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首页 公告 劲拓股份:2025年度财务决算报告

劲拓股份:2025年度财务决算报告

公告日期:2026-04-13


            深圳市劲拓自动化设备股份有限公司

              2025 年度财务决算报告

  深圳市劲拓自动化设备股份有限公司(以下简称“公司”)2025 年度财务报表已经中喜会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告(中喜财审 2026S00785 号),现将经审计的公司 2025 年度财务决算情况具体报告如下:

  一、财务状况分析

                                                                单位:人民币元

          项目            2025 年期末余额  2024 年年末余额      变动幅度

货币资金                      472,015,134.53    384,839,537.12          22.65%

交易性金融资产                  20,000,000.00                -          100.00%

应收票据                                  -        276,304.50        -100.00%

应收账款                      198,260,010.59    335,687,118.65          -40.94%

应收款项融资                    3,427,204.05      9,241,871.31          -62.92%

预付款项                        4,498,879.21      1,576,807.08          185.32%

其他应收款                      5,100,508.10      12,708,101.20          -59.86%

存货                          188,135,347.65    149,745,453.54          25.64%

合同资产                        5,418,148.40                -          100.00%

其他流动资产                    1,846,699.35      1,275,727.06          44.76%

流动资产合计                  898,701,931.88    895,350,920.46            0.37%

长期股权投资                    3,131,832.18      2,405,989.83          30.17%

其他非流动金融资产                        -      3,283,973.74        -100.00%

投资性房地产                    32,473,786.82      34,251,890.42          -5.19%

固定资产                      239,867,280.68    193,338,068.36          24.07%

无形资产                        10,574,007.65      11,459,881.41          -7.73%

商誉                            2,182,657.85      2,182,657.85            0.00%

递延所得税资产                  20,151,638.02      19,714,113.41            2.22%

其他非流动资产                  11,154,069.36        186,000.00        5896.81%

非流动资产合计                319,535,272.56    266,822,575.02          19.76%

资产总计                      1,218,237,204.44  1,162,173,495.48            4.82%

应付票据                      130,026,205.53      92,969,114.00          39.86%

应付账款                      174,681,166.95    149,632,774.04          16.74%

合同负债                        54,817,169.16      46,365,010.10          18.23%

应付职工薪酬                    28,640,900.48      26,080,263.20            9.82%

应交税费                        2,589,296.75      7,873,539.75          -67.11%


          项目            2025 年期末余额  2024 年年末余额      变动幅度

其他应付款                      13,929,458.15      15,480,613.97          -10.02%

其他流动负债                    17,607,972.38      12,830,855.98          37.23%

流动负债合计                  422,292,169.40    351,232,171.04          20.23%

预计负债                                  -        395,531.03        -100.00%

递延收益                        15,661,165.60      16,355,159.60          -4.24%

非流动负债合计                  15,661,165.60      16,750,690.63          -6.50%

负债合计                      437,953,335.00    367,982,861.67          19.01%

股本                          242,625,800.00    242,625,800.00            0.00%

资本公积                        61,106,592.84      58,775,405.09            3.97%

减:库存股                                -                -                -

其他综合收益                    -3,117,773.50        48,335.72        -6550.25%

盈余公积                        95,981,570.37      87,590,820.43            9.58%

未分配利润                    383,687,679.73    405,150,272.57          -5.30%

归属于母公司股东权益合计      780,283,869.44    794,190,633.81          -1.75%

少数股东权益                              -                -                -

股东权益合计                  780,283,869.44    794,190,633.81          -1.75%

负债和股东权益总计            1,218,237,204.44  1,162,173,495.48            4.82%

  合并资产负债表变动比较大的项目分析如下:

  1、本期末交易性金融资产余额较上年末增加 100.00%,主要系本期购买结构性存款所致;

  2、本期末应收票据余额较上年末减少 100.00%,主要系本期收到银行承兑汇票减少所致;

  3、本期末应收账款余额较上年末减少 40.94%,主要系本期公司加强应收账款催收,前期应收账款回款增加所致;

  4、本期末应收款项融资余额较上年末减少 62.92%,主要系本期收到银行承兑汇票减少所致;

  5、本期末预付款项余额较上年末增加 185.32%,主要系采购付款增加所致;
  6、本期末其他应收款余额较上年末减少 59.86%,主要系本期收回处置子公司股权对价款所致;

  7、本期末合同资产余额较上年末增加 100.00%,主要系本期重分类项目质保金至合同资产所致;


  8、本期末其他流动资产余额较上年末增加 44.76%,主要系预交所得税及其他一年内到期费用增加所致;

  9、本期末长期股权投资余额较上年末增加 30.17%,主要系对合营公司投资权益法下确认的投资收益增加所致;

  10、本期末其他非流动金融资产余额较上年末减少 100.00%,主要系本期处置参股公司股权所致;

  11、本期末固定资产余额较上年末增加 24.07%,主要系本期新增购置固定资产所致;

  12、本期末其他非流动资产余额较上年末增加 5896.81%,主要系本期预付购买固定资产款所致;

  13、本期末应付票据余额较上年末增加 39.86%,主要系本期应付银行承兑汇票增加所致;

  14、本期末应交税费余额较上年末减少 67.11%,主要系本期无应交房产税、土地使用税所致;

  15、本期末其他流动负债余额较上年末增加 37.23%,主要系本期待转销项税额、产品质量保证金增加所致;

  16、本期末预计负债余额较上年末减少 100.00%,主要系上期计提的未决诉讼预计赔偿款本期已实际支付,本期无新增未决诉讼预计赔偿款所致;

  17、本期末其他综合收益较上年末减少 6550.25%,主要系本期汇率变动导致外币报表折算差额增加所致;

  二、经营成果分析

                                                                单位:人民币元

              项目                  2025 年发生额  2024 年发生额  变动幅度

一、营业收入                          785,138,854.34  728,746,431.15    7.74%

  减:营业成本                        521,759,886.48  474,246,068.83    10.02%

      税金及附加                        7,477,198.04    7,608,526.47    -1.73%

      销售费用                          71,283,751.91    75,638,009.55    -5