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首页 公告 君禾股份:君禾股份关于2024年年度报告更正的公告

君禾股份:君禾股份关于2024年年度报告更正的公告

公告日期:2025-06-14


  证券代码:603617        证券简称:君禾股份        公告编号:2025-038

              君禾泵业股份有限公司

          关于2024年年度报告更正的公告

      本公司董事会及全体董事保证本公告内容不存在任何虚假记载、误导性陈述

  或者重大遗漏,并对其内容的真实性、准确性和完整性承担法律责任。

      君禾泵业股份有限公司(以下简称“公司”)于2025年4月25日在上海证券

  交易所网站(www.sse.com.cn)披露了《君禾股份2024年年度报告》及《君禾股

  份2024年度审计报告》,因工作人员疏忽,导致原披露的报告中部分内容错误,

  现予以更正。具体内容更正如下:

      一、“第十节 财务报表”之“七、合并财务报表项目注释”之“21、固定

  资产”之“(1)固定资产情况”

      更正前:

                                                            单位:元  币种:人民币

  项目      房屋及建筑    机器设备    运输工具  电子设备及  固定资产装      合计

                  物                                    其他        修

一、账面原值:

    1. 期 初  328,243,806.57  236,846,026.32  16,710,909.06  24,728,776.80  27,181,832.80  633,711,351.55
余额

    2. 本 期  330,647,788.36    23,752,735.35    213,073.07    5,727,239.45  15,148,159.60  375,488,995.83
增加金额

      (1)                    12,770,353.27    213,073.07    5,121,294.01  10,781,041.42    28,885,761.77
购置

      (2)

在建工程转  330,647,788.36    10,982,382.08                    605,945.44    697,393.40  342,933,509.28


      (3)                                                                3,669,724.78    3,669,724.78
其他

    3. 本 期    3,669,724.77    13,893,454.92    223,572.61    760,983.32    499,803.42    19,047,539.04
减少金额

      (1)                    13,893,454.92    223,572.61    760,983.32    499,803.42    15,377,814.27
处置或报废


      (2)    3,669,724.77                                                                3,669,724.77
其他

    4. 期 末  655,221,870.16  246,705,306.75  16,700,409.52  29,695,032.93  41,830,188.98  990,152,808.34
余额
二、累计折旧

    1. 期 初    42,726,685.84  118,839,617.51  10,895,805.11  18,619,427.23  10,983,323.87  202,064,859.56
余额

    2. 本 期    25,087,494.53    21,781,635.93    1,211,010.69    6,933,945.72    3,794,012.05    58,808,098.92
增加金额

      (1)    25,087,494.53    21,781,635.93    1,211,010.69    6,933,945.72    3,794,012.05    58,808,098.92
计提

    3. 本 期    10,408,224.36      102,949.10    665,302.57    457,641.15                  11,634,117.18
减少金额

      (1)    10,408,224.36      102,949.10    665,302.57    457,641.15                  11,634,117.18
处置或报废

      (2)

其他

    4. 期 末    57,405,956.01  140,518,304.34  11,441,513.23  25,095,731.80  14,777,335.92  249,238,841.30
余额
三、减值准备

    1. 期 初

余额

    2. 本 期

增加金额

      (1)

计提

    3. 本 期

减少金额

      (1)

处置或报废

    4. 期 末

余额
四、账面价值

    1. 期 末  597,815,914.15  106,187,002.41    5,258,896.29    4,599,301.13  27,052,853.06  740,913,967.04
账面价值

    2. 期 初  285,517,120.73  118,006,408.81    5,815,103.95    6,109,349.57  16,198,508.93  431,646,491.99
账面价值

      更正后:

                                                            单位:元  币种:人民币

  项目      房屋及建筑    机器设备    运输工具  电子设备及  固定资产装      合计

                  物                                    其他        修

一、账面原值:

    1. 期 初  328,243,806.57  236,846,026.32  16,710,909.06  24,728,776.80  27,181,832.80  633,711,351.55
余额

    2. 本 期  330,647,788.36    23,752,735.35    213,073.07    5,727,239.45  15,148,159.60  375,488,995.83
增加金额

      (1)                    12,770,353.27    213,073.07    5,121,294.01  10,781,041.42    28,885,761.77
购置

      (2)

在建工程转  330,647,788.36    10,982,382.08                    605,945.44    697,393.40  342,933,509.28


      (3)                                                                3,669,724.78    3,669,724.78
其他

    3. 本 期    3,669,724.77    13,893,454.92    223,572.61    760,983.32    499,803.42    19,047,539.04
减少金额

      (1)                    13,893,454.92    223,572.61    760,983.32    499,803.42    15,377,814.27
处置或报废

      (2)    3,669,724.77                                                                3,669,724.77
其他

    4. 期 末  655,221,870.16  246,705,306.75  16,700,409.52  29,695,032.93  41,830,188.98  990,152,808.34
余额
二、累计折旧

    1. 期 初    42,726,685.84  118,839,617.51  10,895,805.11  18,619,427.23  10,983,323.87  202,064,859.56
余额

    2. 本 期    25,087,494.53    21,781,635.93    1,211,010.69    6,933,945.72    3,794,012.05    58,808,098.92
增加金额

      (1)    25,087,494.53    21,781,635.93    1,211,010.69    6,933,945.72    3,794,012.05    58,808,098.92
计提

    3. 本 期                    10,408,224.36    102,949.10    665,302.57    457,641.15    11,634,117.18
减少金额

      (1)                    10,408,224.36    102,949.10    665,302.57    457,641.15    11,634,117.18
处置或报废

      (2)

其他

    4. 期 末    67,814,180.37  130,213,029.08  12,003,866.70  24,888,070.38  14,319,694.77  249,238,841.30
余额
三、减值准备

    1. 期 初

余额

    2. 本 期

增加金额

      (1)

计提

    3. 本 期

减少金额

      (1)

处置或报废

    4. 期 末

余额
四、账面价值

    1. 期 末  587,407,689.79  116,492,277.67    4,696,542.82    4,806,962.55  27,510,494.21  740,913,967.04
账面价值

    2. 期 初  285,517,120.73  118,006,408.81    5,815,103.95    6,109,349.57  16,198,508.93  431,646,491.99
账面价值

      二、“第十节 财务报表”之“七、合并财务报表项目注释”之“36、应付

  账款”之“(1)应付账款列示”

      更正前:

                                                            单位:元  币种:人民币