Page 94 - Annual Report
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HONG KONG ACADEMY OF MEDICINE
                           科
                             學
                   港
                         專
                               院
                     醫
                       學
                 香 香港醫學專科學院
                 NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
                 FOR THE YEAR ENDED 31 DECEMBER 2022




                 15.  ACCRUALS AND OTHER PAYABLES (Continued)

                      All accruals and other payables are expected to be settled within one year or are repayable
                      on demand.


                 16.  RESERVE AND FUNDS

                      Movements in components of reserve and funds

                      The  reconciliation  between  the  opening  and  closing  balances  of  each  component  of  the
                      Group’s consolidated reserve and funds is set out in the consolidated statement of changes in
                      reserve and funds. Details of the changes in the Academy’s individual components of reserve
                      and funds between the beginning and the end of the year are set out below:

                      The Academy

                                                                Fair value       General
                                                                  reserve           fund           Total
                                                                     HK$            HK$             HK$

                      At 1 January 2021                        (1,229,270)     92,495,096     91,265,826

                      Deficit for the year                              -     (6,997,476)     (6,997,476)
                      Other comprehensive loss
                      Investments in equity instruments
                       designated at fair value through other
                       comprehensive income:
                          Changes in fair value                  (544,768)             -        (544,768)

                      Total comprehensive loss for the year      (544,768)     (6,997,476)     (7,542,244)

                      At 31 December 2021 and 1 January 2022   (1,774,038)     85,497,620     83,723,582

                      Deficit for the year                              -     (9,385,043)     (9,385,043)
                      Other comprehensive income
                      Investments in equity instruments
                       designated at fair value through other
                       comprehensive income:
                          Changes in fair value                  (451,038)             -        (451,038)

                      Total comprehensive loss for the year      (451,038)     (9,385,043)     (9,836,081)

                      At 31 December 2022                      (2,225,076)     76,112,577     73,887,501

                       Fair value reserve comprises the cumulative net change in the fair value of equity instruments
                      designated at FVTOCI held at the end of the reporting period and is dealt with in accordance
                      with the accounting policy in note 3(h). Funds received are accounted for in the Foundation
                      fund which is used exclusively for the establishment and use of the Academy at such time as
                      the Academy shall direct. General fund represents the cumulative surplus of the Academy.




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