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科汇股份: 关于开立募集资金理财产品专用结算账户的公告

Core Viewpoint - The company has approved the use of temporarily idle raised funds for cash management, ensuring that it does not affect normal operations or investment projects [2][3]. Group 1: Fund Management - The company will use a maximum of RMB 70 million of temporarily idle raised funds for cash management, focusing on high-security, capital-preserving, and liquid products [2]. - A dedicated settlement account for purchasing financial products has been opened at CITIC Bank, specifically for managing these idle funds [2]. Group 2: Risk Control Measures - The company will adhere to relevant regulations and internal policies to ensure the safety of the funds used for investment in capital-preserving financial products [3]. - Regular reports on investment status will be provided to the board, and any adverse factors will prompt immediate risk control measures [3]. Group 3: Impact on the Company - The management of idle raised funds will not affect the company's daily cash flow or the normal operation of investment projects, nor will it harm the interests of shareholders, especially minority shareholders [3]. - This strategy aims to enhance the efficiency of fund usage and increase returns for the company and its shareholders [3].