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首页 公告 泰禾股份:2024年度财务决算报告

泰禾股份:2024年度财务决算报告

公告日期:2025-04-28


              南通泰禾化工股份有限公司

                2024 年度财务决算报告

    2024 年,在公司董事会的领导下,通过公司全体员工的不懈努力,公司在积
 极防范经营风险的同时,采取各种有效措施,保持了公司经营业绩持续稳定快速 增长,现将公司 2024 年度的决算情况报告如下:

    一、主要财务数据

                                                                        单位:元

              项目                2024 年          2023 年          同比变动

  营业收入                    4,236,282,345.30  3,868,331,534.94            9.51%

  归属于母公司所有者的净利润    265,939,065.46    346,475,139.00          -23.24%

  经营活动产生的现金流量净额    -68,506,167.99    632,950,983.18        -110.82%

  净资产收益率(%)                      9.21            13.45            -4.24

  总资产                      5,588,250,011.74  4,773,886,638.27          17.06%

  负债总额                    2,124,759,531.67  1,609,017,777.40          32.05%

  归属于母公司所有者权益      3,024,755,772.75  2,750,949,047.92            9.95%

  股本(股)                      405,000,000      405,000,000            0.00%

    2024 年度,公司共实现营业收入 4,236,282,345.30 元,同比增加 9.51%;归
 属于母公司净利润 265,939,065.46 元,同比下降 23.24%。截至 2024 年末,公司
 总资产 5,588,250,011.74 元,同比增长 17.06%;负债总额 2,124,759,531.67 元,
 同比增长32.05%;归属于母公司所有者权益3,024,755,772.75 元,同比增长9.95%。
    二、财务状况、经营成果和现金流量情况分析

    (一)报告期内资产变动情况

                                                                        单位:元

      项  目              2024 年末                2023 年末        同比变动
                          金额        占比        金额        占比    比率

流动资产:

 货币资金            503,804,287.23  9.02%  408,779,497.22    8.56%    23.25%

 交易性金融资产                  -    0.00%      19,629.61    0.00%  -100.00%

 应收票据                        -    0.00%      71,250.00    0.00%  -100.00%

 应收账款            999,756,907.83  17.89%  549,176,561.82  11.50%    82.05%

 应收款项融资          7,293,598.47  0.13%    17,371,210.72    0.36%  -58.01%


      预付款项            93,699,871.72  1.68%  109,424,029.43    2.29%  -14.37%

      其他应收款          24,163,878.11  0.43%    12,115,503.37    0.25%    99.45%

      存货                527,713,224.91  9.44%  444,538,389.45    9.31%    18.71%

      持有待售资产          6,554,300.63  0.12%    6,554,300.63    0.14%    0.00%

      其他流动资产        73,077,172.12  1.31%    57,991,577.54    1.21%    26.01%

      流动资产合计      2,236,063,241.02  40.01%  1,606,041,949.79  33.64%    39.23%

    非流动资产:

      固定资产          1,926,259,242.66  34.47%  1,800,962,294.32  37.73%    6.96%

      在建工程          1,081,701,195.45  19.36%  1,050,156,670.18  22.00%    3.00%

      使用权资产            1,305,042.42  0.02%    1,489,277.38    0.03%  -12.37%

      无形资产            212,205,902.73  3.80%  221,651,114.74    4.64%    -4.26%

      长期待摊费用          4,189,754.56  0.07%      480,789.16    0.01%  771.43%

      递延所得税资产      33,172,020.56  0.59%    34,360,396.53    0.72%    -3.46%

      其他非流动资产      93,353,612.34  1.67%    58,744,146.17    1.23%    58.92%

        非流动资产合计  3,352,186,770.72  59.99%  3,167,844,688.48  66.36%    5.82%

    资产总计            5,588,250,011.74 100.00%  4,773,886,638.27  100.00%    17.06%

          主要指标变动分析:

          1、应收账款增加主要是部分产品价格有所上涨,需求也有所恢复,本年第
      四季度的销售收入较上年同期增加较多,此外,本期美元保理费率较高,公司减
      少了应收账款保理金额;

          2、应收款项融资下降主要是由于截至本年末,公司银行承兑汇票的期末余
      额较上年末减少;

          3、其他应收款增加主要由于本年末的待出口退税金额有所增加;

          4、长期待摊费用增加主要是由于增加了上海研究基地的设施所致;

          5、其他非流动资产增加主要是预付长期资产款项较上年末有所增加。

          (二)报告期内负债变动情况

                                                                            单位:元

          项目                    2024 年末                  2023 年末          同比变动比
                                金额        占比        金额        占比        率

流动负债:

  短期借款                  623,022,015.39  29.32%  433,031,616.00  26.91%    43.87%

  交易性金融负债              2,433,255.84    0.11%      59,714.30    0.00%  3974.83%

  应付票据                    8,136,440.00    0.38%              -    0.00%    100.00%


  应付账款                  417,259,340.24  19.64%  325,044,308.42  20.20%    28.37%

  合同负债                  46,472,821.85    2.19%    76,879,077.29    4.78%    -39.55%

  应付职工薪酬              46,037,527.22    2.17%    84,526,077.66    5.25%    -45.53%

  应交税费                  23,702,796.77    1.12%    25,025,966.74    1.56%      -5.29%

  其他应付款                108,174,640.78    5.09%  141,864,661.43    8.82%    -23.75%

  一年内到期的非流动负债    324,193,401.84  15.26%  116,897,527.76    7.27%    177.33%

  其他流动负债                605,338.47    0.03%      374,196.50    0.02%    61.77%

    流动负债合计          1,600,037,578.40  75.30%  1,203,703,146.10  74.81%    32.93%

非流动负债:

  长期借款                  500,034,250.50  23.53%  395,694,955.22  24.59%    26.37%

  租赁负债                    238,354.98    0.01%      376,494.72    0.02%    -36.69%

  递延收益                    4,122,650.93    0.19%    3,706,164.54    0.23%    11.24%

  递延所得税负债              6,126,696.86    0.29%    5,537,016.82    0.34%    10.65%

  其他非流动负债            14,200,000.00    0.67%              -    0.00%    100.00%

    非流动负债合计          524,721,953.27  24.70%  405,314,631.30  25.19%    29.46%

    负债合计              2,124,759,531.67