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首页 公告 泰慕士:2025年度财务决算报告

泰慕士:2025年度财务决算报告

公告日期:2026-03-28


              江苏泰慕士针纺科技股份有限公司

                  2025 年度财务决算报告

    一、审计情况

    公司 2025 年财务报表已经立信会计师事务所(特殊普通合伙)审计,并出
 具了信会师报字【2026】第 ZA10447 号标准无保留意见的审计报告。会计师的审 计意见是:公司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 2025 年12 月 31 日的合并及母公司财务状况以及 2025 年度的合并及母
 公司经营成果和现金流量。

    二、2025 年财务决算情况

    报告期内,营业总收入 83,979.47 万元,比去年同期减少 6,776.74 万元,
 下降 7.47%,净利润为 4,710.55 万元,比去年同期减少 2,327.46 万元,下降
 33.07%,主要财务数据和指标如下:

                                                                      单位:元

          项目                  2025 年              2024 年          变动幅度

营业收入                        839,794,683.89      907,562,121.96        -7.47%

营业总成本                      799,096,015.93      841,544,542.97        -5.04%

利润总额                        51,263,593.78        78,705,580.33      -34.87%

归属于上市公司股东的净利润      47,105,490.30        70,380,087.74      -33.07%

扣除非经常性损益后归属于上      38,632,762.70        58,307,892.82      -33.74%
市公司股东的净利润

基本每股收益(元/股)                    0.44                0.65      -32.31%

加权平均净资产收益率                    5.22%                7.81%        -2.59%

经营活动产生的现金流量净额      41,263,592.69        76,580,723.03      -46.12%

          项目              2025 年 12 月 31 日    2024 年 12 月 31 日    变动幅度

总股本                          109,413,700.00      109,433,700.00        -0.02%

资产总额                      1,222,016,749.26    1,219,011,170.42        0.25%

负债总额                        292,145,230.49      317,523,903.80        -7.99%

归属于母公司所有者权益          929,871,518.77      901,487,266.62        3.15%

    注:以上财务数据均为合并报表数据。

  三、财务状况、经营成果和现金流量情况


    1、资产状况

                                                                  单位:元

                                                                      同比增减

        项目          2025 年 12 月 31 日  2024 年 12 月 31 日

                                                                变动金额      变动幅度

流动资产合计            791,494,061.79    834,442,313.83  -42,948,252.04      -5.15%

其中:货币资金          163,617,953.09    213,584,127.18  -49,966,174.09    -23.39%

      交易性金融资产    221,405,941.37    260,196,710.16  -38,790,768.79    -14.91%

      应收账款          214,192,584.59    204,520,789.89    9,671,794.70      4.73%

      应收款项融资        17,851,426.01                      17,851,426.01    100.00%

      预付账款            2,981,197.92      3,022,216.60      -41,018.68      -1.36%

      其他应收款            605,512.44        105,743.01      499,769.43    472.63%

      存货              167,348,313.86    152,818,441.41  14,529,872.45      9.51%

      合同资产                                                            -

      其他流动资产        3,491,132.51        194,285.58    3,296,846.93    1696.91%

非流动资产合计          430,522,687.47    384,568,856.59  45,953,830.88      11.95%

其中:固定资产          314,272,324.84    310,899,453.32    3,372,871.52      1.08%

      在建工程            82,741,453.74    40,016,174.86  42,725,278.88    106.77%

      使用权资产            705,728.27        791,456.39      -85,728.12    -10.83%

      无形资产            26,316,301.43    26,627,921.94    -311,620.51      -1.17%

      递延所得税资产      5,572,233.17      5,601,650.08      -29,416.91      -0.53%

      其他非流动资产        914,646.02        632,200.00      282,446.02      44.68%

资产总计              1,222,016,749.26  1,219,011,170.42    3,005,578.84      0.25%

    2025 年末资产总额为 122,201.67 万元,较期初的 121,901.12 万元,增加

 300.56 万元,增长 0.25%,其中:流动资产减少 4,294.83 万元,下降 5.15%,

 非流动资产增加 4,595.38 万元,增长 11.95%,主要资产的变动情况如下:

    1)流动资产减少 4,294.83 万元,主要由于募投项目六安英瑞针织服装有限

 公司二期项目持续投入,使用募投款项支付工程款,从而货币资金科目减少。

    2)非流动资产增加 4,595.38 万元,主要由于募投项目六安英瑞针织服装有

 限公司二期项目持续投入,从而在建工程科目增加。

    2、负债状况

                                                                      单位:元

                                                                    变动增减

        项目          2025 年 12 月 31 日  2024 年 12 月 31 日

                                                              变动金额    变动幅度

流动负债合计            288,215,030.38    313,046,900.20  -24,831,869.82    -7.93%

其中:短期借款          114,300,000.00    131,030,000.00  -16,730,000.00  -12.77%

      应付票据                        -        156,308.79    -156,308.79  -100.00%

      应付账款          106,605,241.26    96,583,752.43  10,021,488.83    10.38%

      合同负债              802,403.08        174,658.22      627,744.86  359.41%

      应付职工薪酬        45,728,574.00    49,462,265.42  -3,733,691.42    -7.55%

      应交税费            2,155,826.61      5,795,271.63  -3,639,445.02  -62.80%

      其他应付款          18,196,778.94    29,526,294.27  -11,329,515.33  -38.37%

      一年内到期的非        324,668.32        301,232.73      23,435.59    7.78%
      流动负债

      其他流动负债          101,538.17        17,116.71      84,421.46  493.21%

非流动负债合计            3,930,200.11      4,477,003.60    -546,803.49  -12.21%

      其中:递延收益      3,930,200.11      4,144,411.23    -214,211.12    -5.17%

负债合计                292,145,230.49    317,523,903.80  -25,378,673.31    -7.99%

    2025 年末负债总额为 29,214.52 万元,较期初的 31,752.39 万元,减少

 2,537.87 万元,下降 7.99%,其中流动负债减少 2,483.19 万元、下降