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首页 公告 泰慕士:2024年度财务决算报告

泰慕士:2024年度财务决算报告

公告日期:2025-04-26


              江苏泰慕士针纺科技股份有限公司

                  2024 年度财务决算报告

    一、审计情况

    公司 2024 年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 ZA11730 号标准无保留意见的审计报告。会计师的审 计意见是:公司财务报表在所有重大方面按照企业会计准则的规定编制,公允反
 映了公司2024 年12 月 31 日的合并及母公司财务状况以及 2024 年度的合并及母
 公司经营成果和现金流量。

    二、2024 年财务决算情况

    报告期内,营业总收入 90,756.21 万元,比去年同期增加 10,869.39 万元,
 增长13.61%,净利润为7,038.01万元,比去年同期增加518.87万元,增加7.96%, 主要财务数据和指标如下:

                                                                    单位:元

          项目                  2024 年            2023 年          变动幅度

营业收入                      907,562,121.96    798,868,205.28            13.61%

营业总成本                    841,544,542.97    740,870,076.81            13.59%

利润总额                        78,705,580.33    70,145,791.34            12.2%

归属于上市公司股东的净利润      70,380,087.74    65,191,352.25            7.96%

扣除非经常性损益后归属于上    58,307,892.82    50,991,582.84            14.35%
市公司股东的净利润

基本每股收益(元/股)                    0.65              0.61            6.56%

加权平均净资产收益率                    7.81%            7.37%            5.97%

经营活动产生的现金流量净额      76,580,723.03    49,989,729.66            53.19%

          项目            2024 年 12 月 31 日  2023 年 12 月 31 日      变动幅度

总股本                        109,413,700.00    106,666,700.00            2.58%

资产总额                    1,219,011,170.42  1,133,137,281.34            7.58%

负债总额                      317,523,903.80    237,862,121.50            33.49%

归属于母公司所有者权益        901,487,266.62    895,275,159.84            0.69%

    注:以上财务数据均为合并报表数据。

  三、财务状况、经营成果和现金流量情况


                                                                  单位:元

                                                                  同比增减

        项目          2024年12月31日  2023年12月31日

                                                            变动金额      变动幅度

流动资产合计            834,442,313.83  798,180,471.53    36,261,842.30      4.54%

其中:货币资金          213,584,127.18  206,748,531.46    6,835,595.72      3.31%

    交易性金融资产    260,196,710.16  265,870,021.96    -5,673,311.80    -2.13%

    应收账款          204,520,789.89  176,723,772.33    27,797,017.56    15.73%

    应收款项融资                            500,000.00      -500,000.00  -100.00%

    预付账款            3,022,216.60    1,464,477.85    1,557,738.75    106.37%

    其他应收款            105,743.01      214,618.54      -108,875.53    -50.73%

    存货              152,818,441.41  145,474,916.22    7,343,525.19      5.05%

    合同资产

    其他流动资产          194,285.58      684,133.17      -489,847.59    -71.60%

非流动资产合计          384,568,856.59  334,956,809.81    49,612,046.78    14.81%

其中:固定资产          310,899,453.32  294,291,907.20    16,607,546.12      5.64%

    在建工程          40,016,174.86    7,339,312.72    32,676,862.14    445.23%

    使用权资产            791,456.39      373,918.84      417,537.55    111.67%

    无形资产          26,627,921.94    26,524,678.65      103,243.29      0.39%

    递延所得税资产      5,601,650.08    5,121,284.40      480,365.68      9.38%

    其他非流动资产        632,200.00    1,305,708.00      -673,508.00    -51.58%

资产总计              1,219,011,170.42  1,133,137,281.34    85,873,889.08      7.58%

    2024 年末资产总额为 121,901.12 万元,较期初的 113,313.73 万元,增加

 8,587.39 万元,增长 7.58%,其中:流动资产增加 3,626.18 万元,增长 4.54%,

 非流动资产增加 4,961.20 万元,增长 14.81%,主要资产的变动情况如下:

    1)流动资产增加 3,626.18 万元,主要由于公司订单增加,应收账款和存货

 相应增加。


    2)非流动资产增加 4,961.21 万元,主要由于募投项目六安英瑞针织服装有

 限公司搬迁改造项目持续投入。

    2、负债状况

                                                                    单位:元

                                                                    变动增减

        项目          2024 年 12 月 31 日  2023 年 12 月 31 日

                                                              变动金额    变动幅度

流动负债合计            313,046,900.20    233,376,880.89  79,670,019.31    34.14%

其中:短期借款          131,030,000.00    72,520,000.00  58,510,000.00    80.68%

    应付票据              156,308.79        100,000.00      56,308.79    56.31%

    应付账款            96,583,752.43    103,842,105.48  -7,258,353.05    -6.99%

    合同负债              174,658.22      2,151,736.42  -1,977,078.20  -91.88%

    应付职工薪酬        49,462,265.42    47,521,733.58    1,940,531.84    4.08%

    应交税费            5,795,271.63      3,090,645.74    2,704,625.89    87.51%

    其他应付款          29,526,294.27      3,893,722.36  25,632,571.91  658.31%

    一年内到期的非        301,232.73        65,377.94      235,854.79  360.76%
    流动负债

    其他流动负债            17,116.71        191,559.37    -174,442.66  -91.06%

非流动负债合计            4,477,003.60      4,485,240.61      -8,237.01    -0.18%

    其中:递延收益      4,144,411.23      4,417,594.35    -273,183.12    -6.18%

负债合计                317,523,903.80    237,862,121.50  79,661,782.30    33.49%

    2024 年末负债总额为 31,752.39 万元,较期初的 23,786.21 万元,增加

 7,966.18 万元,增长 33.49%,其中流动负债增加 7,967.00 万元、增幅 34.14%,

 主要负债的变动情况如下:

    1)短期借款增加 5,851 万元,主要为报告期公司增加承兑汇票贴现融资,以

 提高资金使用效益;

    2)其他应付款增加 2,563.26 万元,主要是公司于报告期实施股权激励,增

 加限制性股票回购义务。

    3、经营成果分析