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首页 公告 松原安全:2024年度财务决算报告

松原安全:2024年度财务决算报告

公告日期:2025-04-23


        浙江松原汽车安全系统股份有限公司

              2024 年度财务决算报告

        浙江松原汽车安全系统股份有限公司(以下简称“公司”)2024 年财务报表

    已经天健会计师事务所(特殊普通合伙)审计,并由其出具了天健审〔2025〕6397

    号文的无保留意见审计报告。经审计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、主要会计数据及财务指标变动情况

                                  2024 年            2023 年        本年比上年增减        2022 年

营业收入(元)                1,970,973,848.61  1,280,382,019.83              53.94%  991,867,737.67

归属于上市公司股东的净利润      260,384,779.07    197,783,741.99              31.65%  118,040,038.80
(元)

归属于上市公司股东的扣除非      249,915,815.34    191,953,992.45              30.20%  116,239,469.89
经常性损益的净利润(元)

经营活动产生的现金流量净额      139,523,699.14    163,400,325.32            -14.61%    61,300,771.36
(元)

基本每股收益(元/股)                    1.15              0.88              30.68%            0.52

稀释每股收益(元/股)                    1.14              0.87              31.03%            0.52

加权平均净资产收益率                    21.86%            20.45%              1.41%          13.80%

                                2024 年末          2023 年末      本年末比上年末增减      2022 年末

资产总额(元)                3,137,410,452.29  1,981,549,867.48              58.33%  1,546,473,433.4
                                                                                                      9

归属于上市公司股东的净资产    1,342,105,386.39  1,064,856,045.58              26.04%  873,497,296.21
(元)

    二、财务状况、经营成果及现金流量情况

        (一)资产、负债和净资产情况

          1、资产构成及变动情况

          截至 2024 年 12 月 31 日,公司资产总额为 3,137,410,452.29 元,主要资


    产构成及变动情况如下:

 资产负债表项目        年末数              年初数          变动比率      变动 30%以上原因分析

    货币资金      239,735,978.24        108,517,254.54    120.92%  主要系银行存款和大额存单增加
                                                                        所致

                                                                        主要系四季度销售收入涨幅较
    应收账款      1,013,741,134.6        650,451,712.71      55.85%  大,主要整车厂客户的账期以 90
                                3                                    天为主,因此在 12 月底尚未回
                                                                        款,造成应收账款余额较大

  应收款项融资      70,771,346.12          37,654,980.78      87.95%  主要系销售规模扩大,收承兑汇
                                                                        票增加所致

    预付款项        19,139,773.89          32,533,428.54    -41.17%  主要系 24 年预付钢材款和气囊
                                                                        控制器减少所致

  其他应收款        2,421,740.74          1,550,452.51      56.20%  主要系本期增加各类押金保证金

      存货        334,734,371.52        248,690,972.44      34.60%  主要系营业收入增加所致

  其他流动资产      53,151,872.16          12,393,918.11    328.85%  主要系履约中项目成本增加所致

                                                                        主要系 2024 年公司规划产能大
    固定资产      722,410,823.66        595,471,678.74      21.32%  幅增长,公司厂房扩建及设备采
                                                                        购增加,以扩大产能

                                                                        主要系 2024 年公司规划产能大
    在建工程      362,209,808.03        120,539,667.09    200.49%  幅增长,公司厂房扩建以扩大产
                                                                        能

  使用权资产        7,982,761.45          5,653,680.07      41.20%  主要系子公司厂房租赁增加所致

    无形资产      235,820,047.26          94,825,680.93    148.69%  主要系购买土地增加所致

                                                                        主要系 2024 年公司产量大幅增
  长期待摊费用      31,686,096.30          22,451,877.85      41.13%  加,采购模具和周转器具等以扩
                                                                        大产能

      2、负债结构及变动情况

      截至 2024 年 12 月 31 日,公司负债总额为 1,795,305,065.9 元,主要负债

  构成及变动情况如下:

资产负债表项目          年末数                年初数          变动比率      变动 30%以上原因分析

                                                                            主要系公司销售规模扩

  短期借款            275,176,305.55        74,052,815.28      271.59%  大,导致采购规模增加所

                                                                            致

                                                                            主要系主材供应商由电汇

  应付票据            217,890,158.15      111,453,088.59        95.50%  改成银行承兑汇票及采购

                                                                            规模增加所致

                                                                            主要系公司销售规模扩

  应付账款            392,519,332.79      258,179,997.37        52.03%  大,导致采购规模增加所

                                                                            致

  合同负债              5,827,450.63        1,320,168.35      341.42%  主要系客户预收款项增加

                                                                            所致

  应交税费              24,612,304.27        6,978,123.16      252.71%  主要系应交所得税和增值

                                                                            税增加所致

其他应付款              3,615,906.43        2,019,131.58        79.08%  主要系本期增加供应商押

                                                                            金保证金所致