联系客服

300103 深市 达刚控股


首页 公告 达刚控股: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

达刚控股: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

公告日期:2022-08-27

达刚控股: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 PDF查看PDF原文

                          达刚控股集团股份有限公司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:人民币元

                                                  占用方与上市公司 上市公司核算的 2022年初占用资金余 2022年半年度占用 2022年半年度占用 2022年半年度偿还 2022年半年度期末占 占用形成

  非经营性资金占用            资金占用方名称          的关联关系      会计科目          额        累计发生金额(不含 资金的利息(如    累计发生金额      用资金余额      原因      占用性质

                                                                                                      利息)          有)

 现大股东及其附属企业                                                                            -                -              -                -                -

        小计                                                                                    -                -              -                -                -

 前大股东及其附属企业                                                                            -                -              -                -                -

        小计                                                                                    -                -              -                -                -

        总计                                                                                    -                -              -                -                -

                                                  往来方与上市公司 上市公司核算的 2022年初往来资金余 2022年半年度往来 2022年半年度往来 2022年半年度偿还 2022年半年度期末往 往来形成

  其他关联资金往来            资金往来方名称          的关联关系      会计科目          额        累计发生金额(不含 资金的利息(如    累计发生金额      来资金余额      原因      往来性质

                                                                                                      利息)          有)

  大股东及其附属企业

                    众德环保科技有限公司            子公司        其他应收款        58,091,252.50  166,900,000.00  1,629,786.33    17,000,000.00    209,621,038.83 往来借款 非经营性往来

                    陕西达刚筑路环保设备有限公司    子公司        其他应收款        21,882,184.03    2,600,000.00    750,666.53    2,034,666.56    23,198,184.00 往来借款 非经营性往来

上市公司的子公司及附属 陕西达刚装备科技有限公司        子公司        其他应收款        88,624,013.96      300,300.00  2,185,771.36    56,854,600.00    34,255,485.32 往来借款 非经营性往来

        企业

                    陕西达刚环境生物科技有限公司    子公司        其他应收款                -        500,000.00      3,750.00                        503,750.00 往来借款 非经营性往来

                    陕西智慧新途工程技术有限公司    子公司        其他应收款            5,954.90        4,118.46                                          10,073.36 往来借款 非经营性往来

                    卫应利                        子公司前董事    其他应收款            16,728.41        9,712.72                                          26,441.13 备用金  经营性往来

                    刘航空                        子公司董事      其他应收款            10,133.00                                        10,133.00              -  备用金  经营性往来

                    张红光                        子公司董事      其他应收款            22,700.00                                                          22,700.00 备用金  经营性往来

                    李金哲                        公司监事        其他应收款            9,200.00                                        4,200.00          5,000.00 备用金  经营性往来

    关联自然人      王玫刚                        公司监事        其他应收款            14,500.00                                                          14,500.00 备用金  经营性往来

                    杨小刚                        子公司监事      其他应收款            27,420.00                                        27,420.00              -  备用金  经营性往来

                    周毅                          子公司董事      其他应收款            60,000.00                                        60,000.00              -  备用金  经营性往来

                    程宇                          子公司董事      其他应收款            8,262.95                                                            8,262.95 备用金  经营性往来

                    郭峰东                        公司高管        其他应收款            2,520.00                                        1,630.00            890.00 备用金  经营性往来

其他关联方及其附属企业 西安鼎达置业有限公司            联营企业        其他应收款          277,650.00                                                          277,650.00 往来款  非经营性往来

                    云南砼建建材有限责任公司        联营企业        其他应收款          558,000.00                                                          558,000.00 往来款  非经营性往来

        总计                                                                      169,610,519.75  170,314,131.18  4,569,974.22    75,992,649.56    268,501,975.59

法定代表人:傅建平                                                  主管会计工作的负责人:车万辉                                      会计机构负责人:  张永生

[点击查看PDF原文]