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首页 公告 塞力医疗:2024年度财务决算报告

塞力医疗:2024年度财务决算报告

公告日期:2025-04-29


            塞力斯医疗科技集团股份有限公司

                2024 年度财务决算报告

  塞力斯医疗科技集团股份有限公司(以下简称“公司”)2024 年度财务报
表已经中审众环会计师事务所(特殊普通合伙)审计,并于 2025 年 4 月 27 日
出具了的无保留意见的审计报告。
一、2024 年度主要会计数据及财务指标变动情况:
1、主要经营数据

                                                                单位:人民币 元

            项 目                  2024 年度        2023 年度      增减变动幅
                                                                      度(%)

营业收入                          1,810,681,362.15  2,006,134,334.99        -9.74

营业成本                          1,478,798,942.33  1,613,442,473.03        -8.35

销售费用                            127,591,199.13    146,985,940.69        -13.19

管理费用                            174,918,945.83    183,769,105.24        -4.82

研发费用                            46,742,915.06    43,211,214.00          8.17

财务费用                            55,074,354.38    72,881,201.60        -24.43

信用减值损失                        34,605,768.01    -80,068,123.20      不适用

资产减值损失                        -25,597,401.25    -35,517,076.32      不适用

投资收益                            -65,216,566.55      -2,377,861.59      不适用

资产处置收益                        -7,620,084.92      -2,535,164.73      不适用

其他收益                              2,701,532.60      4,111,346.55        -34.29

营业外收入                            1,383,928.08      3,013,689.34        -54.08

营业外支出                            7,886,710.80    15,194,461.37        -48.09

所得税费用                          45,092,718.78    -35,727,722.10      不适用

经营活动产生的现金流量净额          99,595,348.76    125,886,030.89        -20.88

投资活动产生的现金流量净额          -7,674,420.62    15,193,618.81      -150.51

筹资活动产生的现金流量净额        -148,271,438.32    -214,307,025.74        30.81

2、资产负债表主要数据

                                                                单位:人民币 元

            项目                  2024 年度        2023 年度      增减变动幅

                                                                      度(%)

            总资产              2,830,070,456.98  3,341,783,890.07    -15.31

            总负债              1,868,026,362.40  2,027,091,715.60      -7.85

          所有者权益              962,044,094.58    1,314,692,174.47    -26.82

其中:归属于母公司股东的所有者权  934,292,086.63    1,210,913,086.67    -22.84

              益

二、财务状况、经营成果和现金流量分析
(一)资产、负债和净资产情况
1、资产构成及变动情况

  截止 2024 年 12 月 31 日,公司资产总额 283,007.05 万元,较上年末减少

15.31%,资产构成及同期变动情况如下表:

                                                                单位:人民币 元

                      本期期              上期期末本期期末金

                      末数占              数占总资额较上期期

 项目名称  本期期末数 总资产  上期期末数  产的比例末变动比例    情况说明

                      的比例                (%)  (%)

                      (%)

货币资金  209,435,589.90  7.40  278,585,654.81    8.34    -24.82主要归还借款所致

应收款项融  2,292,106.91  0.08  15,855,513.11    0.47          主要系票据到期贴现
                                                          -85.54所致



预付款项  55,420,304.07  1.96  71,797,684.47    2.15          主要系预付采购款减
                                                          -22.81少所致

其他应收款 119,627,588.91  4.23  88,805,172.20    2.66          主要系应收子公司股
                                                          34.71权转让款增加所致

其他流动资 15,203,028.89  0.54    6,082,201.20    0.18          主要系待抵扣税金增
                                                          149.96加所致



长期应收款                      43,123,123.44    1.29          主要系子公司股权转
                                                        -100.00让所致


长期股权投 45,446,407.84  1.61  61,739,458.61    1.85          主要系参股公司注销
                                                          -26.39及参股公司减值所致


固定资产  121,740,204.66  4.30  155,862,139.91    4.66          主要系资产处置下账
                                                          -21.89及计提折旧所致

在建工程    2,249,846.90  0.08    8,590,373.54    0.26          主要系在建工程结转
                                                          -73.81所致

商誉      43,702,395.46  1.54  115,804,024.53    3.47          主要系子公司股权转
                                                          -62.26让、商誉减值所致

长期待摊费 30,216,031.29  1.07  24,935,384.15    0.75          主要系装修款增加所
                                                          21.18致



递延所得税                                                      主要系本期可抵扣亏
资产      152,617,576.62  5.39  197,206,556.32    5.90    -22.61损和资产减值递延减
                                                                少所致

其他非流动 39,060,801.61  1.38  50,028,531.84    1.50          主要系前期预付股权
                                                          -21.92投资款退回所致

资产
2、负债结构及变动情况

  截止 2024 年 12 月 31 日,公司负债总额 186,802.64 万元,较上年减少

7.85%,公司资产负债率 66.01%,较上年增加 5.35%。主要负债构成及变动情况
如下:

                                                                单位:人民币 元

                        本期期              上期期  本期期

                        末数占              末数占  末金额

 项目名称  本期期末数  总资产  上期期末数  总资产  较上期        情况说明

                        的比例              的比例  期末变

                        (%)              (%)  动比例

                                                      (%)

应付票据      335,054.40  0