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首页 公告 正海生物:2024年度财务决算报告

正海生物:2024年度财务决算报告

公告日期:2025-04-15


                                                                          2024 年度财务决算报告

            烟台正海生物科技股份有限公司

                2024 年度财务决算报告

  公司 2024 年度经营及财务成果经天职国际会计师事务所(特殊普通合伙)审计确认,结果如下:

    (一) 资产负债简表

                                                                        单位:万元

              项目/年度                2024 年期末  2023 年期末    增减率

              货币资金                  11,684      7,658      53%

            交易性金融资产                50,543      59,861      -16%

              应收票据                    33          76        -57%

              应收账款                  4,850      5,111      -5%

            应收款项融资                  194        172        13%

              预付款项                    344        334        3%

              其他应收款                  64        116        -45%

                存货                    3,518      3,672      -4%

            其他流动资产                  40          63        -37%

            流动资产合计                71,270      77,063      -8%

              固定资产                  22,874      23,534      -3%

            投资性房地产                  7          9        -22%

              在建工程                    134        809        -83%

              无形资产                  3,253      3,501      -7%

            长期待摊费用                  2          26        -92%

            递延所得税资产                233        278        -16%

            其他非流动资产                238        162        47%

            非流动资产合计                26,741      28,319      -6%

              资产总计                  98,011      105,382      -7%

              应付票据                    516        1,801      -71%

              应付账款                  1,666      2,110      -21%

              合同负债                  1,394      1,285        8%

            应付职工薪酬                1,046      1,427      -27%

              应交税费                    314        814        -61%

              其他应付款                  3,133      1,517      107%

            其他流动负债                  11          46        -76%

            流动负债合计                8,079      9,000      -10%

                递延收益                    487        912        -47%

            递延所得税负债                567        663        -14%

            非流动负债合计                1,054      1,576      -33%

              负债合计                  9,133      10,576      -14%

                股本                    18,000      18,000      0%


                                                                          2024 年度财务决算报告

              项目/年度                2024 年期末  2023 年期末    增减率

              资本公积                  16,942      16,942      0%

                库存股                    4,992        -          /

              盈余公积                  9,920      9,920        0%

              未分配利润                  49,008      49,944      -2%

      归属于母公司股东权益合计          88,878      94,807      -6%

            股东权益合计                88,878      94,807      -6%

          负债和股东权益总计              98,011      105,382      -7%

    主要增减事项说明:

  1、货币资金余额为 11,684 万元,较去年同期增加 4,026 万元,主要系购买的理
财到期赎回,使得货币资金余额增加。

  2、交易性金融资产余额为 50,543 万元,较去年同期减少 9,318 万元,主要系 2024
年分红金额大且经营业绩不如同期使得货币资金减少,进而使得购买的银行理财产品减少,使得交易性金融资产余额较小。

  3、应收账款余额为 4,850 万元,较去年同期减少 261 万元,主要系账款回收较
好所致。

  4、存货余额为 3,518 万元,较去年同期减少 154 万元,主要系本报告期控制产
品库存,库存商品减少所致。

  5、固定资产余额为 22,874 万元,较去年同期减少 660 万元,主要系固定资产折
旧计提所致。

  6、在建工程余额 134 万元,同比减少 675 万元,主要系生产设备转资所致。
  7、无形资产余额 3,253 万元,同比减少 248 万元,主要系无形资产摊销所致。
  8、应付票据余额为 516 万元,同比减少 1,285 万元,主要系本报告期银行承兑
汇票到期付款所致。

  9、应付账款余额为 1,666 万元,同比减少 444 万元,主要系本报告期末应付基
建工程款减少所致。

  10、应付职工薪酬余额为 1,046 万元,同比减少 381 万元,主要系计提的应发未
发奖金减少所致。

  11、应交税费余额为 314 万元,同比减少 500 万元,主要系企业所得税减少所
致。

  12、其他应付款余额为 3,133 万元,同比增加 1,616 万元,主要系收到合同保证
金增加所致。

  13、库存股余额为 4,992 万元,同比增加 4,992 万元,主要系回购股份所致。
    (二)利润简表


                                                                          2024 年度财务决算报告

                                                                    单位:万元

            科目/年度                  2024 年        2023 年        增减率

          一、营业收入              36,323        41,365        -12%

            营业成本                  4,489        4,177        7%

            税金及附加                390          399          -2%

            销售费用                11,960        10,631        12%

            管理费用                  2,830        2,693        5%

            研发费用                  3,952        4,405        -10%

            财务费用                  -52          -59        -12%

          其中:利息收入                75            93          -19%

            其他收益                  729          215        239%

            投资收益                  1,262        1,797        -30%

公允价值变动收益(损失以“-”号填列)    543          730        -26%

 信用减值损失(损失以“-”号填列)      -37            -6          555%

 资产处置收益(损失以“-”号填列)      0            2          -100%

          二、营业利润              15,251        21,857        -30%

            营业外收入                  5            24          -80%

            营业外支出                  18            42