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首页 公告 易成新能:2024年非经营性资金占用及其他关联资金往来情况汇总表

易成新能:2024年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:2025-03-22


                      河南易成新能源股份有限公司

          2024 年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

                                                                              2024 年期 2024 年度占 2024 年度 2024 年度偿 2024 年期

非经营性资          资金占用方名称          占用方与上市公司的 上市公司核算的 初占用资 用累计发生 占用资金 还累计发生 末占用资    占用形成原因      占用性质

  金占用                                          关联关系        会计科目    金余额  金额(不含 的利息    金额    金余额

                                                                                          利息)  (如有)

控股股东、

实际控制人                                -                -            -        -          -        -          -        -                -            -
及其附属企


  小计                                    -                -            -        -          -        -          -        -                -            -

 前控股股

 东、实际控                                  -                -            -        -          -        -          -        -                -            -
 制人及其附

  属企业

  小计                                    -                -            -        -          -        -          -        -                -            -

 其他关联方                                  -                -            -        -          -        -          -        -                -            -
 及附属企业

  小计                                    -                -            -        -          -        -          -        -                -            -

  总计                                    -                -            -        -          -        -          -        -                -            -

                                                                              2024 年期 2024 年度往 2024 年度 2024 年度偿 2024 年期                      往来性质

其它关联资          资金往来方名称          往来方与上市公司的 上市公司核算的 初往来资 来累计发生 往来资金 还累计发生 末往来资    往来形成原因  (经营性往来、
  金往来                                          关联关系        会计科目    金余额  金额(不含 的利息    金额    金余额                    非经营性往来)
                                                                                          利息)  (如有)


                                                                                                                                根据公司与盈利承诺

                                                                                                                                补偿义务人中国平煤

                                                                                                                                神马集团签订的《业

                                                                                                                                绩承诺补偿协议》,

                                                                                                                                2023 年标的公司开封

                                                                              114,749.4                                        平煤新型炭材料科技

            中国平煤神马控股集团有限公司        控股股东      其他流动资产        5                    114,749.45          有限公司(以下简称  经营性往来
                                                                                                                                开封炭素)未完成业

                                                                                                                                绩承诺,本公司 2023

                                                                                                                                年确认业绩补偿金额

                                                                                                                                91,272.88 万元,2024

控股股东、                                                                                                                      年 6 月已完成业绩承

实际控制人                                                                                                                          诺补偿事宜。

及其附属企                                  实际控制人直接控制

  业      平顶山神马工程塑料有限责任公司                      应收款项融资  3,950.00                      3,950.00              销售业务      经营性往来
                                                  的法人

              平顶山天安煤业股份有限公司    实际控制人直接控制 应收款项融资  3,600.00                      3,600.00              销售业务      经营性往来
                                                  的法人

                河南天通电力有限公司      实际控制人直接控制 应收款项融资            1,181.77                    1,181.77    销售业务      经营性往来
                                                  的法人

          中国平煤神马控股集团有限公司招标采 实际控制人直接控制 应收款项融资            7,650.00                    7,650.00    销售业务      经营性往来
                        购中心                    的法人

              河南中鸿集团煤化有限公司    实际控制人直接控制 应收款项融资    192.71                        192.71              销售业务      经营性往来
                                                  的法人

            平煤神马机械装备集团有限公司  实际控制人直接控制 应收款项融资    80.00                          80.00              销售业务      经营性往来