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首页 公告 洁雅股份:2024年度财务决算报告(草案)

洁雅股份:2024年度财务决算报告(草案)

公告日期:2025-04-25


          铜陵洁雅生物科技股份有限公司

          2024 年度财务决算报告(草案)

    2024 年湿巾行业竞争激烈,客户降本需求强烈,公司产品毛利率大幅下降。
另一方面,国内市场需求变化较快,导致部分产品产线利用率不足,因此计提了大额固定资产减值准备。主要受上述因素影响,2024 年经营业绩大幅下降。现将 2024 年经营情况报告如下:

    一、2024 年度审计情况

  公司编制的 2024 年度财务报表已经容诚会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告(容审字[2025] 230Z0184)。

  二、经营利润情况

                                                              单位:人民币万元

    项目        2024 年度    2023 年度      增减幅度        变动原因说明

  营业收入        54,745.04    62,258.71      -12.07%  主要系来料加工业务销售
                                                        额减少所致

  营业成本        44,270.29    43,814.85        0.42%  主要系材料成本增加所致

  销售费用            946.64        966.09      -2.01%  主要系销售人员薪酬减少
                                                        所致

  管理费用          4,510.35      4,856.34      -7.12%  主要系咨询费减少所致

  研发费用          2,047.78      2,251.96      -9.07%  主要系研发材料投入减少
                                                        所致

  财务费用          -982.22    -1,194.19      17.75%  主要系银行存款利息收入
                                                        减少所致

归属于母公司所                                          主要系毛利润减少以及各
                    1,946.48    11,519.65      -83.10%  项资产减值增加影响所致
 有者的净利润
 三、资产负债情况


                                                            单位:人民币万元

    项目          期末数        期初数      增减幅度        变动原因说明

  货币资金        40,380.75      66,515.90      -39.29%  主要系利用闲置资金进行
                                                        现金管理所致

交易性金融资产      65,933.02      41,049.04      60.62%  主要系期末持有的理财产
                                                        品增加所致

  应收账款        13,575.56      17,087.93      -20.55%  主要系应收货款减少所致

    存货            7,718.75      6,892.57      11.99%  主要系成品库存增加所致

一年内到期的非                                          主要系一年内到期的长期
                    26,823.42      18,477.93      45.16%

  流动资产                                              存单增加所致

 其他流动资产      17,142.55      8,320.85      106.02%  主要系短期存单增加所致

                                                        主要系长期存单转入一年
  债权投资                0      22,836.57      -100%

                                                        内到期的非流动资产所致

                                                        主要系研发大楼及新产线
 固定资产净额      28,425.13      24,199.50      17.46%

                                                        转入固定资产所致

                                                        主要系未转入固定资产的
  在建工程          535.62        410.04      30.63%

                                                        零星设备增加所致

 使用权资产                                            主要系部分租赁合同到期
                      982.52      1,760.38      -44.19%

                                                        未续约所致

  资产总计        208,064.67    214,877.28      -3.17%

  应付票据          7,137.96      8,681.44      -17.78%

  应付账款        11,643.91      12,361.98      -5.81%  主要系公司本期应付供应
                                                        商材料款金额减少所致

 应付职工薪酬        882.71      1,077.29      -18.06%


  其他应付款          224.54        51.32      337.52%  主要系代收代付款增加所
                                                        致

  负债合计        25,359.97      28,982.02      -12.50%

    股本            8,120.98      8,120.98        0.00%

  资本公积        102,201.22    102,386.62      -0.18%

  盈余公积          6,673.07      6,673.07        0.00%

  未分配利润        67,714.30      68,684.18      -1.41%

归属母公司所有

                  182,703.34    185,864.85      -1.70%

  者权益合计

    四、现金流情况

                                                              单位:人民币万元

    项目        2024 年度    2023 年度    增减幅度(%)      变动原因说明

                                                          主要系销售现金回笼同比
                                                          减少 1.00%、收到的税收返
经营活动现金流                                            还同比增长 69.39%、收到
                  73,262.87      73,449.77        -0.25%  其他与经营活动有关的现
入小计

                                                          金同比减少 30.92%共同影
                                                          响所致

                                                          主要系购买商品、接受劳
                                                          务支付的现金同比增长
                                                          0.80%、支付给职工以及
经营活动现金流                                            为职工支付的现金同比增
                  65,750.83      65,098.36        1.00%  长 0.60%、支付的各项税
出小计                                                    费同比减少 38.53%、支付
                                                          其他与经营活动有关的现
                                                          金同比增长 30.07% 共同
                                                          影响所致

经营活动产生的                                            受经营活动现金流入和流
                    7,512.04      8,351.41      -10.05%  出共同影响所致

现金流量净额

投资活动现金流                                            主要系收回投资收到的现
                  94,679.47      76,622.24        23.57%  金同比增长 19.58%、取得
入小计                                                    投资收益收到的现金同比