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首页 公告 和仁科技:2024年度财务决算报告

和仁科技:2024年度财务决算报告

公告日期:2025-04-24


            浙江和仁科技股份有限公司

              2024 年度财务决算报告

  公司 2024 年度财务报表按照企业会计准则的规定编制,在所有重大方面公

允地反映了 2024 年 12 月 31 日的合并及母公司财务状况、2024 年度的合并及母

公司经营成果和现金流量。公司财务报表已经中汇会计师事务所(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 年度合并财务报表反映
的主要财务数据报告如下:
一、 报告期内主要财务数据和指标

    1、  主要财务数据

                                                            单位:元

              项目                  2024 年度            2023 年度        增减幅
                                                                                度
 营业收入                          406,010,685.79      439,252,256.21    -7.57%
 营业成本                          218,110,624.93      270,287,521.88    -19.30%
 营业利润                            36,866,094.43        41,543,287.98    -11.26%
 利润总额                            37,426,009.77        40,970,736.19      -8.65%
 归属于母公司所有者的净利润          39,296,818.30        39,116,183.90      0.46%
 资产总额                          1,462,115,708.52    1,438,378,630.67    1.65%
 负债总额                          342,419,794.97      357,905,927.02    -4.33%
 股本                              262,560,141.00      262,560,141.00      0.00%
 归属于母公司所有者的所有者权益  1,110,690,629.61    1,079,270,615.54    2.91%

  2024 年度,公司实现营业收入 406,010,685.79 元,较上年同期下降 7.57%;

营业利润 36,866,094.43 元,较上年同期下降 11.26%;利润总额 37,426,009.77
元,较上年同期下降 8.65%;归属于上市公司股东的净利润 39,296,818.30 元,
较上年同期上升 0.46%。

  截止 2024 年 12 月 31 日,资产总额 1,462,115,708.52 元,较上年同期上升

1.65%;归属于上市公司股东的净资产 1,110,690,629.61 元,较上年同期上升

2、主要财务指标

                                                            单位:元

                  项目            2024 年度      2023 年度    增减幅

                                                                    度

        基本每股收益(元/股)        0.15          0.15        0.00%

        加权平均净资产收益率        3.59%          3.69%      -0.10%

        (%)

        销售毛利率(%)            46.28%        38.47%      7.81%

        销售净利率(%)              9.68%          8.91%        0.77%

        经营性现金净流量        7,996,955.78  83,375,495.06  -90.41%

        流动比率(倍)              3.52          3.33        5.71%

        速动比率(倍)              3.46          3.26        6.13%

        资产负债率(%)            23.42%        24.88%      -1.46%

        应收账款周转天数            375.14          280.4      33.79%

  1、盈利能力分析

  公司的加权平均净资产收益率为 3.59%,与上年同期相比下降 0.10%,主要
系净资产增加所致;销售毛利率较上年同期上升 7.81%,主要系本期医疗信息系
统产品销售占比较上年同期有所增加;销售净利率 9.68%,与上年同期相比增加
0.77%。

  公司将继续拓宽销售渠道,增加收入规模,加强成本和费用的控制。

  2、经营现金流分析

  公司本期经营性现金净流量为 7,996,955.78 元,较上年同期减少了 90.41%,

主要由于销售回款减少所致。

  3、偿债能力分析

  公司流动比率为 3.52,同比增加了 5.71%,速动比率为 3.46,同比增加了

6.13%,资产负债率为 23.42%,同比减少了 1.46%,公司偿债能力较强。

  4、营运能力分析

  应收账款周转天数较上期有所上升,公司将继续加强应收账款管理,不断提
高资产运营效率和管理水平。
二、2024年度资产负债状况

                                                            单位:元

  项目            本报告期末          上期末            增减额        增减比例

货币资金                542,170,950.15    555,323,304.95    -13,152,354.80    -2.37%
交易性金融资产          20,025,416.66    80,258,152.79    -60,232,736.13    -75.05%
应收票据                1,261,297.39      4,000,000.00      -2,738,702.61    -68.47%
应收账款                302,045,937.69    224,717,166.20    77,328,771.49      34.41%
应收款项融资                0.00          3,315,027.00      -3,315,027.00    -100.00%
预付款项                1,216,972.94      1,650,219.81      -433,246.87      -26.25%
其他应收款              13,739,560.82    15,600,005.67      -1,860,444.85    -11.93%
存货                    15,837,019.24    20,838,491.27      -5,001,472.03    -24.00%
合同资产                302,818,803.26    276,159,244.66    26,659,558.60      9.65%
其他流动资产            1,997,162.96      6,961,724.75      -4,964,561.79    -71.31%
长期应收款              8,589,042.33      11,024,038.00      -2,434,995.67    -22.09%
长期股权投资            5,002,753.38        1,906.74        5,000,846.64    262272.08%
其他权益工具              100,000.00        100,000.00            0.00          0.00%
投资性房地产            55,314,915.67    55,176,795.09      138,120.58        0.25%
固定资产                65,331,321.69    69,329,558.66      -3,998,236.97      -5.77%
在建工程                15,510,122.94          0.00          15,510,122.94      100%

使用权资产                176,040.44      2,549,712.05      -2,373,671.61    -93.10%
无形资产                41,042,322.33    66,458,702.58    -25,416,380.25    -38.24%
开发支出                27,743,651.80      3,359,486.50      24,384,165.30    725.83%
商誉                      926,638.80        926,638.80            0.00          0.00%
长期待摊费用            11,774,457.25    17,661,255.49      -5,886,798.24    -33.33%
递延所得税资产          29,491,320.78    22,967,199.66      6,524,121.12      28.41%
资产总计              1,462,115,708.52  1,438,378,630.67    23,737,077.85      1.65%
短期借款                96,095,228.34    126,133,955.56    -30,038,727.22    -23.81%
应付票据                1,502,026.05      6,075,706.35      -4,573,680.30    -75.28%
应付账款                199,647,109.58    167,752,020.47    31,895,089.11      19.01%
预收款项                1,930,723.56      1,143,288.89        787,434.67      68.87%
合同负债                4,436,738.67      10,392,15