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首页 公告 新乡化纤:2024年度非经营性资金占用及其他关联资金往来情况汇总表

新乡化纤:2024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:2025-03-28


                                              新乡化纤股份有限公司 2024 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:万元

                                                上市公司核 2024 年期 2024 年度 2024 年度 2024 年度 2024 年期

非经营性  资金占用方名称    占用方与上市公司 算的会计科 初占用资 占用累计发 占用资金 偿还累计 末占用资  占用形成原因  占用性质
资金占用                          的关联关系        目    金余额 生金额(不的利息(如 发生金额 金余额

                                                                    含利息)    有)

控 股 股                                                                                                              非 经 营 性 占
东、实际                                                                                                              用

控制人及

其附属企                                                                                                              非 经 营 性 占
业                                                                                                                      用

小计              -                  -            -                                                          -            -

前控股股                                                                                                              非 经 营 性 占
东、实际                                                                                                              用

控制人及                                                                                                              非 经 营 性 占
其附属企                                                                                                              用



小计              -                  -            -                                                          -            -

其他关联                                                                                                              非 经 营 性 占
方及其附                                                                                                              用

属企业
小计

总计              -                  -            -                                                          -            -

                                                上市公司核 2024 年期 2024 年度 2024 年度 2024 年度 2024 年期                往来性质
其他关联  资金往来方名称    往来方与上市公司 算的会计科 初往来资 往来累计发 往来资金 偿还累计 末往来资  往来形成原因  (经营性往
资金往来                          的关联关系        目    金余额 生金额(不的利息(如 发生金额 金余额                来、 非经营
                                                                    含利息)    有)                                      性往来)

控 股 股新乡白鹭投资集团有限                                                                          销售商品、提

东、实际公司                控股股东          应收账款                76.32            76.32        供劳务或服务  经营性往来

控制人及新乡市华鹭科技有限公控股股东的联营企                                                        销售商品、提

其附属企司                  业                应收账款    266.12    789.59            714.70  341.01供劳务或服务  经营性往来

业      新乡市飞鹭纺织科技有控股股东的联营企                                                        销售商品、提

        限公司              业                应收账款    111.83  1069.37            964.11  217.09供劳务或服务  经营性往来

        新乡白鹭精纺科技有限控股股东控制的法                                                        销售商品、提

        公司                人                应收账款            13,358.42        13,358.42        供劳务或服务  经营性往来

                              控股股东的联营企

        新乡双鹭药业有限公司 业                              8.65    60.60            60.73    8.52

上市公司

的子公司新疆白鹭纤维有限公司 子公司            其他应收款  6,900.00  3,100.00  249.80  249.80 10,000.00借款          非 经 营 性 往
及其附属                                                                                                              来

企业

        中纺院绿色纤维股份公

其他关联司                  联营企业          应收票据      49.00  1737.73          1,456.66  330.07结算应收账款  经营性往来
方及其附中纺院绿色纤维股份公                                                                          销售商品、提

属企业  司                  联营企业          应收账款              1,737.73          1,737.73        供劳务或服务  经营性往来
        天津孚信阳光科技有限                                                                          采购商品、接

        公司                联营企业          预付款项      1.89                        1.89        受劳务或服务  经营性往来

总计              -                  -            -      7,337.49  21,929.76  249.80 18,620.36 10,896.69                    -

本表已于 2025 年 3 月 26 日获董事会批准。

法定代表人:邵长金                    主管会计工作负责人:冯丽萍              会计机构负责人:冯丽萍