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	<title>離岸公司註冊&#124;Offshore Company Formation/Registration &#187; 做賬</title>
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		<title>香港公司會計審計常用報表</title>
		<link>http://hk.guidemeoffshorecompany.com/?p=60</link>
		<comments>http://hk.guidemeoffshorecompany.com/?p=60#comments</comments>
		<pubDate>Fri, 14 Mar 2014 03:03:09 +0000</pubDate>
		<dc:creator>hkcpa</dc:creator>
				<category><![CDATA[香港公司]]></category>
		<category><![CDATA[做賬]]></category>
		<category><![CDATA[審計]]></category>
		<category><![CDATA[會計師]]></category>

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		<description><![CDATA[​香港公司做賬需要整理財務報表，成立公司後，一定要平常時整理單據確保做賬之用，香港公司會計做賬一年一次，新公司成立後18個月後需要做賬報稅，建議找香港正規的執業會計師來做帳和審計。以下是常用的會計報表： 一、資產負債表    物業, 廠房及設備 Investment properties 投資物業 Intangible assets 無形資產 Property held for development 待發展物業 Investment in subsidiaries 投資子公司 Interests in jointly controlled entities 投資合營公司 Interests in associate 投資聯營公司 Investment in securities (non current assets) 證券投資 Deferred taxation 遞延稅項資產 Sub-total &#8230; <a href="http://hk.guidemeoffshorecompany.com/?p=60">Continue reading <span class="meta-nav">&#8594;</span></a>]]></description>
				<content:encoded><![CDATA[<p>​香港公司做賬需要整理財務報表，<a href="http://www.conpak.com.hk/Hong-Kong-Company-Incorporation.html" target="_blank">成立公司</a>後，一定要平常時整理單據確保做賬之用，香港公司會計做賬一年一次，新公司成立後18個月後需要做賬報稅，建議找香港正規的執業<a title="會計師事務所" href="http://www.conpak.com.hk/" target="_blank">會計師</a>來做帳和審計。以下是常用的會計報表：<strong></strong></p>
<p><strong>一、資產負債表</strong><strong>   </strong></p>
<p>物業, 廠房及設備<br />
Investment properties 投資物業<br />
Intangible assets 無形資產<br />
Property held for development 待發展物業<br />
Investment in subsidiaries 投資子公司<br />
Interests in jointly controlled entities 投資合營公司<br />
Interests in associate 投資聯營公司<br />
Investment in securities (non current assets) 證券投資<br />
Deferred taxation 遞延稅項資產<br />
Sub-total 小計</p>
<p>Current Assets 非流動資產<br />
Inventories of properties 物業存貨<br />
Other inventories 其它存貨<br />
Debtors, deposits and prepayments 應收貿易及其它應收款<br />
Amount due from holding company 應收控股公司<br />
Amount due from fellow subsidiary 應收聯屬公司<br />
Amounts due from subsidiaries 應收子公司<br />
Amounts due from JCE / associates 應收合營公司 / 聯營公司<br />
Amounts due from related companies 應收關連公司<br />
Amounts due from minority shareholders 應收少股東<br />
Amount due from shareholders 應收股東款<br />
Investments in securities (current assets) 證券投資<br />
Prepaid tax 預付稅款<br />
Bank deposits, pledged 銀行存款 (抵押)<br />
Bank balances, deposits and cash 銀行結餘及現金<br />
Sub-total 流動資產小計</p>
<p>Current Liabilities 流動負債<br />
Trade and other payables 應付貿易及其它應收款<br />
Sales deposits received 銷售定金<br />
Amounts due to subsidiaries 應付子公司<br />
Amounts due to immediate holding 應付控股公司<br />
Amounts due to fellow subsidiaries 應付聯屬公司<br />
Amount due to JCE/associates 應付合營公司 / 聯營公司<br />
Amounts due to related companies 應付關連公司<br />
Amount due to shareholders 應付股東款<br />
Amount due to minority shareholders 應付少股東<br />
Bank borrowings, due within one year 銀行借款 (一年內)<br />
Other borrowings, due within one year 其它借款 (一年內)<br />
Income tax payable 應付所得稅<br />
Sub-total 小計</p>
<p>&nbsp;</p>
<p><strong>二、損益表</strong></p>
<p>英文 中文<br />
Turnover 營業收入<br />
Business Tax 主營業務稅金及附<br />
Cost of sales 營業成本<br />
Gross Margin   經營毛利<br />
Other operating income 其它業務收入<br />
Interest Income 利息收入<br />
Gain from investment in securites 投資收益<br />
Change in fair value of investment properties 投資物業公平價值之溢利<br />
Other operating expenses 其它業務支出<br />
Selling expenses 營業費用<br />
Administrative expenses 管理費用<br />
Provision on investment in securities 持有作買賣之投資公平價值之溢利<br />
Finance costs 財務費用<br />
Share of results of jointly controlled entities 應占合營公司業績<br />
Taxation 稅項<br />
Minority interests 少股東損益<br />
This year&#8217;s (profit) loss 本年度利純</p>
<p><strong>三、現金流量表</strong><strong> </strong></p>
<p>英文 中文<br />
Operating activities: 經營活動<br />
Profit before tax 稅前經營溢利<br />
Adjustment:- 調整:-<br />
Share of result of jointly controlled entities 應占共同控制公司業績<br />
Depreciation 折舊<br />
Allowance for doubtful debts （補貼撥回），呆壞帳補貼<br />
Change in fair value of investment properties 投資物業公平價值之溢利<br />
Change in fair value of investments held for trading 持有作買賣之投資之公平價值溢利<br />
interest received 利息收入<br />
Finance costs 財務費用<br />
Impairment loss on goodwill of JCE 共同控制公司之商譽減值損失<br />
Impairment loss on goodwill arising on acquisition of 增持予附屬公司之權益導致商譽減值損失<br />
additional interest in subsidiaries 出售物業、廠房及設備之虧損（收益）<br />
Loss on disposal of PPE 持有作買賣之投資之虧損（收益）<br />
Gain on disposal of jointly controlled entities 出售一間共同控制公司之收益<br />
Write-back of trade payables 應付貿易賬款撥回<br />
未計流動資金變動前之經營業務及現金流量<br />
Increase in inventories of properties 物業存貨之減少（增加）<br />
Increase in other inventories 其它存貨之減少（增加）<br />
Increase in trade and other receivables 應收貿易及其它款項之增<br />
Increase in investments held for trading 持有作買賣之投資的減少（增加）<br />
Increase in trade and other payables 應付貿易及其它賬款之增加（減少）<br />
Increase in sales deposits received 銷售定金之增加（減少）<br />
Cash generated from operation 經營業務產生之現金</p>
<p>&nbsp;</p>
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