联系客服

002978 深市 安宁股份


首页 公告 安宁股份:2023年度非经营性资金占用及其他关联资金往来情况汇总表

安宁股份:2023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:2024-04-18

安宁股份:2023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
附件

                                                    2023年度非经营性资金占用及其他关联资金往来情况汇总表

上市公司名称:四川安宁铁钛股份有限公司                                                                                                                                                        单位:元

                                                                    占用方与上市公司的关  上市公司核算  2023年期初占用资 2023年度占用累  2023年度占用 2023年度偿还累  2023年期末占用

          非经营性资金占用                  资金占用方名称                联关系          的会计科目        金余额      计发生金额(不  资金的利息    计发生金额      资金余额      占用形成原因      占用性质
                                                                                                                              含利息)      (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

                总计

                                                                    往来方与上市公司的关  上市公司核算  2023年期初往来资 2023年度往来累  2023年度往来 2023年度偿还累  2023年期末往来

          其他关联资金往来                  资金往来方名称                联关系          的会计科目        金余额      计发生金额(不  资金的利息    计发生金额      资金余额      往来形成原因      往来性质

                                                                                                                              含利息)      (如有)

控股股东、实际控制人及其附属企业

                小计

                                      攀枝花安宁矿业有限公司              全资子公司        应收账款      22,673,013.38    66,392,131.89                  18,369,074.81    70,696,070.46 销售材料、代垫费用  经营性往来

                                      攀枝花安宁新能源科技有限公司        控股子公司        应收账款                -        234,938.20                                    234,938.20      销售材料        经营性往来

                                      攀枝花安宁新能源科技有限公司        控股子公司        其他应收款                      250,000,000.00                  60,000,000.00  190,000,000.00      周转金        非经营性往来

                                      攀枝花安宁矿业有限公司              全资子公司        其他应收款        6,231,327.77    22,591,785.64                  10,060,677.38    18,762,436.03  周转金、代垫费用    非经营性往来

                                      米易嘉园物业管理有限公司            全资子公司        其他应收款                        3,000,000.00                                  3,000,000.00      周转金        非经营性往来

上市公司的子公司及其附属企业          成都安宁铁钛技术发展有限公司        全资子公司        其他应收款                        1,000,000.00                                  1,000,000.00      周转金        非经营性往来

                                      攀枝花安宁钛材科技有限公司          控股子公司        其他应收款    115,893,803.87  188,426,711.56                309,000,000.00    -4,679,484.57  代垫费用、周转金    非经营性往来

                                      攀枝花安宁矿业有限公司              全资子公司        应付账款      122,505,906.93  441,429,286.08                328,478,574.58  235,456,618.43  购买原矿和材料    经营性往来

                                      攀枝花安宁新能源科技有限公司        控股子公司        应付账款                            46,891.13                                    46,891.13      购买材料        经营性往来

                                      成都安宁铁钛技术发展有限公司        全资子公司        其他应付款                          51,789.71                                    51,789.71      代垫费用        非经营性往来

                                      攀枝花安宁贸易有限公司              全资子公司        其他应付款        9,073,293.83                                    860,000.00    8,213,293.83  代垫费用、周转金    非经营性往来

                小计                                                                                        276,377,345.78  973,173,534.21                726,768,326.77  522,782,553.22

                                      攀枝花东方钛业有限公司              联营企业          应收账款      22,085,817.52  273,289,236.67                240,664,777.41    54,710,276.78      销售产品        经营性往来

                                      攀枝花东方钛业有限公司              联营企业          应付账款          837,413.09        68,365.45                    904,945.13          833.41      购买产品        经营性往来

                                      曾成华                            本公司副总经理      其他应付款          6,253.79      588,000.00                      6,253.79      588,000.00      保证金        经营性往来

其他关联人及其附属企业                严明晴                          本公司董事、总经理    其他应付款                          389,182.00                                    389,182.00      保证金        经营性往来

                                      张宇                          本公司董事、副总经理  其他应付款                            9,400.00                                      9,400.00  尚未支付的费用    经营性往来

                                      向浩                                本公司监事        其他应付款                            2,584.53                                      2,584.53  尚未支付的费用    经营性往来

                                      蔡昀轩                              本公司监事        其他应付款                            575.00                                        575.00  尚未支付的费用    经营性往来

                小计                                                                                        22,929,484.40  274,347,343.65                241,575,976.33    55,700,851.72

                总计                    
[点击查看PDF原文]