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天沃科技:2025年度财务决算报告

公告日期:2026-03-26


              苏州天沃科技股份有限公司

                2025年度财务决算报告

    2025 年,在董事会领导下,公司管理层和全体员工经过不懈努力,各项经营工作正常
 开展。公司 2025 年度财务报表已经容诚会计师事务所(特殊普通合伙)审验,并由该所出 具了容诚审字[2026]200Z2513 号标准无保留意见的审计报告,现根据已审验的合并报表及控 股子公司数据,作 2025 年度财务决算报告。

    一、2025 年度主要会计数据

                                                                                  单位:万元

          经营成果                    2025 年              2024 年          增减变动幅度

营业收入                                    254,517.24            246,374.26              3.31%

营业成本                                    215,137.59            205,863.78              4.50%

营业利润                                      7,805.00              4,340.74            79.81%

利润总额                                      5,855.99              4,843.73            20.90%

归属于上市公司股东的净利润                    4,697.40              2,403.87            95.41%

归属于上市公司股东的扣除非经常

性损益的净利润                                5,938.69              -2,320.72            355.90%

经营活动产生的现金流量净额                  16,854.11              22,929.96            -26.50%

          财务状况                    2025 年              2024 年          增减变动幅度

资产总额                                    570,350.65            599,364.25            -4.84%

负债总额                                    526,243.84            562,519.22            -6.45%

归属于上市公司股东的净资产                  18,617.60              13,821.85            34.70%

 注:文中部分合计数与各明细数直接相加之和在尾数上若有差异,均为四舍五入所致。

    报告期内公司实现营业收入 254,517.24 万元,比上年同期增长 3.31%;营业利润 7,805.00
 万元,比上年同期增长 79.81%;利润总额 5,855.99 万元,比上年同期增长 20.90%;归属于
 上市公司股东的净利润 4,697.40 万元。

    报告期末公司总资产 570,350.65 万元,总负债 526,243.84 万元,归属于上市公司股东的
 净资产 18,617.60 万元,资产负债率 92.27%,归属于上市公司股东的每股净资产 0.22 元。
    二、2025 年度财务状况

    (一)资产构成情况

                                                                                  单位:万元

          项目                    2025 年                  2024 年            增减变动幅度

 流动资产                              399,464.95                426,768.03            -6.40%

 非流动资产                            170,885.70                172,596.22            -0.99%

 资产总额                              570,350.65                599,364.25            -4.84%

 其中:


货币资金                                84,569.72                96,737.86          -12.58%

应收票据                                26,162.94                30,120.67          -13.14%

应收账款                              123,280.44                102,195.72            20.63%

预付账款                                6,174.57                  8,717.72          -29.17%

存货                                    77,398.38                76,548.00            1.11%

合同资产                                71,212.90                92,922.03          -23.36%

长期股权投资                            2,297.71                  2,297.71            0.00%

固定资产                              102,207.96                106,940.29            -4.43%

在建工程                                31,806.21                  140.92        22,470.40%

无形资产                                16,406.52                16,906.67            -2.96%

递延所得税资产                          10,127.05                  7,416.38            36.55%

其他非流动资产                          6,874.02                38,474.02          -82.13%

    报告期末公司资产总额为 570,350.65 万元,较期初下降 4.84%。其中流动资产较期初下
降 6.40%,非流动资产较期初下降 0.99%。主要资产项目变动分析如下:

    1.货币资金期末余额为 84,569.72 万元,较期初下降 12.58%。主要系报告期内公司偿
还部分借款所致。

    2.应收票据期末账面价值为 26,162.94 万元,较期初下降 13.14%。主要系本报告期在
手票据到期贴现已终止确认所致。

    3.应收账款期末账面价值为 123,280.44 万元,较期初增加 20.63%。主要系本报告期随
着产品实现销售,应收款项相应增加所致。

    4.预付账款期末余额为 6,174.57 万元,较期初下降 29.17%。主要系期初预付款随原材
料采购已结算转为货款所致。

    5.在建工程、其他非流动资产及递延所得税资产期末余额变动较大,主要系本报告期公司玉门鑫能 30 万千瓦“光热+风电一体化”项目(以下简称“玉门项目”)重新启动投资建设,原中止状态的相关资产从“其他非流动资产”转入“在建工程”核算,同时因可抵扣暂时性差异增加,相应确认递延所得税资产。

    (二)负债构成情况

                                                                                  单位:万元

            项目                    2025 年              2024 年        增减变动幅度

 流动负债                                368,961.87            293,728.15          25.61%

 非流动负债                              157,281.97            268,791.07          -41.49%

 负债合计                                526,243.84            562,519.22          -6.45%

 其中:

 短期借款                                73,952.79              71,774.96          3.03%

 应付票据                                44,619.81              33,137.27          34.65%

 应付账款                                67,697.07              80,139.63          -15.53%

 合同负债                                49,070.24              60,096.17          -18.35%

 一年内到期的非流动负债                  103,741.75              16,058.75        546.01%

  长期借款                                153,230.00            265,456.00          -42.28%

    报告期末公司负债总额为 526,243.84 万元,较期初下降 6.45% 。其中:流动负债为
 368,961.87 万元,较期初增加 25.61%;非流动负债为 157,281.97 万元,较期初下降 41.49%。
 主要负债项目变动分析如下:

    报告期末,公司短期借款、一年内到期的非流动负债、长期借款等借款融资类项目期末 余额较期初有较大变化,主要系报告期内公司根据资金状况调整融资结构,偿还部分有息负 债,同时将一年内到期的长期借款重分类至流动负债列示所致。应付票据增加主要系本期采 用票据结算方式增加;应付账款及合同负债