新天科技:2025年度财务决算报告

发布时间:2026-03-27 公告类型:年度财务报告 证券代码:300259

            新天科技股份有限公司

            2025 年度财务决算报告

    新天科技股份有限公司(以下简称“公司”)2025 年度严格按照《公司
法》、《会计法 》、《 企业会计准则》等规定进行会计核算,在所有重大方面公
允反映了公司 2025 年12 月 31 日的财务状况以及 2025 年度的经营成果和现金流
量。公司编制的 2025 年度财务报表经中勤万信会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告勤信审字【2026】第 0862 号,现将公司 2025 年度的财务决算情况报告如下:

    一、公司的财务状况

                                                          单位:人民币万元

          项目            2025 年 12 月 31 日    2024 年 12 月 31 日    增减变动幅度(%)

 货币资金                          58,286.25            57,021.22                2.22%

 交易性金融资产                    91,363.65            79,039.45                15.59%

 应收票据                            2,427.33                454.97              433.51%

 应收账款                          57,037.64            50,930.85                11.99%

 应收款项融资                          532.02                651.28              -18.31%

 预付款项                              499.85                336.91                48.36%

 其他应收款                          3,926.39              3,726.93                5.35%

 存货                              32,076.02            30,146.50                6.40%

 合同资产                            2,798.04              2,202.33                27.05%

 持有待售资产                              -                91.24              -100.00%

 一年内到期的非流动资产              9,768.42              6,665.29                46.56%

 其他流动资产                        5,408.24                368.05              1369.45%

 长期股权投资                      11,066.23            10,374.22                6.67%

 其他权益工具投资                      991.11              3,089.27              -67.92%

 投资性房地产                        8,724.30              6,591.74                32.35%

 固定资产                          71,301.73            27,348.93              160.71%

 在建工程                              508.71            34,631.26              -98.53%

 无形资产                          10,442.60            10,690.13                -2.32%

 商誉                                5,506.51              5,506.51                0.00%

 长期待摊费用                          108.87                89.95                21.03%

 递延所得税资产                      3,083.78              2,439.15                26.43%

 其他非流动资产                        946.57            10,413.54              -90.91%


 资产总计                          376,804.27            342,809.72                9.92%

 短期借款                              85.95                    -                    -

 应付票据                            1,886.28              1,835.82                2.75%

 应付账款                          42,273.71            32,296.89                30.89%

 预收款项                              505.80                54.09              835.07%

 合同负债                            3,695.84              2,932.20                26.04%

 应付职工薪酬                        3,156.97              3,446.91                -8.41%

 应交税费                            2,782.23              1,328.72              109.39%

 其他应付款                        11,659.28              5,280.36              120.80%

 其他流动负债                        2,530.81                334.71              656.11%

 递延收益                            1,963.50              1,980.00                -0.83%

 递延所得税负债                        697.01                711.39                -2.02%

 负债合计                          71,237.38            50,201.09                41.90%

  1、应收票据较年初余额增长 433.51%,主要原因是本报告期将信用等级一般的未到期承兑汇票背书转让未终止确认,导致应收票据余额增长所致;

  2、预付款项较年初余额增长 48.36%,主要原因是截止本报告期末预付电费增加所致;

  3、持有待售资产变动主要原因是截止本报告期末持有的待售车辆已完成过户所致;

  4、一年内到期的非流动资产较年初余额增长 46.56%,主要原因是购买的长期大额存单一年内到期所致;

  5、其他流动资产较年初余额增长 1369.45%,主要原因是本报告期末购买理财产品国债逆回购所致;

  6、其他权益工具投资较年初余额下降 67.92%,主要原因是本报告期处置参股公司部分股权所致;

  7、投资性房地产较年初余额增长 32.35%,主要原因是本报告期末部分房屋、建筑物转入投资性房地产所致;

  8、固定资产较年初余额增长 160.71%,主要原因是本报告期末公司在建工程达到预定可使用状态,转入固定资产所致;

  9、在建工程较年初余额下降 98.53%,主要原因是本报告期末公司在建工程达到预定可使用状态,转入固定资产所致;

  10、其他非流动资产较年初余额下降 90.91%,主要原因是本报告期末将一年内到期的长期大额存单转入一年内到期的非流动资产所致;


  11、短期借款期末余额为 85.95 万元,主要原因是截止本报告期末票据贴现所致;

  12、应付账款较年初余额增长 30.89%,主要原因是截止本报告期末应付的工程款增加所致;

  13、预收款项较年初余额增长 835.07%,主要原因是截止本报告末预收租赁款增加所致;

  14、应交税费较年初余额增长 109.39%,主要原因是本报告期收入增加相应的税费增加所致;

  15、其他应付款较年初余额增长 120.80%,主要原因是 2025 年度中期分红
于 2026 年初实施所致;

  16、其他流动负债较年初余额增长 656.11%,主要原因是本报告期将信用等级一般的未到期承兑汇票背书转让未终止确认所致。

  二、公司的经营成果

                                                              单位:人民币万元

              项目                    本报告期          上年同期      增减变动幅度(%)

 一、营业总收入                            106,630.93          89,011.56            19.79%

 二、营业总成本                              86,890.48          73,343.27            18.47%

 其中:营业成本                              60,167.30          49,139.69            22.44%

      税金及附加                            1,420.28          1,075.05            32.11%

      销售费用                              13,781.94          10,763.24            28.05%
本报告信息基于证券交易所公开披露数据提取,由于数据抓取及清洗可能有延迟或偏差,爱金股不对内容准确性做任何保证,仅供参考。