Malaysia legislation

Section 2

of SIJIL KETUA AUDIT NEGARA

Seksyen 2

1 Perbelanjaan Pentadbiran–RM212,613

Sejumlah RM52,965 daripada Perbelanjaan Pentadbiran berjumlah RM212,613

adalah merupakan perbelanjaan modal yang sepatutnya diambil kira sebagai Hartanah, Loji dan Peralatan di Lembaran Imbangan. Pihak pengurusan telah mengambil kira jumlah ini sebagai belanja pembaikan bangunan dan dikenakan ke Penyata Pendapatan bagi tahun berakhir 31

Disember 2008. Amalan ini menyebabkan jumlah Lebihan Pendapatan bagi tahun 2008 dan Nilai Buku Hartanah, Loji Dan Peralatan pada akhir tahun 2008 masing-masing terkurang dicatat.

4hb Mac 2010]

537

Langkah-langkah pembetulan yang sewajarnya hendaklah diambil oleh pihak pengurusan Kumpulan Wang Selangor King George V Silver

Jubilee untuk meningkatkan akauntabiliti awam.

SHAH ALAM

LIM SOK KIANG

Bertarikh 28 Ogos 2009

b.p. Ketua Audit Negara

Malaysia

PENGAKUAN OLEH PEGAWAI UTAMA

YANG BERTANGGUNGJAWAB KE ATAS PENGURUSAN KEWANGAN TABUNG

KUMPULAN WANG SELANGOR KING GEORGE V SILVER JUBILEE

Saya, Dato’ Yong Seng Yeow, pegawai utama yang bertanggungjawab ke atas pengurusan kewangan dan rekod-rekod perakaunan Tabung Kumpulan Wang

Selangor King George V Silver Jubilee, dengan seikhlasnya dan sesungguhnya mengaku bahawa Lembaran Imbangan, Penyata Pendapatan, Penyata Perubahan

Ekuiti dan Penyata Aliran Tunai yang berikut ini berserta dengan nota-nota kepada Penyata Kewangan di dalamnya, pada pendapat saya, adalah tepat dan saya membuat pengakuan benar ini sesungguhnya dengan penuh kepercayaan akan kebenarannya, dan menurut peruntukan Akta Pengakuan Berkanun 1960.

Sebenarnya dan sesungguhnya diakui oleh penama di atas di Kuala Lumpur pada 30 Mac 2009

Di hadapan saya,

DATO’ YONG SENG YEOW

Pesuruhjaya Sumpah

Malaysia

KENYATAAN OLEH LEMBAGA PEMEGANG AMANAH

Kami, Cik Teresa Kok Suh Sim dan Dato’ Yong Seng Yeow, yang merupakan

Pengerusi dan Lembaga Pemegang Amanah, Lembaga Tabung Kumpulan

Wang Selangor King George V Silver Jubilee, dengan menyatakan bahawa, pada pendapat Lembaga, Lembaran Imbangan, Penyata Pendapatan, Penyata

Perubahan Ekuiti dan Penyata Aliran Tunai yang berikut berserta dengan nota-nota di dalamnya telah disediakan untuk memberi gambaran yang benar dan saksama berkenaan kedudukan Tabung Kumpulan Wang Selangor King

George V Silver Jubilee pada 31 Disember 2008 dan hasil kendaliannya dan aliran tunai bagi tahun yang berakhir pada tarikh tersebut.

Bagi pihak Lembaga

CIK TERESA KOK SUH SIM

DATO’ YONG SENG YEOW

Pengerusi

Lembaga Pemegang Amanah

Kumpulan Wang Selangor

Kumpulan Wang Selangor

King George V Silver Jubilee

King George V Silver Jubilee

Bertarikh 30 Mac 2009

538

[4hb Mac 2010

BALANCE SHEET AS AT 31ST DECEMBER 2008

2008 2007

PROPERTY, PLANT & EQUIPMENT (Note 4)

66,228 71,502

INVESTMENT (Note 5)

1,339,051 1,311,831

CURRENT ASSETS

Other receivables and deposits 1,550 1,550

Fixed deposits placed with licensed banks 3,220,000 2,970,000

Cash at bank-Southern Bank (S/T Placement A/C)

11,097

Cash and bank balances (Note 7)

292,868 256,051

—————

—————

3,514,418 3,238,698

—————

—————

Less:

CURRENT LIABILITIES

Other payables and accruals (Note 8)

389,834 400,324

Amount owing to residents (Note 9)

5,668 30,640

—————

—————

395,502 430,964

—————

—————

NET CURRENT ASSETS

3,118,916 2,807,734

—————

—————

4,524,195 4,191,067

—————

—————

Financed by:

ACCUMULATED FUND

4,524,195 4,191,067

—————

—————

INCOME STATEMENT FOR THE YEAR ENDED 31ST DECEMBER 2008

2008 2007

INCOME

Donation 277,647 301,293

Government grant 53,144 51,100

Fixed deposit interest 91,650 72,547

Gross dividend received 130,832 108,148

Other investment income 21,636

Interest received-Southern Investment Bank 947 3,090

(SIT Placement A/C)

—————

—————

(Note 3)

554,220 557,814

Less:

ADMINISTRATIVE EXPENSES

(as per schedule)

212,613 344,416

—————

—————

341,607 213,398

—————

—————

4hb Mac 2010]

539

OTHER INCOME

Gain on disposal of investments

134,173

Gain on disposal of OCBC rights

—————

—————

134,173

Loss on disposal of investments

—————

—————

134,173

—————

—————

SURPLUS BEFORE TAXATION

341,607 7,571

Less:

Tax suffered on Malaysian dividends

(20,020)

(16,217)

Tax suffered on Foreign dividends

(7,552)

—————

—————

NET SURPLUS FOR THE YEAR

321,587 323,802

—————

—————

STATEMENT OF CHANGES IN FUND FOR THE YEAR

ENDED 31 DICEMBER 2008

Accumulated

Total

Fund

At 1st January 2007 3,860,597 3,860,597

Prior Year Adjustment:

Gain on disposal of Investment 6,668 6,668

Net Surplus for the year 323,802 323,802

—————

—————

As 31st December 2007 4,191,067 4,191,067

—————

—————

At 1st January 2008 4,191,067 4,191,067

Prior Year Adjustment:

Underprovision of depreciation

(154)

Subsection

(154)

Donation omitted previously 11,695 11,695

Net Surplus for the year 321,587 321,587

—————

—————

As 31st December 2008 4,524,195 4,524,195

—————

—————

CASH FLOW STATEMENT FOR THE YEAR ENDED 31ST DECEMBER 2008

2008 2007

Cash Flows from Operating Activities

Donation-Current

277,647

301,293

Donation-previously

11,695

Government grant

53,144

51,100

Cash paid to suppliers and employees

(242,956)

(133,792)

—————

—————

Cash generated from operations

99,530

218,601

Tax suffered on Malaysia dividend

(20,020)

(16,217)

Tax suffered on foreign dividend

(7,553)

—————

—————

Net cash from operating activities

79,510

194,831

—————

—————

2008 2007

540

[4hb Mac 2010

Cash Flows from Investing

Activities

Fixed deposit interest received

92,597

75,637

Gross dividend received

130,832

108,148

Other investment income

21,637

Net proceeds from disposal of

350,183

investment

Purchase of investment

(27,219)

(257,899)

Purchase of furniture and

(1,095)

equipment

Capital repayment on

22,500

investment

Additional procead from

6,668

disposal of investment omitted previously

—————

—————

Net cash used in investing

196,210

325,779

activities

—————

—————

Net increase in cash and cash

275,720

520,610

equivalents

Cash and cash equivalents 2,970,000

2,320,000

at beginning of the year

Fixed deposit with licensed 267,148

396,538

banks

—————

—————

Cash and bank balances

3,237,148

2,716,538

—————

—————

3,512,868

3,237,148

—————

—————

Cash and cash equivalent at end of the year

Fixed deposits with licensed 3,220,000

2,970,000

banks

Cash and bank balances 292,868

267,148

—————

—————

3,512,868

3,237,148

—————

—————

NOTES TO THE FINANCIAL STATEMENTS—31ST DECEMBER 2008

These notes form an integral part of and should be read in conjunction with the accompanying financial statements.

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