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泉为科技:2024年度财务决算报告

公告日期:2025-04-29


                  广东泉为科技股份有限公司

                  2024 年度财务决算报告

  公司 2024 年报表经中兴财光华会计师事务所(特殊普通合伙)审计验证,并出具了带持续经营重大不确定性段落的无保留意见审计报告,为更全面、详细地了解公司2024 年的财务状况和经营成果,现将 2024 年度财务决算报告情况汇报如下:

    一、实现经济效益情况

  2024 年度营业收入为 22,235.52 万元,上年同期 116,548.18 万元,较上年同期减
少 94,312.66 万元,下降 80.92%;归属于母公司净利润-11,863.89 万元,较上年同期减少亏损 1,992.18 万元,减少亏损 14.38%,具体情况如下:

        项目        2024 年(万元)  2023 年(万元)    同比减少/增加  同比增减幅
                                                            (万元)        度

  营业收入                22,235.52        116,548.18      -94,312.66    -80.92%

  成本费用                39,574.87        131,804.42      -92,229.55    -69.97%

  营业利润                -22,682.30        -14,064.77        -8,617.53    -61.27%

  净利润                  -27,056.24        -16,758.64      -10,297.60      61.45%

  归属于母公司所有        -11,863.89        -13,856.07        1,992.18      14.38%
  者的净利润

    (一)营业收入

        项目        2024 年(万元)  2023 年(万元)  同比增加/下降  同比增减幅
                                                            (万元)        度

  橡胶和塑料制品            5,869.12        47,637.51      -41,768.39    -87.68%

  汽车配件                          0        53,663.44      -53,663.44    -100.00%

  光伏组件                  15,357.10        12,588.27        2,768.83      22.00%

  光伏代加工业务              3,51.96

  分布式电站电费                47.40

  其他业务                    609.93        2,658.95        -2049.02    -77.06%

 合计                  22,235.52    116,548.18

    (二)成本费用合计

  2024 年度成本费用合计 39,574.87 万元,上年同期成本费用 131,804.42 万元,较
上年同期减少 92,229.55 万元,下降 69.97%,具体情况如下:

        项目        2024 年(万元)    2023 年(万元)  同比增长/下降  同比增减幅
                                                            (万元)        度


  营业成本                  25,777.40        109,897.19      -84,119.79    -76.54%

  税金及附加                  485.91            535.32          -49.41      -9.23%

  销售费用                  1,294.04          1,733.44        -439.40    -25.35%

  管理费用                  8,134.19          13,317.20      -5,183.01    -38.92%

  研发费用                  1,372.43          3,527.48      -2,155.05    -61.09%

  财务费用                  2,510.89          2,793.78        -282.89    -10.13%

  成本费用合计              39,574.87        131,804.42      -92,229.55    -69.97%

  1、销售费用同比下降 25.35%,主要系本报告期内汽车业务整体已剥离完毕、橡塑业务于四季度剥离完毕,相应的营销费用减少所致;

  2、管理费用同比下降 38.92%,主要系本报告期内汽车业务整体已剥离完毕,人员工资大幅减少以及原业务办公楼退租、租金成本大幅降低所致;

  3、研发费用同比下降 61.09%,主要系本报告期内橡塑业务、汽车业务减少所致;
  4、财务费用同比下降 10.13%,主要系本报告期内新增银行借款减少,相应的财务费用减少所致。

    (三)盈利情况

  2024 年度净利润为-27,056.24 万元,上年同期-16,758.64 万元,较上年同期增加
亏损 10,297.60 万元,亏损上升 61.45%;归属于母公司净利润-11,863.89 万元,较上年同期增加 1,992.18 万元,上升 14.38%,主要原因系:

  1、主营业务毛利贡献额下降10,192.86万元,主要是光伏业务产品毛利降低所致;
  2、期间费用较去年同比下降 8,060.35 万元,由于业务剥离减少所致;

  3、减值损失较去年同比增加1,521.26万元,主要是固定资产和在建工程减值增加;
  4、资产处置收益较去年同比减少 3,412.57 万,导致利润减少;

  5、由于未弥补所得税到期,递延所得税的当期费用化较去年同比减少518.25万元。
    二、本期财务状况

    (一)资产情况

  2024 年末资产总额 87,288.91 万元,年初 110,106.61 万元,较年初减少 22,817.70
万元,下降 20.72%,具体情况如下:

            项目          期末余额(万元)    期初余额(万元)      同比增减幅度

    货币资金                      1,099.11              990.23              11.00%

    应收票据                      1,754.83            1,568.00              11.92%

    应收账款                      3,834.38            6,145.59              -37.61%

    应收款项融资                          -              178.61            -100.00%

    预付款项                      1,795.90            2,022.16              -11.19%

    其他应收款                    2,830.86            6,163.22              -54.07%

    存货                          1,984.79          10,840.36              -81.69%

    持有待售资产                    895.95                  -                    /

    其他流动资产                  3,061.52            4,018.07              -23.81%

    流动资产合计                  17,257.35          31,926.24              -45.95%

    长期股权投资                          -                  -                    /

    其他权益工具投资                      -              100.00            -100.00%

    固定资产                      55,831.04          40,513.92              37.81%

    在建工程                      1,957.35          24,228.86              -91.92%

    使用权资产                    1,632.39            1,512.73                7.91%

    无形资产                      9,688.79          10,052.13              -3.61%

    商誉                              6.77                6.77

    长期待摊费用                    635.20              565.51              12.32%

    递延所得税资产                  176.45            1,200.46              -85.30%

    其他非流动资产                  102.65                  -                    /

    非流动资产合计                70,031.56          78,180.38              -10.42%

    资产总计                      87,288.91          110,106.61              -20.72%

  1、货币资金较上年同期上升 11.00%,正常范围;

  2、应收票据较上年同期上升 11.92%,正常范围;

  3、应收账款较上年同期下降 37.61%,主要系加大收款力度所致;

  4、应收款项融资较上年同期下降 100.00%,主要系报告期内该类承兑票据减少所致;
  5、存货较上年同期下降 81.69%,主要系报告期内存货出售减少所致;

  6、持有待售资产较上年同期新增,主要系肇庆房地产即将完成出售。

  7、其他流动资产较上年同期下降 23.81%,主要系报告期内山东工厂的留抵进项税额收到了退税