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金通灵:关于2021年年度报告及相关材料的补充更正公告

公告日期:2022-04-27

金通灵:关于2021年年度报告及相关材料的补充更正公告 PDF查看PDF原文

    证券代码:300091          证券简称:金通灵        公告编号:2022-036

                  金通灵科技集团股份有限公司

        关于 2021 年年度报告及相关材料的补充更正公告

        本公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有虚假

    记载、误导性陈述或重大遗漏。

        金通灵科技集团股份有限公司(以下简称“公司”)于 2022 年 4 月 26 日在

    巨潮资讯网(www.cninfo.com.cn)披露了《2021 年年度报告》《2021 年年度审

    计报告》《控股股东及其他关联方资金占用情况专项说明》。经事后核查发现,

    因工作人员疏忽,公司《2021 年度报告》存在部分内容的填报差错,《2021 年

    年度审计报告》《控股股东及其他关联方占用情况专项说明》需补充披露相关财

    务报表内容。现对上述报告(说明)内容进行补充更正。以下补充更正不会对公

    司 2021 年度财务状况和经营成果造成影响。具体补充更正情况如下:

        一、《2021 年年度报告》全文“第九节 债券相关情况”

        更正前:

    4、募集资金使用情况

                                                                                          单位:元

                                                                                          是否与募集说
                募集资金    已使用      未使用    募集资金专项账户运  募集资金违规  明书承诺的用
 债券项目名称    总金额      金额        金额        作情况(如有)    使用的整改情  途、使用计划
                                                                            况(如有)    及其他约定一
                                                                                                致

中天钢铁绿色精                                        公司在苏州银行股份

品钢余热利用热                                        有限公司南通分行建

电联产-焦化余    5,029.92    5,029.92        0.00  立了募集资金专项账      不适用          是

热发电工程 EPC                                      户,用于公司债券募集

项目                                                  资金的接收、存储、划

                                                      转与本息偿付。

                                                      公司在苏州银行股份

                                                      有限公司南通分行建

                                                      立了募集资金专项账

如皋大型工业鼓                                        户,用于公司债券募集

风机新建项目      2,155.68    2,123.90        31.78  资金的接收、存储、划    不适用          是

                                                      转与本息偿付。截至

                                                      2021 年 12 月 31 日,公

                                                      司剩余募集资金净额


        更正后:

    4、募集资金使用情况

                                                                                          单位:元

                                                                                          是否与募集说
 债券项目      募集资金          已使用        未使用    募集资金专项  募集资金违规  明书承诺的用
  名称          总金额            金额          金额      账户运作情况  使用的整改情  途、使用计划
                                                              (如有)      况(如有)    及其他约定一
                                                                                                致

                                                            公司在苏州银

中天钢铁绿                                                  行股份有限公

色精品钢余                                                  司南通分行建

热利用热电                                                  立了募集资金

联产-焦化    50,299,200.00    50,299,200.00        0.00  专项账户,用      不适用          是

余热发电工                                                  于公司债券募

程 EPC 项                                                  集资金的接

目                                                          收、存储、划

                                                            转与本息偿

                                                            付。

                                                            公司在苏州银

                                                            行股份有限公

                                                            司南通分行建

                                                            立了募集资金

                                                            专项账户,用

                                                            于公司债券募

如皋大型工                                                    集资金的接

业鼓风机新    21,556,800.00    21,239,000.00  317,800.00  收、存储、划    不适用          是

建项目                                                        转与本息偿

                                                                付。截至

                                                              2021 年 12 月

                                                            31 日,公司剩

                                                            余募集资金净

                                                            额 32.84 万元

                                                            (含账户利息

                                                                收入)。

        二、《控股股东及其他关联方资金占用情况的专项说明》中补充“2021 年

    度非经营性资金占用及其他关联资金往来情况汇总表”,详见下表:


                                                                2021年度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:金通灵科技集团股份有限公司                                                                                                                                                                                                                                      单位:万元

  非经营性                                                                        占用方与上市公司    上市公司核算的 2021年期初占  2021年度占用  2021年度占用 2021年度偿还累 2021年期末占

  资金占用                          资金占用方名称                              的关联关系            会计科目      用资金余
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