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首页 公告 华控赛格:半年度非经营性资金占用及其他关联资金往来情况汇总表

华控赛格:半年度非经营性资金占用及其他关联资金往来情况汇总表

公告日期:2022-08-31

华控赛格:半年度非经营性资金占用及其他关联资金往来情况汇总表 PDF查看PDF原文

                      2022 年度 1-6 月非经营性资金占用及其他关联资金往来情况汇总表

编制单位:深圳华控赛格股份有限公司                                                                                                        单位:万元

  非经营性                        占用方与上  上市公司    2022 年    2022 年度 1-6 月  2022 年度 1-6  2022 年度 1-  2022 年 6  占用形成原  占用性
  资金占用      资金占用方名称    市公司的关  核算的会  期初占用  占用累计发生金  月占用资金的  6 月偿还累  月末占用      因        质
                                    联关系    计科目    资金余额  额(不含利息)  利息(如有)  计发生金额  资金余额

现大股东及其  -                  -            -                  -                -              -            -          -  -            -

  附属企业    -                  -            -                  -                -              -            -          -  -            -

    小计      -                  -            -                  -                -              -            -          -  -            -

前大股东及其  -                  -            -                  -                -              -            -          -  -            -

  附属企业    -                  -            -                  -                -              -            -          -  -            -

    小计      -                  -            -                  -                -              -            -          -  -            -

    总计      -                  -            -                  -                -              -            -          -  -            -

  其他关联                        往来方与上  上市公司  2022 年期  2022 年度 1-6 月    2022 年度 1-6  2022 年度 1-  2022 年 6  往来形成原  往来性
  资金往来      资金往来方名称    市公司的关  核算的会  初往来资  往来累计发生金  月往来资金的  6 月偿还累  月末往来      因        质
                                    联关系    计科目      金余额  额(不含利息)  利息(如有)  计发生金额  资金余额

              深圳市华融泰资产管  控股股东    其他应收      109.34                                                  109.34  租房押金      经营性
              理有限公司                      款                                                                                          往来

              山西建设投资集团有  间接控股股  应收账款      3,348.11            402.59                    2,728.90    1,021.80  销售商品、    经营性
              限公司              东                                                                                          提供劳务      往来

              山西建设投资集团有  间接控股股  应收账款    31,575.69        39,521.81                    39,064.77  32,032.73  销售商品、    经营性
              限公司下属公司      东的子公司                                                                                提供劳务      往来

              山西建设投资集团有  间接控股股  其他会计      3,703.41          2,262.21                    1,421.82    4,543.80  提供劳务      经营性
大股东及其附  限公司下属公司      东的子公司  科目                                                                                        往来

  属企业    同方药业集团有限公  控股股东之  其他会计                                                                      提供劳务      经营性
              司及下属公司        子公司      科目          479.61            330.43                      136.52      673.52                往来

              同方药业集团有限公  控股股东之  预付账款        4.87                                          2.22        2.65  提供劳务      经营性
              司                  子公司                                                                                                    往来

              同方药业集团有限公  控股股东之  应收账款        18.00            425.03                      129.50      313.53  提供劳务      经营性
              司及下属公司        子公司                                                                                                    往来

              山西建设投资集团有  控股股东之  预付账款          -                                                        -  购买商品      经营性
              限公司下属公司      子公司                                                                                                    往来


 其他关联                        往来方与上  上市公司  2022 年期  2022 年度 1-6 月    2022 年度 1-6  2022 年度 1-  2022 年 6  往来形成原  往来性
 资金往来      资金往来方名称    市公司的关  核算的会  初往来资  往来累计发生金  月往来资金的  6 月偿还累  月末往来      因        质
                                    联关系    计科目      金余额  额(不含利息)  利息(如有)  计发生金额  资金余额

              迁安市华控环境治理  控股子公司  其他应收      2,433.36                            52.78      2,000.00      486.14  财务资助      非经营
              有限责任公司                    款                                                                                          性往来

              内蒙古奥原新材料有  控股子公司  其他应收    13,247.34                          388.15                13,635.49  财务资助      非经营
              限公司                          款                                                                                          性往来

              北京清控中创工程建  控股子公司  其他应收        0.21            30.69                        0.21      30.69  物业、水电    经营性
              设有限公司          控制的法人  款                                                                                          往来

              北京清控中创工程建  控股子公司  其他会计      330.49                            7.25        37.63      300.11  租赁业务      经营性
              设有限公司          控制的法人  科目                           
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