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神驰机电股份有限公司关于使用部分闲置募集资金进行现金管理到期赎回的公告

Core Points - The company’s board of directors confirmed the accuracy and completeness of the announcement, ensuring no false statements or omissions exist [1] - The company approved a proposal to use idle raised funds for cash management, allowing up to RMB 250 million within 12 months for purchasing safe, liquid, and capital-preserving financial products [1] - The company redeemed a large certificate of deposit worth RMB 160 million from Chongqing Rural Commercial Bank, realizing a profit of RMB 160,400 [1] Summary of Cash Management - The company plans to use idle raised funds for cash management, with a maximum limit of RMB 250 million [1] - The cash management strategy includes purchasing high-security, high-liquidity, and capital-preserving financial products [1] - The company has successfully redeemed a large deposit product, recovering the principal amount and generating a small profit [1]