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首页 公告 新时达:2024年度财务决算报告

新时达:2024年度财务决算报告

公告日期:2025-04-26


              上海新时达电气股份有限公司

                2024 年度财务决算报告

  上海新时达电气股份有限公司(以下简称“公司”)严格按照会计准则、法律法规要求进行财务核算,2024 年度财务报表已经上会会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告。现将 2024 年度财务决算报告情况汇报如下:

  一、主要经济指标完成情况及经营业绩

                      财务指标                          2024 年      2023 年      同比增减

 营业收入(万元)                                        335,739.87  338,745.31        -0.89%

 综合毛利率(%)                                            17.45%      16.97%        0.48%

 营业利润(万元)                                        -27,592.99    -37,761.57        26.93%

 净利润(万元)                                          -28,804.99    -37,889.94        23.98%

 归属于母公司所有者的净利润(万元)                      -28,807.98    -37,903.39        24.00%

 归属于母公司所有者的扣除非经常性损益的净利润(万元)    -33,919.20    -52,498.29        35.39%

 经营活动产生的现金流量净额(万元)                      11,118.66    16,006.94      -30.54%

 资产负债率(%)                                            70.16%      64.20%        5.96%

 基本每股收益(元/股)                                        -0.44        -0.57        22.81%

 归属于母公司所有者的每股净资产(元/股)                      1.88        2.32      -18.69%

 加权平均净资产收益率(%)                                -20.66%    -22.15%        1.49%

  注:本表财务指标系采用公式计算,由于小数保留位数原因,同比增减与交易所报送系统计算的同比增减有差异。

    二、经营成果分析

                                                                                  单位:万元

            项目                2024 年        2023 年        同比增减    增减达到 30%
                                                                                  的原因

 营业收入                        335,739.87      338,745.31          -0.89%

 综合毛利率                        17.45%          16.97%          0.48%

 税金及附加                        1,628.21        2,026.71          -19.66%

 财务费用                          4,195.00        5,702.76          -26.44%

 减值损失                        25,835.83        41,542.90          -37.81%      注 1

 投资收益                            621.73        13,156.71          -95.27%      注 2


  所得税费用                        1,677.43            95.77        1651.45%      注 3

  净利润                          -28,804.99        -37,889.94          23.98%

    注 1:主要系本期确认的商誉减值准备及存货减值准备减少所致;

    注 2:主要系上期处置子公司股权产生了投资收益,本期无此业务;

    注 3:主要系利润增加所致。

    三、财务状况分析

    (1)资产构成情况分析

                                                                                    单位:万元

    项目              2024 年末    占 2024 年末      2023 年末      同比增减    同比增减
                                    总资产的比例                                达到 30%的原因

货币资金                  61,562.67        14.71%          52,944.44    16.28%

应收账款                106,068.24        25.35%        100,949.78      5.07%

应收款项融资              19,845.02        4.74%          33,205.56    -40.24%      注 1

存货                      97,375.41        23.27%        107,915.66    -9.77%

长期股权投资              10,944.24        2.62%          11,074.38    -1.18%

固定资产                  42,741.15        10.21%          51,617.65    -17.20%

使用权资产                4,243.44        1.01%          8,865.50    -52.14%      注 2

无形资产                  13,726.49        3.28%          16,954.70    -19.04%

商誉                          0.00        0.00%          11,340.80  -100.00%      注 3

    注 1:主要系报告期末银行承兑汇票减少所致;

    注 2:主要系报告期内部分办公用房退租所致;

    注 3:报告期内对商誉全额计提减值准备所致。

    (2)负债构成情况分析

                                                                                  单位:万元

                                        占 2024 年末                    同比增    同比增减

          项目            2024 年末  总负债的比例      2023 年末      减    达到 30%的

                                                                                    原因

    短期借款                31,060.96        10.58%        66,036.07  -52.96%    注 1

    应付票据                30,412.18        10.36%        6,446.49  371.76%    注 2

    应付账款                60,609.12        20.64%        61,299.42    -1.13%

    合同负债                36,736.93        12.51%        45,586.34  -19.41%

    应付职工薪酬            9,007.37          3.07%        7,389.30    21.90%

    应交税费                5,098.81          1.74%        6,546.89  -22.12%

    其他应付款              13,879.55          4.73%        13,228.91    4.92%

    一年内到期的非流        54,380.36        18.52%        2,526.43  2052.46    注 3

    动负债                                                                  %

    长期借款                27,770.00          9.46%        51,358.00  -45.93%    注 4

    租赁负债                3,271.53          1.11%        7,740.62  -57.74%    注 5

    注 1:系报告期内向银行偿还短期借款所致;


  注 2:主要系向供应商支付票据增加所致;

  注 3:主要系一年内到期的长期借款增加所致;

  注 4:报告期内公司长期借款转入一年内到期的长期借款所致;

  注 5:报告期内部分租赁办公用房退租所致。

    四、现金流量分析

                                                                              单位:万元

                项目                      2024 年          2023 年        同比增减

      经营活动现金流入                    261,489.20      287,467.31              -9.04%

      经营活动现金流出                    250,370.55      271,460.37              -7.77%

  一、经营活动产生的现金流量净额          11,118.66