联系客服QQ:86259698

300225 深市 金力泰


首页 公告 金力泰:11、2024年年度财务决算报告

金力泰:11、2024年年度财务决算报告

公告日期:2025-07-02


                                上海金力泰化工股份有限公司

                                  2024年年度财务决算报告

    上海金力泰化工股份有限公司(以下简称“公司”)2024年财务报表已经中兴华会计师事务所(特殊普通合伙)审计,并出具了无法表示意见的审计报告(中兴华审字(2025)第431073号),现将决算情况报告如下:

    报告期内,公司实现营业总收入731,544,749.84元,同比下降0.44%;实现营业利润35,162,651.00元,同比上升96.85%;实现归属于上市公司股东净利润30,910,620.19元,同比上升115.66%。
一、财务状况
1、资产构成情况

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

 项目                                                              变动幅度        变动原因

                  金额(元)              金额(元)

 货币资金          174,064,855.46            195,976,187.33          -11.18%

 交易性金融资产    1,667,914.91              6,923,686.22            -75.91%        主要系公司本期赎回理财所致

 应收票据          127,154,090.76            127,324,398.63          -0.13%

 应收账款          294,924,720.30            258,811,506.30          13.95%

 应收款项融资      35,796,257.90            25,660,835.28          39.50%        主要系公司本期在持的 6+9 银行承兑汇票增加所致


预付款项          27,314,331.69            79,986,197.19          -65.85%        主要系公司本期战略备库预付款减少所致

其他应收款        25,157,319.62            137,884,069.24          -81.75%        主要系公司本期收回股权转让款所致

存货              85,425,888.56            94,600,897.34          -9.70%

其他流动资产      3,036,202.50              2,124,705.93            42.90%        主要系公司本期未抵扣进项税增加所致

流动资产小计      774,541,581.70            929,292,483.46          -16.65%

                                                                                  主要系公司本期收购深圳怡钛积科技股份有限公司
长期股权投资      329,350,626.71            0.00                  100.00%

                                                                                  34%股权所致

其他权益工具投资  3,331,861.91              3,177,439.05            4.86%

其他非流动金融资

                  1,940,063.83              8,946,000.00            -78.31%        主要系公司本期收回投资成本所致



投资性房地产      6,116,818.71              6,234,701.79            -1.89%

固定资产          194,392,876.43            223,767,596.54          -13.13%

在建工程          17,786,536.10            4,704,754.83            278.05%        主要系公司本期增加项目立项所致

使用权资产        9,694,259.34              17,626,165.38          -45.00%        主要系公司本期租赁合同变更所致

无形资产          25,944,478.38            26,050,142.04          -0.41%

商誉              0.00                    0.00


 长期待摊费用      1,227,714.14              3,276,690.61            -62.53%        主要系公司本期正常摊销所致

 递延所得税资产    51,878,292.78            58,427,830.39          -11.21%

 其他非流动资产    912,610.01                557,630.01              63.66%        主要系公司本期长期资产预付款增加所致

 非流动资产小计    642,576,138.34            352,768,950.64          82.15%

 资产总计          1,417,117,720.04          1,282,061,434.10        10.53%

2、负债构成情况

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

 项目                                                      变动幅度      变动原因

                    金额(元)        金额(元)

 短期借款          150,854,674.39      108,916,584.31      38.50%        主要系公司本期借款增加所致

 应付票据          90,717,560.75      96,474,917.00        -5.97%

 应付账款          134,267,822.76      96,464,132.74        39.19%        主要系公司本期应付采购款增加所致

 应付职工薪酬      11,075,820.71      11,609,335.13        -4.60%

 应交税费          9,304,382.95        5,663,751.85        64.28%        主要系公司本期应交增值税及企业所得税增加所致

 其他应付款        42,257,515.89      35,119,516.06        20.32%

 预收款项          220,425.81        0.00                100.00%        主要系公司本期预收房租增加所致


 合同负债          2,690,353.15        5,431,887.04        -50.47%        主要系公司预收货款减少所致

 一年内到期的非流

                    19,291,314.46      6,095,476.57        216.49%        主要系公司本期一年内到期的长期应付款增加所致
 动负债

 其他流动负债      63,218,356.89      65,537,456.86        -3.54%

 流动负债小计      523,898,227.76      431,313,057.56      21.47%

 租赁负债          4,188,017.95        11,122,772.92        -62.35%        主要系公司本期正常支付租赁费所致

 长期应付款        21,346,354.27      0.00                100.00%        主要系公司本期增加融资租赁所致

 预计负债          2,573,107.67        2,000,000.00        28.66%

 递延收益          556,897.50        710,542.50          -21.62%

 递延所得税负债    0                567,457.96          -100.00%      主要系租赁主体与纳税主体之间发生的变化所致。

 非流动负债小计    28,664,377.39      14,400,773.38        99.05%

 负债总计          552,562,605.15      445,713,830.94      23.97%

3、股东权益构成

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

 项目                                                                                变动幅度                变动原因
                        金额(元)                      金额(元)


 股本                    475,429,590.00                  475,429,590.00              0.00%

 资本公积                62,914,460.48                    62,914,460.48                0.00%

 减:库存股              0.00                            0.00

 其他综合收益            -3,974,418.96                    -4,099,176.81                3.04%

 盈余公积                97,409,777.01                    94,742,947.68                2.81%

 未分配利润              223,468,193.77                  195,224,402.91              14.47%

 所有者权益总计          864,555,114.89