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首页 公告 深圳瑞捷: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

深圳瑞捷: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:2022-08-26

深圳瑞捷: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

                            深圳瑞捷工程咨询股份有限公司

            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

    编制单位:深圳瑞捷工程咨询股份有限公司                                                                          金额单位:人民币万元

                                      占用方与上市公 上 市 公 司 核 2022 年期初占 2022 年半年度占用累 2022 年半年度 2022 年半年度 2022 年半年度 占用形成

非经营性资金占用      资金占用方名称 司的关联关系  算 的 会 计 科  用资金余额  计发生金额(不含利  占用资金的利 偿还累计发生  期末占用资金 原因      占用性质
                                                      目                                        息)      息(如有)        金额          余额

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

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

总  计                              -              -          -          -                  -            -            -            -        -      -

                                      往来方与上市公 上 市 公 司 核 2022 年期初往 2022 年半年度往来累 2022 年半年度 2022 年半年度 2022 年半年度 往来形成

其它关联资金往来      资金往来方名称 司的关联关系  算 的 会 计 科  来资金余额  计发生金额(不含利  往来资金的利 偿还累计发生  期末往来资金 原因      往来性质
                                                      目                                        息)      息(如有)        金额          余额

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

                      -              -              -                      -                  -            -            -            -        -      -

                      深圳瑞生工程研 子公司        其他应收款      1,455.59            1,217.61            -      2,100.00        573.20 资金拆借  非经营性
                      究院有限公司

                      深圳瑞诚工程科 子公司        其他应收款        -6.44                                -          4.03      1,436.71 资金拆借  非经营性
上市公司的子公司及其附技有限公司                                                          1,447.18

属企业                武汉瑞云捷工程 子公司        其他应收款        777.25                                            14.78      3,330.17            非经营性
                      技术有限公司                                                        2,567.70                                            资金拆借

                      武汉中科华建工 子公司        其他应收款                                                -        -5.16        141.14 资金拆借  非经营性
                      程管理有限公司                                                        135.98

关联自然人及其控制的 -              -              -                      -                  -            -            -            - -          非经营性

法人                  -              -              -                      -                  -            -            -            - -          非经营性

其他关联人及其附属企 -              -              -                      -                  -            -            -            - -          非经营性


总  计                                                                2,226.40            5,368.47            -      2,113.65      5,481.22

    法定代表人:黄新华                              主管会计工作负责人:张剑辉                                  会计机构负责人:黄晟

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