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首页 公告 宜安科技:宜安科技2024年度财务决算报告

宜安科技:宜安科技2024年度财务决算报告

公告日期:2025-04-22


                    东莞宜安科技股份有限公司

                      2024 年度财务决算报告

  东莞宜安科技股份有限公司(以下简称“公司”)2024 年 12 月 31 日母公司及合并的
资产负债表、2024 年度母公司及合并的利润表、现金流量表、所有者权益变动表及相关报表附注已经中证天通会计师事务所(特殊普通合伙)审计,并出具标准无保留意见的审计报告。

  截至 2024 年 12 月 31 日,本公司合并财务报表范围如下:

      序号                              子公司名称

      1                            宜安(香港)有限公司

      2                        东莞市镁安医疗器械有限公司

      3                        东莞德威铸造制品有限公司

      4                        巢湖宜安云海科技有限公司

      5                      辽宁金研液态金属科技有限公司

      6                      东莞市逸昊金属材料科技有限公司

      7                      深圳市欧普特工业材料有限公司

      8                      东莞宜安新材料研究院有限公司

      9                        株洲宜安新材料研发有限公司

      10                        株洲宜安精密制造有限公司

      11                          成都宜安科技有限公司

  公司 2024 年度财务决算情况如下:
一、经营成果及相关数据

  2024 年公司合并经营成果及相关数据情况如下表:

                                                                  单位:万元

          项  目            2024 年度      2023 年度      增减额      增减比例

          营业收入            165,249.45    170,692.02    -5,442.57        -3.19%

          营业成本            142,879.07    147,226.79    -4,347.72        -2.95%

          税金及附加              1,230.52      1,023.36        207.16        20.24%

          销售费用              4,462.20      5,243.31      -781.11      -14.90%

          管理费用              10,549.26    10,737.49      -188.23        -1.75%

          研发费用              8,886.94      9,280.73      -393.79        -4.24%

          财务费用              1,821.03      2,585.60      -764.57      -29.57%

          其他收益              3,994.48      5,044.47    -1,049.99      -20.81%

          投资收益                -181.12      -172.33        -8.79        -5.10%

        信用减值损失                48.55        48.78        -0.23        -0.47%
    (损失以“-”号填列)

        资产减值损失            -1,297.18    -1,560.76        263.58        16.89%
    (损失以“-”号填列)

        资产处置收益              -424.13        84.45      -508.58      -602.23%
    (损失以“-”号填列)

          营业利润              -2,438.98    -1,960.67      -478.31      -24.40%

          营业外收入                308.23        18.95        289.28      1526.54%

          营业外支出                112.43        125.57        -13.14      -10.46%

          利润总额              -2,243.17    -2,067.29      -175.88        -8.51%

          所得税费用            -1,073.85    -1,018.36        -55.49        -5.45%

            净利润              -1,169.32    -1,048.93      -120.39      -11.48%

  归属于母公司股东的净利润          100.55        340.68      -240.13      -70.49%

        少数股东损益            -1,269.87    -1,389.62        119.75        8.62%

    基本每股收益(元/股)          0.0015        0.0049      -0.0034      -69.39%

    加权平均净资产收益率            0.09%        0.31%        -0.22%

  资产处置收益:2024 年度公司资产处置收益为-424.13 万元,较上年度增加损失508.58 万元,下降 602.23%,主要是本期处置固定资产损失增加所致;

  营业外收入:2024 年度公司营业外收入 308.23 万元,较上年度增加 289.28 万元,
增长 1526.54%,主要是本期其他营业外收入增加所致;
二、资产情况

  2024 年末公司合并资产相关情况如下表:

                                                                  单位:万元

      项  目        2024 年 12 月 31 日    2024 年 1 月 1 日      增减额      增减比例

      货币资金                23,366.46          28,510.94      -5,144.48    -18.04%

    交易性金融资产                180.00          3,123.09      -2,943.09    -94.24%

      应收票据                5,910.35          5,874.36          35.99      0.61%

      应收账款                48,769.65          51,126.94      -2,357.29      -4.61%

    应收款项融资              5,272.58          3,050.11      2,222.47      72.87%

      预付款项                  592.64            611.41        -18.77      -3.07%

      其他应收款                  732.85            551.54        181.31      32.87%

        存货                  28,404.90          31,785.55      -3,380.65    -10.64%

    其他流动资产              3,596.58          3,875.11        -278.53      -7.19%

      长期应收款                      -            263.00        -263.00    -100.00%

    长期股权投资              1,609.99          1,815.15        -205.16    -11.30%

      固定资产              111,838.06        111,781.60          56.46      0.05%

      在建工程                11,427.13          8,513.15      2,913.98      34.23%

      使用权资产                  898.77          1,445.29        -546.52    -37.81%

      无形资产                8,557.33          8,954.15        -396.82      -4.43%

      开发支出                3,547.21          2,535.71      1,011.50      39.89%

        商誉                  1,376.94          1,376.94              -      0.00%

    长期待摊费用              5,799.51          5,090.97        708.54      13.92%

    递延所得税资产              7,599.94          7,671.87        -71.93      -0.94%

    其他非流动资产              4,717.81          4,113.74        604.07      14.68%

      资产总计              274,198.72        282,070.62      -7,871.90      -2.79%

  2024年末公司资产总额为274,198.72万元,较上年度下降7,871.9万元,下降2.79%。主要变动项目如下:

  交易性金融资产:2024 年末较上年末下降 94.24%,主要是本期赎回理财产品增加所致;

  应收款项融资:2024 年末较上年末增长 72.87%,主要是收到银行承兑票据按新金融工具准则转入增加所致;

  其他应收款:2024 年末较上年末增长 32.87%,主要是本期应收出口退税增加所致;
  长期应收款:20