归属于公司股东的  1,018,189,028.8  810,042,382.81  208,146,646.02      25.70%
所有者权益                      3

股本                60,000,000.00    60,000,000.00                -      0.00%

归属于公司股东的            16.97            13.5            3.47      25.70%
每股净资产

    三、财务状况、经营成果和现金流量分析

    (一)资产构成分析

                                                        单位:元

              项目            2024 年末        2023 年末数      变动比率

        货币资金            549,680,335.35    343,744,400.04      59.91%

        应收票据              73,374,362.48    88,514,246.52      -17.10%

        应收账款          1,386,767,376.17  1,370,688,497.68        1.17%

        应收款项融资          94,697,869.32    91,753,843.08        3.21%

        预付款项              21,422,798.91    24,095,497.05      -11.09%

        其他应收款            20,633,106.20    22,675,590.64      -9.01%

        存货                990,668,761.57  1,317,558,673.40      -24.81%

        合同资产            206,136,473.65    458,682,317.93      -55.06%

        其他流动资产          9,261,547.79      2,336,296.75      296.42%

            流动资产合计  3,352,642,631.44  3,720,049,363.09      -9.88%

        固定资产            433,704,721.52    383,269,318.10      13.16%

        使用权资产            1,370,617.57    12,763,138.05      -89.26%

        无形资产            104,991,052.42    99,872,493.23        5.13%

        长期待摊费用          9,497,923.77    11,794,390.22      -19.47%

        递延所得税资产        57,182,196.05    54,555,584.44        4.81%

        其他非流动资产        65,151,611.02      7,165,697.37      809.22%

            非流动资产合计    671,898,122.35    569,420,621.41      18.00%

            资产总计      4,024,540,753.79  4,289,469,984.50      -6.18%

        2024 年资产总额减少 6.18%;其中流动资产较年初减少 9.88%;

    非流动资产较年初增长 18%。各主要项目变动情况说明如下:


  1、货币资金增加 59.91%,主要是客户货款回款增多,回款结构有所优化;

  2、合同资产减少 55.06%,主要是销售规模减少所致;

  3、其他流动资产增加 2.96 倍,主要是待认证进项税额增加所致;
  4、使用权资产减少 89.26%,主要原因是减少厂房租赁所致;
  5、其他非流动资产增加 8.09 倍,主要原因是应收未到期质保金增加所致。
(二)负债构成分析
单位:元

        项目              2024 期末数      2023 期末数    变动比率

 短期借款                  290,017,111.11    400,307,887.83  -27.55%

 应付票据                  159,432,617.87    359,383,402.68  -55.64%

 应付账款                  967,394,052.42  1,023,220,357.92    -5.46%

 合同负债                  797,600,535.68  1,088,788,282.78  -26.74%

 应付职工薪酬              17,548,860.64    88,273,604.63  -80.12%

 应交税费                  28,118,950.00    43,095,766.29  -34.75%

 其他应付款                  9,009,518.99    11,465,741.32  -21.42%

 一年内到期的非流动负债    320,153,548.37    26,809,720.21  1094.17%

 其他流动负债              161,203,635.27    163,545,693.20    -1.43%

      流动负债合计      2,750,478,830.35  3,204,890,456.86  -14.18%

 长期借款                  223,365,200.00    217,102,737.55    2.88%

 租赁负债                      312,551.83      5,285,963.53  -94.09%

 预计负债                  32,195,142.78    52,148,443.75  -38.26%

    非流动负债合计        255,872,894.61    274,537,144.83    -6.80%

        负债合计        3,006,351,724.96  3,479,427,601.69  -13.60%

  2024 年负债总额下降 13.60%,其中流动负债较年初下降 14.18%。
非流动负债较年初下降 6.8%。各主要项目变动情况说明如下:


  1、应付票据减少 55.64%,主要原因是采购规模减少,应付货款
减少所致;

  2、应付职