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怡合达: 关于使用部分闲置募集资金进行现金管理的公告
Zheng Quan Zhi Xing· 2025-08-14 08:19
Core Viewpoint - The company plans to utilize up to RMB 200 million of temporarily idle raised funds for cash management to enhance fund efficiency and ensure the normal operation of investment projects [1][6][7] Group 1: Fundraising and Management - The company raised a net amount of RMB 864,410,023.75 through a specific stock issuance, as verified by an accounting firm [1] - The company has established dedicated accounts for the management of the raised funds, ensuring proper oversight through agreements with banks and sponsors [2] Group 2: Reasons for Idle Funds - Due to the construction timeline of investment projects, there is a temporary surplus of funds that will be managed to improve efficiency [2][5] - Adjustments have been made to the investment amounts based on project priorities, with any shortfalls to be covered by bank loans or self-raised funds [2] Group 3: Cash Management Plan - The company intends to invest the idle funds in low-risk, high-liquidity financial products, with a maximum investment period of 12 months [3][4] - The decision for cash management is valid for 12 months from the board's approval, with the finance department responsible for implementation [4] Group 4: Risk Control Measures - The company will adhere to prudent investment principles, ensuring that selected products are secure and liquid, and will not be pledged [5] - The finance department will monitor the investment products, and the audit department will oversee the use and custody of funds [5] Group 5: Impact on Operations - The cash management of idle funds will not affect the normal operation of investment projects or the use of raised funds, while also generating additional investment returns [5][6] Group 6: Approval Process - Both the board and the supervisory committee have approved the cash management plan, confirming it will not harm the company's or shareholders' interests [6][7]
怡合达: 东莞证券股份有限公司关于东莞怡合达自动化股份有限公司使用部分暂时闲置募集资金进行现金管理的核查意见
Zheng Quan Zhi Xing· 2025-08-14 08:19
东莞证券股份有限公司 关于东莞怡合达自动化股份有限公司 使用部分暂时闲置募集资金进行现金管理的核查意见 东莞证券股份有限公司(以下简称"保荐机构")作为东莞怡合达自动化股 份有限公司(以下简称"怡合达"或"公司")2023 年度向特定对象发行股票 的保荐机构,根据《上市公司募集资金监管规则》《深圳证券交易所创业板股票 上市规则》等相关法律、法规和规范性文件的规定,对怡合达使用部分暂时闲置 募集资金进行现金管理的事项进行了审慎核查,具体情况如下: 一、募集资金的基本情况 经中国证券监督管理委员会出具的《关于同意东莞怡合达自动化股份有限公 司向特定对象发行股票注册的批复》(证监许可〔2024〕804 号)核准,并经深 圳证券交易所同意,东莞怡合达自动化股份有限公司(以下简称"公司")2023 年度向特定对象发行人民币普通股 57,654,792 股,发行价格为 15.09 元/股,募集 资金总额为人民币 870,010,811.28 元,扣除发行费用人民币 5,600,787.53 元(不 含增值税)后,实际募集资金净额为人民币 864,410,023.75 元。立信会计师事务 所(特殊普通合伙)对本次募集资金到 ...