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首页 公告 三超新材:2024年财务决算报告

三超新材:2024年财务决算报告

公告日期:2025-04-28


                  南京三超新材料股份有限公司

                    2024 年度财务决算报告

  南京三超新材料股份有限公司(以下简称“公司”)2024 年度财务报表经天衡会计师事务所(特殊普通合伙)审计,出具了标准无保留意见的审计报告(天衡审字(天衡审字(2025)00753 号),天衡会计师事务所认为公司的财务报表在所有重大方面按照企业会计准则的规定编制,公允反映了公司 2024 年
12 月 31 日的合并及母公司财务状况以及 2024 年度的合并及母公司经营成果和
现金流量。

    一、2024 年度主要会计数据和财务指标

                                                                                    单位:元

              项目                    2024 年            2023 年        本年比上年增减

 营业收入(元)                      348,828,326.12    481,047,822.26              -27.49%

 归属于上市公司股东的净利润(元)  -140,938,418.77    26,915,041.92            -623.64%

 归属于上市公司股东的扣除非经常    -144,946,547.61    25,277,555.48            -673.42%
 性损益的净利润(元)

 经营活动产生的现金流量净额(元)    11,064,847.40    -24,377,093.83              145.39%

 基本每股收益(元/股)                      -1.2340            0.2423            -609.29%

 稀释每股收益(元/股)                      -1.2340            0.2413            -611.40%

 加权平均净资产收益率                      -19.23%            3.56%              -22.79%

                                      2024 年末          2023 年末      本年末比上年末增减

 资产总额(元)                      971,742,672.39  1,184,613,927.7              -17.97%
                                                                    7

 归属于上市公司股东的净资产(元)    658,243,006.55    810,515,496.99              -18.79%

    二、2024 年度财务状况、经营成果和现金流量分析

    (一)报告期资产构成及变动情况

                                                                                    单位:元

                              2024 年末                    2023 年末          本年末比上
        项目              金额        占总资产        金额        占总资产  年末增减
                                          比重                        比重

    货币资金          114,525,377.93    11.79%    110,617,847.75    9.34%        3.53%

 交易性金融资产        65,061,562.50    6.70%    35,047,222.22    2.96%      85.64%

    应收票据              292,486.00    0.03%                        0.00%

    应收账款          126,296,684.28    13.00%    177,613,068.66    14.99%      -28.89%

 应收款项融资          31,101,174.38    3.20%    76,089,582.65    6.42%      -59.13%

    预付款项            1,124,767.49    0.12%      1,809,388.33    0.15%      -37.84%

    其他应收款          1,432,962.27    0.15%      1,645,590.12    0.14%      -12.92%

    存货              133,528,716.36    13.74%    217,585,314.35    18.37%      -38.63%

    其他流动资产      16,621,053.64    1.71%    18,527,468.29    1.56%      -10.29%

    固定资产          327,579,681.72    33.71%    415,601,548.79    35.08%      -21.18%

    在建工程            8,740,659.87    0.90%    22,736,850.50    1.92%      -61.56%

 使用权资产                        -    0.00%      3,166,088.03    0.27%    -100.00%

    无形资产          33,016,179.91    3.40%    28,161,538.09    2.38%      17.24%

    长期待摊费用          958,127.65    0.10%        730,036.18    0.06%      31.24%

    递延所得税资产    72,721,555.43    7.48%    35,369,892.37    2.99%      105.60%

    其他非流动资产    38,741,682.96    3.99%    39,912,491.44    3.37%      -2.93%

 资产总计              971,742,672.39  100.00%  1,184,613,927.77  100.00%      -17.97%

  1、报告期末交易性金融资产较期初增加85.64%,主要系本期银行理财未到期金额增加所致;

  2、报告期末应收账款较期初减少28.89%,主要系本期营业收入减少所致;
  3、报告期末应收款项融资较期初减少59.13%,主要系本期营业收入减少以银行承兑形式回款也相应减少所致;

  4、报告期末预付款项较期初减少37.84%,主要系上期预付款项本期到票所致;

  5、报告期末存货较期初减少38.63%,主要系本期计提存货跌价准备增加所致;

  6、报告期末固定资产较期初减少21.18%,主要系本期固定资产计提减值准备所致;

  7、报告期末在建工程较期初减少61.56%,主要系上期的在建工程在本期转固所致;

  8、报告期末使用权资产较期初减少100%,主要系本期子公司终止房屋租赁

  9、报告期末长期待摊费用较期初增加31.24%,主要系本期子公司基建工程领用物资增加所致;

  10、报告期末递延所得税资产较期初增加105.6%,主要系本期计提存货跌价准备及固定资产减值准备增加所致。

    (二)报告期负债构成及变动情况

                                                                                    单位:元

          项目                  2024 年末                  2023 年末          本年末比上
                              金额        占比        金额        占比      年末增减

        短期借款          94,635,907.97  31.38%  74,070,308.33    19.88%        27.76%

        应付票据              819,552.58    0.27%  14,349,950.60    3.85%      -94.29%

        应付账款          89,934,771.97  29.82%  200,791,592.06    53.89%      -55.21%

        预收款项                      0    0.00%              0    0.00%

        合同负债            6,571,348.54    2.18%    5,328,672.75    1.43%        23.32%

      应付职工薪酬        10,479,868.20    3.47%  14,882,759.62    3.99%      -29.58%

        应交税费            1,571,413.67    0.52%    5,014,179.20    1.35%      -68.66%

      其他应付款            995,150.15    0.33%      908,308.78    0.24%        9.56%

  一年内到期的非流动负      9,554,475.26    3.17%      813,061.41    0.22%      1075.12%
          债

      其他流动负债          5,160,582.23    1.71%    7,480,222.86    2.01%      -31.01%

        长期借款          61,872,376.29  20.51%  29,763,351.55    7.99%      107.88%

        租赁负债                    0.00    0.00%    2,264,239.15    0.61%      -100.00%

        递延收益          20,031,848.67    6.64%  16,936,044.84    4.55%        1