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首页 公告 北新路桥: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

北新路桥: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:2022-08-19

北新路桥: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

                  新疆北新路桥集团股份有限公司

    2022 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:元

                                    上市                          2022 年

                          占用方与上 公司              2022 年半年 半年度占2022 年半年度 2022 年半年度

 非经营性 资金占用方名称 市公司的关 核算 2022 年期初占 度占用累计 用资金的偿还累计发生 期末占用资金 占用形 占用性
 资金占用                            的会  用资金余额  发生金额(不                                  成原因  质
                            联关系                                  利息(如    金额        余额

                                    计科                含利息)  有)

                                      目

控股股东、

 实际控制                                                                                                      非经营
 人及其附        -            -      -        -          -        -        -            -        -

                                                                                                                性占用
 属企业

    小计        -            -      -        -          -        -        -            -        -      -

 前控股股        -            -      -        -          -        -        -            -        -    非经营

东、实际控                                                                                                      性占用
 制人及其
 附属企业

  小计          -            -      -        -          -        -        -            -        -      -

 其他关联

 方及其附                                                                                                      非经营
                -            -      -        -          -        -        -            -        -    性占用
 属企业

  小计          -            -      -        -          -        -        -            -        -      -

  总计          -            -      -        -          -        -        -            -        -      -

                                    上市                          2022 年                                  往来性
                          往来方与上 公司              2022 年半年 半年度往2022 年半年度 2022 年半年度          质

 其他关联 资金往来方名称 市公司的关 核算 2022 年期初往 度往来累计 来资金的偿还累计发生 期末往来资金 往来形 (经营
 资金往来                  联关系  的会  来资金余额  发生金额(不利息(如    金额        余额    成原因 性往来、
                                    计科                含利息)  有)                                    非经营
                                      目                                                                      性往来)

控股股东、新疆生产建设兵团建            应收账                                                                        分包工程

 实际控制                      控股股东          25,042,390.95  9,219,282.82    -    1,341,028.12  32,920,645.65          经营性
            设工程(集团)有限责              款                                                                          产品销售


人及其附      任公司

 属企业  新疆生产建设兵团建

                                          其他应

          设工程(集团)有限责  控股股东          28,238,902.36  18,251,008.67    -    25,051,954.04  21,437,956.99 分包工程 经营性
                                            收款

                任公司

          新疆生产建设兵团建

                                          预付账

          设工程(集团)有限责  控股股东          5,270,023.37      -        -    3,538,802.61  1,731,220.76  分包工程 经营性
                                            款

                任公司

          新疆兵团水利水电工  控股股东  应收账

                                                  6,442,662.00    64,190.00    -    6,424,774.00    82,078.00  分包工程 经营性
            程集团有限公司    之子公司    款

          新疆兵团水利水电工  控股股东  预付账

                                                    94,458.54        -        -      53,158.55      41,299.99  分包工程 经营性
            程集团有限公司    之子公司    款

          新疆兵团水利水电工  控股股东  其他应

                                                  3,401,085.77    918,000.13    -    1,239,989.62  3,079,096.28  分包工程 经营性
            程集团有限公司    之子公司  收款

          新疆兵团城建集团有  控股股东  应收账

                                                    919,446.73      915.00      -      361,052.60    559,309.13  分包工程 经营性
                限公司        之子公司    款

          新疆兵团城建集团有  控股股东  预付账

                                                    1,947.12    1,447,900.00    -        -        1,449,847.12  分包工程 经营性
                限公司        之子公司    款

新疆生产建设兵团第

                    控股股东  应收账

五建筑工程有限责任                        2,275.00        -        -        -          2,275.00    产品销售 经营性
                    之子公司    款

      公司

新疆天山玻璃有限责  控股股东  应收账

                                        10,000.00        -        -      10,000.00        -        产品销售 经营性
      任公司        之子公司    款

新疆北新建材工业集  控股股东  其他应

                                        19,999.68        -        -      19,999.68        -        产品销售 经营性
    团有限公司      之子公司  收款

新疆兵团工业设备安  控股股东  应收账

                                        137,195.56        -        -      13,031.75      124,163.81  产品销售 经营性
 装有限责任公司    之子公司    款

新疆北新土木建设工  控股股东  应收账

                                        6,281,788.84      -        -      7,589.00    
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