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首页 公告 湘潭电化: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

湘潭电化: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:2024-08-29

湘潭电化: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

                              湘潭电化科技股份有限公司

              2024 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

                                                                                                                                                            单位:人民币万元

                                        占用方与上市公司的  上市公司核算  2024 年期  2024 年半年度占  2024 年半年度  2024 年半  2024 年半  占用形成

 非经营性资金占用    资金占用方名称        关联关系        的会计科目    初占用资金  用累计发生金额  占用资金的利  年度偿还累  年度期末占    原因      占用性质

                                                                                余额      (不含利息)    息(如有)    计发生金额  用资金余额

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                -                  -                -                                                                                                -

其他关联方及其附属                                                                                                                                                  -

      企业

    小  计                -                  -                -                                                                                                -

    总  计                -                  -                -                                                                                                -

                                        往来方与上市公司的  上市公司核算  2024 年期  2024 年半年度往  2024 年半年度  2024 年半  2024 年半  往来形成  往来性质(经
 其它关联资金往来    资金往来方名称        关联关系        的会计科目    初往来资金  来累计发生金额  往来资金的利  年度偿还累  年度期末往    原因    营性往来、 非
                                                                                余额      (不含利息)    息(如有)    计发生金额  来资金余额            经营性往来 )

                    湘潭电化集团有限      本公司母公司      其他应收款      2.00          1.38                                      3.38    租金押金    经营性往来
                          公司                                                                                                                      等

控股股东、实际控制  湘潭电化铁路有限  与本公司受同一母公  应收账款/其他    11.89          4.95                          16.84                电费、服    经营性往来
人及其附属企业          公司          司控制的其他企业      应收款                                                                              务费

                    湖南潭州新能源有  与本公司受同一母公    其他应收款      12.21        0.77                          6.89        6.09      服务费    经营性往来
                          限公司        司控制的其他企业


                      湘潭市雨湖区潭州  与本公司受同一母公  应收账款/其他    224.42                                      140.02      84.40    工程款    经营性往来
                      新能源有限公司    司控制的其他企业      应收款

                      湘潭市九华潭州新  与本公司受同一母公  应收账款/其他                    84.15                                      84.15    工程款、    经营性往来
                        能源有限公司      司控制的其他企业      应收款                                                                              保证金

                      靖西潭州新能源有  与本公司受同一母公    应收账款        0.63        397.49                        338.25      59.86    工程款    经营性往来
                          限公司        司控制的其他企业

                      湘乡市潭州新能源  与本公司受同一母公  应收账款/其他    39.28                                        27.49      11.79    工程款    经营性往来
                          有限公司        司控制的其他企业      应收款

                      湘潭县潭州新能源  与本公司受同一母公  应收账款/其他    11.43                                        8.00        3.43      工程款    经营性往来
                          有限公司        司控制的其他企业      应收款

                      湘潭市污水处理有      本公司子公司      其他应收款    2,729.75        1.00            47.50                    2,778.25  日常垫付  非经营性往来
                        限责任公司                                                                                                                  资金

                      湘潭鹤岭污水处理      本公司子公司      其他应收款      35.67        81.94                        92.46      25.15    日常垫付  非经营性往来
                          有限公司                                                                                                                    资金

 上市公司的子公司及  湘潭电化机电工程      本公司子公司      其他应收款                    1,945.76                      1,704.47    241.29    日常垫付  非经营性往来
    其附属企业          有限公司                                                                                                                    资金

                      湘潭立劲新材料有      本公司子公司      其他应收款      1.02          60.49                                      61.51    日常垫付  非经营性往来
                          限公司                                                                                                                    资金

                      广西立劲新材料有      本
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