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地產代理監管局

2015/16

年年報

財務報表

Financial Statements

104

資本

項目基金

Capital

Notes

港元

HK$

累積儲備

Cumulative

fund

港元

HK$

總計

Total

港元

HK$

2014

4

1

At 1 April 2014

95,474,863 48,014,987 143,489,850

年內盈餘

Surplus for the year

9,752,890

9,752,890

轉撥至資本項目基金

Transfer to capital project fund

8,758,307

(8,758,307)

2015

3

31

日及

2015

4

1

At 31 March 2015 and

1 April 2015

104,233,170 49,009,570 153,242,740

年內盈餘

Surplus for the year

9,944,684

9,944,684

轉撥至資本項目基金

Transfer to capital project fund

7,652,620

(7,652,620)

2016

3

31

At 31 March 2016

111,885,790 51,301,634 163,187,424

資本項目基金為用以支付發展經地產代

理監管局

(

以下簡稱「監管局」

)

核准的資

本項目成本。監管局每年會酌情自累積

儲備中轉撥款項至資本項目基金,或由

資本項目基金轉撥款項至累積儲備。

2016

3

31

日,資本項目基金結

餘包括預留作日後可能購置永久辦公

室 的 款 項

105,700,790

港 元(

2015

年:

98,048,170

港元)。

儲備變動表

截至

2016

3

31

日止年度

Statement of Movements in Reserves

For the year ended 31 March 2016

Capital project fund caters for the cost of capital projects, as

approved by Estate Agents Authority ("EAA"). Transfers will be

made from the cumulative fund to the capital project fund or

from the capital project fund to the cumulative fund at the

discretion of EAA.

Capital project fund balance at 31 March 2016 included an

amount of HK$105,700,790 (2015: HK$98,048,170) which

represents funds for the possible acquisition of permanent office

accommodation in future.