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首页 公告 太阳纸业: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

太阳纸业: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:2023-08-26

太阳纸业: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

    山东太阳纸业股份有限公司 2023 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:山东太阳纸业股份有限公司                                                                                                                                          单位 :万元

                                  占用方与上市                              2023 年 1-6 月  2023 年 1-6 月                  2023 年半年度

 非经 营性资金占  资金占用方名称  公司的关联关  上市公司核算  2023 年期初占  占用累计发生  占用资金的利  2023 年 1-6 月偿  期末占用资金        占用形成原因            占用性质

      用                              系        的会计科目    用资金余额  金额(不含利  息(如有)  还累计发生金额      余额

                                                                                  息)

控股股东、实际控                                                                                                                -                                  非经营性占用

制人及其附属企业                                                                                                                -                                  非经营性占用

    小计              -              -            -              -              -            -              -              -                    -                      -

前控股股东、实际                                                                                                                -                                  非经营性占用

控制人及其附属企                                                                                                                -                                  非经营性占用



    小计              -              -            -              -              -            -              -              -                    -                      -

其他关联方及附属                                                                                                                -                                  非经营性占用

企业                                                                                                                            -                                  非经营性占用

    小计              -              -            -              -              -            -              -              -

    总计              -              -            -              -              -            -              -              -                    -                      -

                                  往来方与上市                              2023 年 1-6 月  2023 年 1-6 月

 其他 关联资金往  资金往来方名称  公司的关联关  上市公司核算  2023 年期初往  往来累计发生  往来资金的利  2023 年 1-6 月偿  2023 年期末往        往来形成原因            往来性质

      来                              系        的会计科目    来资金余额  金额(不含利    息(如有)    还累计发生金额  来资金余额

                                                                                  息)

                  山东圣德国际酒  同一母公司    应收账款          69.53          228.93                        273.46          25.00      销售电、蒸汽及纸制品等    经营性往来

                  店有限公司

                                                应收款项融资      565.72        899.37                        1,440.06          25.03      销售电、蒸汽、浆、纸制品  经营性往来

                  万国纸业太阳白  同一母公司                                                                                            及提供综合服务劳务等

                  卡纸有限公司                  应收账款          -0.00        18,461.69                      16,627.54        1,834.15    销售电、蒸汽、浆、纸制品  经营性往来

                                                                                                                                          及提供综合服务劳务等

                                                应收款项融资    5,683.16        821.17                        6,345.55        158.78      销售电、蒸汽、浆、纸制品  经营性往来

                  山东国际纸业太  同一母公司                                                                                            及提供综合服务劳务等

控股股东、实际控  阳纸板有限公司                应收账款          953.21        29,096.25                      27,031.86        3,017.60    销售电、蒸汽、浆、纸制品  经营性往来

制人及其附属企业                                                                                                                          及提供综合服务劳务等

                                                应收款项融资        -          3,067.53                      2,048.48        1,019.05    销售电、蒸汽、浆、纸制品  经营性往来

                  广西太阳纸业纸  同一母公司                                                                                            及提供综合服务劳务等

                  板有限公司                    应收账款        13,023.59      103,614.10                    102,654.34      13,983.35    销售电、蒸汽、浆及提供综  经营性往来

                                                                                                                                          合服务劳务等

                  山东万国太阳食                应收账款          0.00        144,433.84                    124,512.21      19,921.63    销售电、蒸汽、浆及提供综  经营性往来

                  品包装材料有限                                                                                                          合服务劳务等

                  公司            同一母公司    应收款项融资    29,787.26      88,154.96                      86,939.74        31,002.48    销售电、蒸汽、浆、纸制品  经营性往来
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