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首页 公告 中持股份:中持水务股份有限公司2024年度财务决算报告

中持股份:中持水务股份有限公司2024年度财务决算报告

公告日期:2025-04-29


                  中持水务股份有限公司

                  2024 年度财务决算报告

  公司 2024 年实现营业收入 10.58 亿元,归属于母公司净利润-1.17 亿元,2024
年 12 月 31 日合并财务报表已经立信会计师事务所(特殊普通合伙)审计,并出具了信会师报字[2025]第 ZA12595 号标准无保留意见的审计报告。公司 2024 年财务数据相关情况已在《中持水务股份有限公司 2024 年年度报告》中详细说明。现将部分财务情况说明如下:
 一、 公司资产负债情况

  截至2024年12月31日,公司资产总额463,195.00万元,负债总额301,409.81万元,归属于母公司所有者权益 151,606.84 万元,少数股东权益 10,178.35 万元。
  资产负债主要项目对比变动情况如下:

                                                          单位:元  币种:人民币

                              本期                    上期  本期期

                              期末                    期末  末金额

                              数占                    数占  较上期

 项目名称    本期期末数    总资    上期期末数    总资  期末变        情况说明

                              产的                    产的  动比例

                              比例                    比例  (%)

                            (%)                  (%)

货币资金                                                              变化不大

              670,616,063.73  14.48  672,121,861.46  13.72    -0.22

应收账款                                                              变化不大

            1,286,471,700.02  27.77  1,346,145,481.84  27.47    -4.43

                                                                      主要系项目预付款随着
预付款项                                                              项目实施逐步结转至成
              29,222,681.91    0.63    49,556,508.87    1.01  -41.03  本

                                                                      主要系公司在施项目采
存货                                                                  购的设备材料及合同履
              56,169,978.33    1.21    23,063,723.71    0.47  143.54  约成本增加

                                                                      主要是尚未形成无条件
合同资产                                                              收款权的工程款,达到结
              352,627,883.68    7.61  450,845,939.10    9.20  -21.79  算时点后转入应收账款

持有待售资                                                            主要是期初持有待售资
产                                    66,463,455.50    1.36  -100.00  产本期处置完毕

 一 年 内 到                                                            主要是年初一年内到期

期的非流动      693,446.28    0.02    24,658,599.72    0.50  -97.19  的长期应收款到收款时
资产                                                                  点后转入应收账款

其他流动资                                                            主要是留抵或预缴税金
产            47,831,129.02    1.03    64,404,897.42    1.31  -25.73

长期应收款                                                    不适用  本期新增融资租赁款的
              36,453,989.24    0.79                                  应收款

长期股权投                                                            主要是对外参股公司的
资            281,573,233.13    6.08  260,058,736.33    5.31    8.27  投资及确认投资收益

其他权益工                                                            主要是公司对其不具有
具投资                                                                控制及重大影响的股权
              10,373,715.12    0.22    10,373,715.12    0.21          投资

其他非流动                                                      不适  本期新增私募基金投资
金融资产      10,000,000.00    0.22                              用

固定资产                                                              主要是本期收购中持绿
              302,964,325.33    6.54  271,524,431.24    5.54    11.58  色导致的增加

使用权资产                                                            减少主要系融资租赁设
              30,290,177.90    0.65    41,111,147.57    0.84  -26.32  备到期转固定资产

无形资产                                                              主要系特许经营权摊销
              860,499,448.23  18.58  913,168,583.59  18.64    -5.77  导致减少

商誉                                                                  主要系商誉减值导致的
              209,209,385.11    4.52  253,531,231.19    5.17  -17.48  减少

递延所得税                                                            主要系可弥补亏损及应
资产                                                                  收账款坏账准备确认的
              88,108,275.13    1.90    53,615,898.66    1.09    64.33  递延所得税资产增加

                                                                      减少主要系期初的预付
其他非流动                                                            股权款和长期资产购置
资产                                                                  款本期结转。期末余额主
              324,028,302.79    7.00  369,042,499.81    7.53  -12.20  要是采用金融资产模式
                                                                      核算的 PPP 特许权项目

短期借款                                                              主要系本期新增短期借
              789,475,133.25  17.04  729,727,105.54  14.89    8.19  款

应付账款                                                              变化不大

              855,067,326.98  18.46  850,887,976.92  17.36    0.49

合同负债                                                              主要系报告期内项目预
              113,722,029.15    2.46    27,682,887.99    0.56  310.80  收款项增加所致

应付职工薪                                                            主要是本期计提且未发
酬            38,909,301.95    0.84    45,661,172.40    0.93  -14.79  放的奖金

应交税费                                                              主要系本期末应交企业