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首页 公告 正元智慧:2024年度财务决算报告

正元智慧:2024年度财务决算报告

公告日期:2025-04-24


                  正元智慧集团股份有限公司

                    2024 年度财务决算报告

          2024 年,正元智慧集团股份有限公司(以下简称“公司”)面对多重不利影

      响,全力推进全国业务拓展,努力提升自研产品市场效力,持续打造企业核心竞争

      力,为下一步发展奠定了基础。根据《中华人民共和国公司法》《公司章程》的有

      关规定,现将公司 2024 年财务决算情况报告如下:

          一、2024 年度财务报表审计情况

          2024 年度财务报表经天健会计师事务所(特殊普通合伙)审计,出具了标准

      无保留意见的审计报告天健审〔2025〕6859 号,天健会计师事务所认为公司的财

      务报表已经按照企业会计准则以及有关规定编制,在所有重大方面公允地反映了公

      司 2024 年 12 月 31 日的财务状况以及 2024 年度经营成果和现金流量。

          二、经营利润情况

                                                              单位:人民币元

      项目            2024 年            2023 年      增减幅度  大额变动原因说明

营业总收入            1,194,848,876.33  1,224,652,724.77    -2.43%

营业成本                679,088,884.91    712,164,445.00    -4.64%

税金及附加                5,575,071.94      5,825,910.19    -4.31%

销售费用                163,409,939.95    163,395,998.87    0.01%

管理费用                116,529,198.82    106,558,511.09    9.36%

研发费用                154,982,175.64    163,356,314.93    -5.13%

                                                                  主要系本期利息支出
财务费用                35,105,938.51      27,421,813.40    28.02% 上升、利息收入下降
                                                                  所致。

其他收益                25,298,949.01      34,364,988.99    -26.38% 主要系本期政府补助
                                                                  减少所致。

投资收益(损失以                                                主要系权益法核算的
“-”号填列)              -2,963,552.13      8,378,109.41  -135.37% 长期股权投资收益减
                                                                  少所致

公允价值变动收益        8,536,883.05                    100.00% 主要系本期部分子公


      项目            2024 年            2023 年      增减幅度  大额变动原因说明

 (损失以“-”号填                                                司未完成业绩承诺,
 列)                                                              产生业绩补偿所致。

 信用减值损失(损失      -33,872,383.62    -22,054,534.16    -53.58% 主要系本期计提应收
 以“-”号填列)                                                  账款坏账增加所致。

 资产减值损失(损失      -10,383,009.12    -13,618,924.27    23.76%

 以“-”号填列)

 资产处置收益            -2,053,632.88      -247,200.70  -730.76% 主要系固定资产处置
                                                                  损失增加所致。

 营业利润(亏损以        24,720,920.87      52,752,170.56    -53.14%

 “-”号填列)

                                                                  主要系本期较上期无
 营业外收入                560,236.53        923,682.43    -39.35% 法支付款项减少所
                                                                  致。

 营业外支出                1,936,999.87      1,174,496.71    64.92% 主要系捐赠支出增加
                                                                  所致。

 利润总额(亏损总额        23,344,157.53      52,501,356.28    -55.54%

 以“-”号填列)

 所得税费用              -11,467,775.28    -11,843,801.30    3.17%

 净利润(净亏损以        34,811,932.81      64,345,157.58    -45.90%

 “-”号填列)
 归属于母公司所有

 者的净利润(净亏损        11,991,871.21      41,851,331.91    -71.35%

 以“-”号填列)

 基本每股收益                    0.09              0.30    -70.00%

 稀释每股收益                    0.09              0.30    -70.00%

          三、资产负债情况

                                                                单位:人民币元

      资产        2024 年 12 月 31 日  2023 年 12 月 31 日  增减幅度  大额变动原因说明

货币资金              427,092,915.74      550,555,043.66      -22.43%

交易性金融资产          8,536,883.05          2,000.00  426744.15% 主要系确认业绩补
                                                                    偿所致。

                                                                    主要系本期末未到
应收票据                1,618,629.00        4,763,569.33      -66.02% 期承兑汇票较年初
                                                                    减少所致。

应收账款              731,269,224.10      730,860,276.72      0.06%


      资产        2024 年 12 月 31 日  2023 年 12 月 31 日  增减幅度  大额变动原因说明

应收款项融资            1,680,188.31        1,834,500.00      -8.41%

预付款项                18,509,709.91      15,196,773.38      21.80% 主要系货款增加所
                                                                    致。

其他应收款              51,078,467.51      41,815,161.23      22.15% 主要系备用金和押
                                                                    金保证金增加所致。

存货                  376,130,247.72      326,706,059.82      15.13%

合同资产                12,477,966.90      13,073,461.10      -4.55%

                                                                    主要系预交增值税
其他流动资产            24,280,965.51      13,029,835.89      86.35% 和待抵扣增值税进
                                                                    项税增加所致。

  流动资产合计      1,652,675,197.75    1,697,836,681.13      -2.66%

长期股权投资          176,118,857.17      149,700,798.94      17.65%

其他权益工具投资          24,243.00          24,243.00      0.00%

固定资产              567,691,865.87      531,600,758.98      6.79%

在建工程                14,256,559.61        1,565,735.41    810.53% 主要系本期在建运
                                                                    营项目增加所致。

使用权资产              41,674,156.31      46,713,769.88      -10.79%

无形资产