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首页 公告 安凯客车: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

安凯客车: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:2022-08-23

安凯客车: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

                                安徽安凯汽车股份有限公司

                2022 年 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:安徽安凯汽车股份有限公司                                                                                                    单位:元

                                占用方与上                                2022 年度 1-6 月占 2022 年度

 非经营性资金  资金占用方名称  市公司的关 上市公司核算 2022 年初占用资金 用累计发生金额(不 1-6 月占用 2022 年度 1-6 月偿 2022年末6月末占占用形成  占用性质

    占用                          联关系    的会计科目        余额            含利息)      资金的利  还累计发生金额    用资金余额    原因

                                                                                              息(如有)

控股股东、实际                                                                                                                                    非经营性占用
 控制人及其附

  属企业                                                                                                                                        非经营性占用

    小计

前控股股东、实                                                                                                                                    非经营性占用
 际控制人及其

  附属企业                                                                                                                                      非经营性占用

    小计

    总计

                                往来方与上                                2022 年 1-6 月往来  2022 年

 其他关联资金 资金往来方名称    市公司的关 上市公司核算 2022 年初往来资金 累计发生金额(不含 1-6 月往来 2022 年 1-6 月偿还 2022年6月末往来往来形成  往来性质

    往来                          联关系    的会计科目        余额            利息)      资金的利  累计发生金额      资金余额      原因

                                                                                              息(如有)

控股股东、实际安徽江淮汽车集团股  母公司    应收账款            94,871.27      16,459,307.13              15,271,817.17    1,282,361.23  销售    经营性往来
 控制人及其附 份有限公司


  属企业    合肥汇凌汽车零部件 同受母公司  应收账款            58,082.21        141,729.09                100,000.00        99,811.30  销售    经营性往来
              有限公司              控制

              安徽江淮汽车集团股  母公司    其他应收款          136,607.50        825,607.50                282,651.12      679,563.88  销售    经营性往来
              份有限公司

              安徽江淮汽车集团控 母公司之母  其他应收款                  -        886,784.00                840,673.00        46,111.00  采购    经营性往来
              股有限公司            公司

              江淮汽车(阜阳)有 同受母公司  应收账款          873,678.77      5,960,172.14                6,833,850.91              -  销售    经营性往来
              限公司                控制

              合肥江淮铸造有限责 同受母公司  预付账款            17,333.24                                          -        17,333.24  采购    经营性往来
              任公司                控制

              安徽江淮专用汽车有 同受母公司  其他应收款          114,694.12                                  114,694.12              -  销售    经营性往来
              限公司                控制

              安徽江淮汽车集团股  母公司    预付账款            85,780.39        131,540.25                  18,228.66      199,091.98  采购    经营性往来
              份有限公司

              合肥和瑞出租车有限 其他关联方  应收账款            9,272.97        23,491.72                  18,787.76        13,976.93  销售    经营性往来
              公司

 上市公司的子                                                                                                                                    非经营性往来
 公司及其附属

    企业                                                                                                                                        非经营性往来

 其他关联方及                                                                                                                                    非经营性往来

 其附属企业                                                                                                                                      非经营性往来

    总计                                                    28,214,834.11      41,313,883.61              47,418,062.26    22,110,655.46

公司法定代表人:                                  主管会计工作的负责人:                                会计机构负责人:

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