Page 58 - Hospital Authority Annual Report 2019-2020
P. 58

CONSOLIDATED BALANCE SHEET

          綜合資產負債表


                                                                           At 31 March 2020  At 31 March 2019
                                                                 Note             HK$’000          HK$’000
                                                                 附註        2020年3月31日        2019年3月31日
                                                                                 港幣千元              港幣千元
          Non-Current Assets 非流動資產
            Property, plant and equipment 物業、機器及設備                5              6,600,193        6,268,081
            Intangible assets 無形資產                                6               306,646           239,308
            Right-of-use assets 使用權資產                             7               195,391                -
            Loans receivable 應收債款                                 8                  122               359
            Placements with the Exchange Fund 外匯基金存款              9             21,000,000        23,300,000
            Fixed income instruments 固定入息工具                       10                   -            799,552
                                                                                28,102,352        30,607,300
          Current Assets 流動資產
            Inventories 存貨                                         11            1,714,742        1,377,317
            Loans receivable 應收債款                                 8                  237               568
            Accounts receivable 應收賬款                              12              344,716           296,251
            Other receivables 其他應收賬款                              13              629,386           268,545
            Deposits and prepayments 按金及預付款項                      14              327,145           297,576
            Placements with the Exchange Fund 外匯基金存款              9              8,904,039        2,290,326
            Fixed income instruments 固定入息工具                       10             1,899,257               -
            Cash and bank balances 現金及銀行結餘                        15            20,241,167        19,271,625
                                                                                34,060,689        23,802,208
          Total Assets 總資產                                                      62,163,041        54,409,508
          Funds 基金
            Designated fund 指定基金                                  16             5,077,369        5,077,369
            Revenue reserve 收入儲備                                                 6,671,496        2,905,927
          Total Funds 基金總額                                                      11,748,865        7,983,296

          Current Liabilities 流動負債
            Balance with Samaritan Fund 撒瑪利亞基金結餘                  17              273,201            84,029
            Creditors and accrued charges 債權人及應付費用                18            16,897,763        12,820,362
            Deposits received 已收按金                                19              393,716           391,523
            Lease liabilities 租賃負債                                7                98,286                -
                                                                                17,662,966        13,295,914
          Non-Current Liabilities 非流動負債
            Balance with Samaritan Fund 撒瑪利亞基金結餘                  17             6,000,000        6,000,000
            Death and disability liabilities 死亡及傷殘福利責任            20              307,420           273,483
            Deferred income 遞延收益                                  21             9,436,133        10,349,426
            Deferred income – capital subventions and capital donations   22     6,906,839        6,507,389
            遞延收益 — 資本補助及資本捐贈
            Lease liabilities 租賃負債                                7               100,818                -
            Public-Private Partnership Endowment Fund 公私營協作留本基金   23            10,000,000        10,000,000
                                                                                32,751,210        33,130,298
          Total Liabilities 總負債                                                 50,414,176        46,426,212
          Total Funds and Total Liabilities 基金及負債總額                             62,163,041        54,409,508









         Mr Philip TSAI Wing-chung, BBS, JP蔡永忠先生               Dr Tony KO Pat-sing 高拔陞醫生
         Chairman, Finance Committee                           Chief Executive
         財務委員會主席                                               行政總裁
          The notes on pages 62 to 121 are an integral part of these consolidated   第 62 至 121 頁的附註是本綜合財務報表的一部分。
          financial statements.

      56  Hospital Authority Annual Report  醫院管理局年報 2019-2020
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