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首页 公告 威唐工业:2024年度财务决算报告

威唐工业:2024年度财务决算报告

公告日期:2025-04-26


                无锡威唐工业技术股份有限公司

                    2024 年度财务决算报告

    根据容诚会计师事务所(特殊普通合伙)审计的公司截止 2024 年 12 月 31 日的财务状况
和 2024 年度的经营成果和现金流量,结合公司生产经营中的具体情况,现将公司的财务决算情况汇报如下:

    一、2024 年度主要财务指标

            指标\日期                2024 年度    2023 年度/2023-12-      同比变化

                                      /2024-12-31          31

 营业收入(万元)                        86,571.89          81,914.54              5.69%

 归属于母公司股东的净利润(万元)          2,086.37            2,031.59              2.70%

 归属于母公司股东的净利润增长率(%)          2.70              -64.84            67.54%

 加权净资产收益率(%)                        1.81              2.04              -0.23%

 资产负债率(%)                            38.57              40.16              -1.59%

 净利润现金含量(%)                        482.73            889.33            -406.60%

 基本每股收益(元)                        0.1199            0.1148              4.44%

 每股收益扣非(元)                        0.0915            0.0528            73.30%

 归属于上市公司股东的每股净资产          6.50              6.67              -2.55%
 (元)

 每股资本公积金(元)                        3.19              3.21              -0.62%

 每股未分配利润(元)                        1.99              1.93              3.11%

 每股经营获得产生的现金流量(元)            0.55              0.97            -43.30%

    二、2024 年度资产与负债状况

 指标\日期                      2024-12-31          2023-12-31            同比增长率

 资产总额(万元)                  188,176.50              198,013.62              -4.97%

 流动资产(万元)                  116,732.97              134,259.41            -13.05%

 负债总额(万元)                  72,586.29                79,525.98              -8.73%

 流动负债(万元)                  35,072.22                41,240.62            -14.96%

 长期负债(万元)                  37,514.07                38,285.37              -2.01%

 货币资金(万元)                  56,685.15                75,769.13            -25.19%

 应收账款(万元)                  23,427.72                24,748.35              -5.34%

 资产负债率(%)                      38.57                    40.16              -1.59%

 股东权益比率(%)                    61.43                    59.84              1.59%

 流动比率(倍)                          3.33                    3.26              2.15%

 速动比率(倍)                          2.50                    2.62              -4.58%

三、2024 年度现金流量状况

 指标\日期                                2024 年度        2023 年度        同比变化

 销售商品、提供劳务收到现金(万元)          97,348.16      94,205.10              3.34%

 经营活动现金净流量(万元)                    9,655.41      17,218.32            -43.92%

 销售商品收到现金与营业收入比(%)            112.45          115.00              -2.55%

 经营活动现金流量与净利润比(%)              482.73        889.33            -406.60%

 投资活动的现金净流量(万元)                -15,043.10      -10,442.51            -44.06%

 筹资活动的现金净流量(万元)                -12,506.69      27,044.00            -146.25%

    1、2024 年经营活动现金净流量同比下降 43.92%,经营活动现金流量与净利润比下降

406.60%,主要系本报告期公司原材料采购支出增加所致;

    2、2024 年投资活动现金净流量同比下降 44.06%,主要系本报告期公司新能源汽车核心冲
焊零部件产能项目投入增加所致;

    3、2024 年筹资活动现金净流量同比下降 146.25%,主要系上年同期公司非公开发行股票
取得募集资金所致。

    四、2024 年度盈利构成与盈利能力

 指标\日期                        2024 年度            2023 年度          同比变化

 营业收入(万元)                      86,571.89            81,914.54              5.69%

 营业成本(万元)                      68,930.43            64,300.31              7.20%

 销售费用(万元)                        1,100.73            1,184.01              -7.03%

 管理费用(万元)                        7,041.65            7,086.11              -0.63%

 财务费用(万元)                        1,636.71            1,486.87            10.08%

 研发费用(万元)                        3,448.48            3,261.78              5.72%

 营业利润(万元)                        2,059.34            1,606.65            28.18%

 营业外收支净额(万元)                    185.38              883.86            -79.03%

 利润总额(万元)                        2,244.72            2,490.50              -9.87%

 所得税费用(万元)                        244.57              554.39            -55.88%

 净利润(万元)                          2,000.15            1,936.11              3.31%

 营业利润率(%)                            2.38                1.96              0.42%

 加权净资产收益率(%)                      1.81                2.04              -0.23%

    1、2024 年营业外收支净额同比减少 79.03%,主要系上年同期公司收购德国子公司,投资
成本小于可辨认净资产产生负商誉所致;

    2、2024 年所得税费用同比减少 55.88%,主要系本报告期公司内部交易未实现利润及租赁
负债确认的递延所得税增加所致。

    五、2024 年度经营与发展能力

 指标\日期                                  2024 年度        2023 年度      同比变化
                                            /2024-12-31      /2023-12-31

 存货周转率(次)                                    2.50            2.92      -14.38%

 应收账款周转率(次)                                3.59            3.24        10.80%

 总资产周转率(次)                                  0.46            0.41        12.20%

 净利润增长率(%)                                  3.31            -66.30        69.61%

 净资产增长率(%)                                  -2.50            44.71      -47.21%

 总资产增长率(%)                                  -4.97            33.11      -38.08%

    1、2024 年净利润增长率增加 6