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首页 公告 渝开发: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

渝开发: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:2025-08-23


                    重庆渝开发股份有限公司

  2025 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:元

                                  上市

                        占用方

                                  公司                                          2025 半年

                        与上市

非经营性资  资金占用方          核算  2025 年期初占用资  2025 半年度占用累计  度占用资  2025 半年度偿还累  2025 半年期末占用  占用形成原

                        公司的                                                                                                                  占用性质
  金占用      名称              的会        金余额      发生金额(不含利息) 金的利息      计发生金额          资金余额          因

                        关联关

                                  计科                                          (如有)

                          系

                                  目

控股股东 、      -        -      -            -                  -              -              -                  -              -        非经营性
实际控制人                                                                                                                                          占用
及其附属企


  小计          -        -      -            -                  -              -              -                  -              -          -

前控股股        -        -      -            -                  -              -              -                  -              -        非经营性
东、实际控                                                                                                                                          占用
制人及其附
属企业


                -        -      -            -                  -              -              -                  -              -          -

  小计

其他关联方      -        -      -            -                  -              -              -                  -              -        非经营性
及其附属企                                                                                                                                          占用



                -        -      -            -                  -              -              -                  -              -          -

  小计

  总计          -        -      -            -                  -              -              -                  -              -          -

                                  上市

                        往来方

                                  公司                                          2025 半年                                                      往来性质
                        与上市

其它关联资  资金往来方          核算  2025 年期初往来资  2025 半年度往来累计  度往来资  2025 半年度偿还累  2025 半年期末往来  往来形成原  (经营性
                        公司的

  金往来      名称              的会        金余额      发生金额(不含利息) 金的利息      计发生金额          资金余额          因      往来、非经
                        关联关

                                  计科                                          (如有)                                                      营性往来)
                          系

                                  目

                                                                                      -                                        石黄隧道经

                              应收    556,739.49      27,765,126.24              27,895,611.57    426,254.16    营权、物管  经营性往
          重庆市城          账款                                                                                    费、会议费、 来

控股股东、 市建设投  母公                                                                                            土地管护

实际控制  资(集团) 司

                              其他                              -              -              -

人及其附  有限公司                                                                                                                经营性往
属企业                        应收    100,000.00                                                    100,000.00    车库保证金  来

                              款

          重庆市城  同受  应收                                              -                                        土地管护    经营性往
          市建设土  母公  账款    569,847.54      2,886,948.43                1,093,363.85    2,363,432.12  费、特约服  来


地发展有  司控                                                                                            务费、物业

限责任公  制                                                                                              服务费

司                其他                                              -                                        保证金、应

                  应收    27,826,365.54    29,673,834.46              47,860,200.00    9,640,000.00  分摊道路成  经营性往
                  款                                                                                      本          来

云南颐天  同受                                                        -                                        案场服务

展宏置业  母公  应收    1,110,525.60      862,029.01                  176,634.07      1,795,920.54  费、车位管  经营性往
发展有限  司控  账款