13.01.2014 Views

2011 - Hong Kong Institute of Accredited Accounting Technicians

2011 - Hong Kong Institute of Accredited Accounting Technicians

2011 - Hong Kong Institute of Accredited Accounting Technicians

SHOW MORE
SHOW LESS

Create successful ePaper yourself

Turn your PDF publications into a flip-book with our unique Google optimized e-Paper software.

Notes to the Financial Statements<br />

財 務 報 表 附 註<br />

For the year ended 30 June <strong>2011</strong><br />

截 至 <strong>2011</strong> 年 6 月 30 日 止 年 度<br />

4. FIXED ASSETS 固 定 資 產<br />

Furniture<br />

and<br />

fixtures<br />

Group and HKIAAT 集 團 及 協 會<br />

<strong>2011</strong> 2010<br />

Computer<br />

and<br />

equipment Total<br />

Furniture<br />

and<br />

fixtures<br />

Computer<br />

and<br />

equipment Total<br />

傢 俬 及 裝 置 電 腦 及 設 備 總 計 傢 俬 及 裝 置 電 腦 及 設 備 總 計<br />

HK$’000<br />

千 港 元<br />

HK$’000<br />

千 港 元<br />

HK$’000<br />

千 港 元<br />

HK$’000<br />

千 港 元<br />

HK$’000<br />

千 港 元<br />

HK$’000<br />

千 港 元<br />

Net book value - at the beginning<br />

<strong>of</strong> the reporting period<br />

於 報 告 期 期 初 的 帳 面 淨 值 9 147 156 17 162 179<br />

Additions 添 置 - 13 13 - 57 57<br />

Disposals 處 置 - - - - (5) (5)<br />

Depreciation 折 舊 (8) (73) (81) (8) (67) (75)<br />

Net book value - at the end <strong>of</strong><br />

the reporting period<br />

於 報 告 期 期 末 的 帳 面 淨 值 1 87 88 9 147 156<br />

At cost 成 本 39 262 301 39 249 288<br />

Accumulated depreciation and<br />

impairment<br />

累 積 折 舊 及 減 值 (38) (175) (213) (30) (102) (132)<br />

1 87 88 9 147 156<br />

<strong>Hong</strong> <strong>Kong</strong> <strong>Institute</strong> <strong>of</strong><br />

<strong>Accredited</strong> <strong>Accounting</strong> <strong>Technicians</strong> Limited<br />

香 港 財 務 會 計 協 會 有 限 公 司<br />

41

Hooray! Your file is uploaded and ready to be published.

Saved successfully!

Ooh no, something went wrong!