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首页 公告 ST八菱:上市公司2022年非经营性资金占用及其他关联资金往来情况汇总表

ST八菱:上市公司2022年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:2023-04-26

ST八菱:上市公司2022年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

          上市公司 2022 年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:南宁八菱科技股份有限公司                                                                                                              单位:人民币万元

                                      上市公              2022 年占  2022

                          占用方与上  司  2022 年期初  用累计发  年占用  2022 年偿  2022 年 12

 非经营性  资金占用方名  市公司的关 核算的  占用资金余    生金额    资金的  还累计发  月31日占用                    占用形成                    占用性质
 资金占用        称        联关系  会计科      额      ( 不 含 利  利息    生金额    资金余额                      原因

                                        目                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        -            -        -                                                                                                                -

                                                                                                        2019 年 10 月 28 日、10 月 29 日,公司控股子公司

                                                                                                        北京弘润天源基因生物技术有限公司(以下简称北

                                                                                                        京弘天)原法定代表人、董事长兼总经理王安祥违

                                                                                                        反规定程序,擅自安排北京弘天原全资子公司海南

                                      其他                                                            弘润天源基因生物技术有限公司(以下简称海南弘

 其他关联                                                                                              天)与广州银行珠江支行分别签订 2 份《存单质押  非经营性占
 方及其附      王安祥        其他    应收    46,600.00      0.00                0.00        0.00  合同》,将海南弘天存于广州银行中大支行的金额  用

  属企业                                款

                                                                                                        为 1.46 亿元和 1.5 亿元 2 张定期存单质押给了广

                                                                                                        州银行珠江支行,为其利益相关方指定的阜新久宝

                                                                                                        能源有限公司与广州银行珠江支行签订的 2 份《银

                                                                                                        行承兑协议》约定的债务提供质押担保。2020 年 1

                                                                                                        月 8 日,王安祥再次安排海南弘天与广发银行重庆


                                                                                            分行签订《权利质押合同》,以同样的方式将海南

                                                                                            弘天存于广发银行重庆分行的金额为1.7 亿元的定

                                                                                            期存单质押给广发银行重庆分行,为其利益相关方

                                                                                            指定的阜港能源科技有限公司与广发银行重庆分

                                                                                            行所签订的《承兑合同》约定的债务提供担保。上

                                                                                            述担保未经公司审议程序,构成违规担保,担保金

                                                                                            额合计 4.66 亿元,导致公司股票自 2020 年 7 月 2

                                                                                            日开市起被实行其他风险警示(ST)。因期限届满,

                                                                                            王安祥未能安排资金解除质押,债务人未按期清偿

                                                                                            银行债务,导致海南弘天质押给广发银行重庆分行

                                                                                            的 1.7 亿元已于 2020 年 7 月 8 日被质权人直接划

                                                                                            走抵偿债务,质押给广州银行珠江支行的 1.46 亿

                                                                                            元和 1.5 亿元也分别于 2020 年 10 月 28 日、2020

                                                                                            年 10 月 29 日被质权人直接划走抵偿债务,实际上

                                                                                            构成了王安祥非经营性占用海南弘天资金 4.66 亿

                                                                                            元。

                                                                                            2019 年 12 月至 2020 年 1 月,北京弘天向王安祥的

 北京安杰玛商              其他                                                            关联方北京安杰玛商贸有限公司(以下简称安杰玛

贸有限公司(王    其他    应收    3,280.02      0.00                0.00    3,280.02  商贸)支付未实际发生采购业务的预付款 3,280.40  非经营性占
                                                                                                                                       
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