Page 79 - Annual Report
P. 79

HONG KONG ACADEMY OF MEDICINE
                 香 香港醫學專科學院
                              院
                       學
                            學
                   港
                           科
                         專
                     醫
                 CONSOLIDATED STATEMENT OF FINANCIAL POSITION
                 AT 31 DECEMBER 2024



                                                                    Note            2024             2023
                                                                                     HK$             HK$

                 Non-current assets
                   Property, plant and equipment                     9         12,016,205       13,612,382
                   Investments in equity instruments designated
                       at fair value through other comprehensive income   11    5,891,406        4,261,842
                                                                               17,907,611       17,874,224
                 Current assets
                   Inventories - general merchandise                              344,344         389,367
                   Prepayments, deposits and other receivables       12        10,844,677        9,378,447
                   Time deposits with original maturity over three months   13      31,706,871     58,790,707
                   Cash and cash equivalents                         13        78,515,323       29,034,267
                                                                              121,411,215       97,592,788
                 Current liabilities
                   Deferred income                                   15        (28,680,031)     (3,223,902)
                   Accruals and other payables                       14        (11,515,647)    (10,981,738)
                                                                               (40,195,678)    (14,205,640)

                 Net current assets                                            81,215,537       83,387,148

                 Non-current liabilities
                   Deferred income                                   15         (1,256,001)     (1,876,632)

                 Net assets                                                    97,867,147       99,384,740

                 Reserve and funds                                   16
                   Fair value reserve                                            (816,672)      (2,446,236)
                   Foundation fund                                             37,936,231       37,936,231
                   General fund                                                60,747,588       63,894,745

                                                                               97,867,147       99,384,740


                 Approved and authorised for issue by the Council on 17 July 2025.


                 On behalf of the Council







                 Prof. Philip Kam-tao Li                            Prof. Eric Wai-choi Tse
                 President                                          Honorary Treasurer



                 The accompanying notes form an integral part of these consolidated financial statements.




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                                                                                         香港醫學專科學院 2025 年度報告
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