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首页 公告 三湘印象: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

三湘印象: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:2023-08-29

三湘印象: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

        2023 年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

 编制 单位:三湘印象股份有限公司                                                                                                                              单位:人民币元

                                      占用方与上市  上市公司                    2023年 1-6月占  2023年 1-6                                      占用 形成

 非经营性资金占用  资金占用方名称  公司的关联关  核算的会  2023年期初占用  用累 计发生金额  月占用资金的  2023年 1-6月偿  2023年 6月 30 日                占用 性质
                                                                    资金余额                                      还累 计发生金额    占用资金余额      原因

                                          系        计科目                      (不含利息)    利息(如有)

控股股东、实际控制
 人及其附属企业

      小计

前控股股东、实际控
 制人及其附属企业

      小计

其他关联方及附属企

      业

      小计

      总计

                                往来方                                                                                                                              往来 性质
                                与上市  上市公                    2023年 1-6月往  2023年 1-6月                                                      往来

 其它关联资金    资金 往来方名            司核算  2023年期初往来                                  2023年 1-6月偿                  2023年 6月 30 日            (经 营性往
                                公司的                              来累计发生金额  往来资金的利                      其他 变动                        形成

    往来            称                  的会计      资金余额                                      还累 计发生金额                    往来 资金余额            来、 非经营性
                                关联关                                (不含利息)    息(如有)                                                        原因

                                          科目                                                                                                                      往来)
                                  系

                                                                                                                                                          工程

                                受同一                                                                                                                    进度

 控股股东、实    湖南炎帝生物  实际控  应收账                                                                                                                  经营性资金往
 际控制人及其    工程有限公司                        29,045,318.42      83,537.74                  29,088,606.16                        40,250.00  款、

                                制人控    款                                                                                                                          来

  附属企业      及其子公司                                                                                                                              劳务

                                  制                                                                                                                      款


                  上海三湘(集  全资子  其他应                                                                                                          往来    非经营性资金
                                                    3,087,179,831.68  179,885,000.00                  253,735,000.00                  3,013,329,831.68

                  团)有限公司    公司    收款                                                                                                            款        往来

                  上海三湘文化  全资子  其他应                                                                                                          往来    非经营性资金
                                                      69,825,166.66                                                                      69,825,166.66

                  发展有限公司    公司    收款                                                                                                            款        往来

                  三湘(香港)  全资子  其他应                                                                                                          代收    非经营性资金
                                                      41,583,651.29                                                                      41,583,651.29

                    有限公司      公司    收款                                                                                                            款        往来

                  三河市湘德房

                                  控股子  其他应                                                                                                          往来    非经营性资金
  上市公司的子    地产开发有限                      1,051,837,547.81    90,000,000.00  31,734,051.92                                    1,173,571,599.73

                                  公司    收款                                                                                                            款        往来

  公司及其附属        公司

      企业        三河市湘德房

                                  控股子  应收账                                                                                                          担保    非经营性资金
 
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