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福建南方路面机械股份有限公司 关于使用闲置募集资金进行现金管理

Group 1 - The company redeemed a cash management product worth RMB 32 million on July 10, 2025, and earned a profit of RMB 128,876.71 [1] - The board of directors approved the use of idle raised funds for cash management, allowing up to RMB 450 million for this purpose [1] - As of July 10, 2025, the remaining cash management quota of idle raised funds is RMB 43.15 million [2] Group 2 - The company has not experienced any overdue recoveries from the cash management products purchased [2] - The decision to use idle funds was made during the board and supervisory meetings held on April 23, 2024 [1]