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首页 公告 600966:非经营性资金占用及其他关联资金往来情况

600966:非经营性资金占用及其他关联资金往来情况

公告日期:2022-04-16

600966:非经营性资金占用及其他关联资金往来情况 PDF查看PDF原文

        关于山东博汇纸业股份有限公司

    非经营性资金占用及其他关联资金往来情况

            汇总表的专项审计报告

目 录
1、 专项审计报告
2、 附表
委托单位:山东博汇纸业股份有限公司
审计单位:中汇会计师事务所(特殊普通合伙)
联系电话:

附表 2

              上市公司 2021 年度非经营性资金占用及其他关联资金往来情况表

                                                                                                                金额单位:人民币万元

                                                                        2021 年度  2021 年度

                    资金占用方  占用方与上市  上市公司核  2021 年期  占用累计  占用资金  2021 年度  2021 年期  占用形

  非经营性资金占用      名称      公司的关联关  算的会计科  初占用资  发生金额  的利息  偿还累计  末占用资  成原因  占用性质
                                      系          目      金余额    (不含利    (如有)  发生金额  金余额

                                                                          息)

  现控股股东及其他                                                                                                          非经营性
  关联方                                                                                                                    占用

        小计            /            /            /                                                              /        /

  前控股股东及其他                                                                                                          非经营性
  关联方                                                                                                                    占用

        小计            /            /            /                                                              /        /

        总计            /            /            /                                                              /        /

                                                                        2021 年度  2021 年度

                    资金往来方  往来方与上市  上市公司核  2021 年期  往来累计  往来资金  2021 年度  2021 年期  往来形

  其他关联资金往来      名称      公司的关系  算的会计科  初往来资  发生金额  的利息  偿还累计  末往来资  成原因  往来性质
                                                    目      金余额  (不含利  (如有)  发生金额  金余额

                                                                          息)

  大股东及其附属企  汶瑞机械(山  同受实际控制  预付款项            -      38.49          -      16.89      21.60  购买备  经营性往
  业                东)有限公司  人控制                                                                              件      来

  上市公司的子公司  淄博华汇纸业  全资子公司    其他应收款        1.20    6,860.37          -          -    6,861.57  代垫款  非经营性
  及其附属企业      有限公司                                                                                          项      往来

  关联自然人                                                                                                                非经营性
                                                                                                                            往来

  其他关联方及其附                                                                                                          非经营性
  属企业                                                                                                                    往来

        总计            /            /            /            1.20    6,898.86          -      16.89    6,883.17    /        /

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