JADUAL TANAH DAN KEPENTINGAN
Daerah—Batu Pahat. Bandar/Pekan/Mukim—Minyak Beku. No. Lot—4218.
Jenis dan No. Hakmilik—G.M. 4625. Bahagian Tanah (jika ada)—Semua.
No. Berdaftar Pajakan/Pajakan Kecil (jika ada)—Tiada. No. Berdaftar Gadaian
(jika ada)—Perserahan No. 5349/2001 bertarikh 29 November 2001.
Bertarikh 3 Mac 2005
[(35)dlm.PTDBP 4/SC/128/2003]
ZARINA BINTI ABDUL KADIR
Pentadbir Tanah
Batu Pahat
676
[31hb Mac 2005
No. 693.
MAJLIS PERBANDARAN KLUANG
ANGGARAN HASIL DAN PERBELANJAAN
BAGI TAHUN 2005
%
HASIL
60000
Hasil Cukai 16,929,733.00
74.65 70000
Hasil Bukan Cukai 4,365,051.00
19.25 80000
Terimaan Bukan Hasil 1,384,417.00
6.10
Jumlah Hasil
22,679,201.00 100.00
PERBELANJAAN MENGURUS
10000
Emolumen 6,428,774.00
28.35 20000
Perkhidmatan Dan Bekalan 11,609,710.00
51.19 30000
Pemilikan Harta Modal 979,190.00
4.32 40000
Pemberian Dan Kenaan 316,404.00
1.40
Bayaran Tetap 50000
Lain-lain Perbelanjaan 532,771.00
2.35
Jumlah Perbelanjaan
19,866,849.00 87.60
Mengurus
Lebihan/(Kekurangan)
2,812,352.00 12.40
PEMBANGUNAN
100000 Pembangunan
3,140,040.00 13.85
Lebihan/(Kekurangan)
(327,688.00)
(1.44)
Jumlah Besar Perbelanjaan 23,006,889.00 101.44
KEDUDUKAN KEWANGAN MAJLIS PERBANDARAN KLUANG
PADA 30 JUN 2004 ADALAH SEPERTI BERIKUT:
Simpanan Semasa
649,119.96
Simpanan Tetap
4,817,808.10
(–) Wang Amanah
2,978,832.34
Baki Wang Majlis Pada
2,488,095.72
30 Jun 2004
31hb Mac 2005]
677
MAJLIS PERBANDARAN JOHOR BAHRU TENGAH
SIJIL KETUA AUDIT NEGARA MENGENAI
PENYATA KEWANGAN MAJLIS PERBANDARAN JOHOR BAHRU TENGAH
BAGI TAHUN BERAKHIR 31 DISEMBER 2003
No. 694.
Penyata Kewangan Majlis Perbandaran Johor Bahru Tengah bagi tahun berakhir 31 Disember 2003, telah diaudit oleh wakil saya. Pihak pengurusan bertanggungjawab terhadap penyata kewangan ini. Tanggungjawab saya adalah mengaudit dan memberi pendapat terhadap penyata kewangan tersebut.
2. Pengauditan telah dilaksanakan mengikut Akta Audit 1957 dan berpandukan piawaian pengauditan yang diluluskan. Piawaian tersebut menghendaki pengauditan dirancang dan dilaksanakan untuk mendapat kepastian yang munasabah sama ada penyata kewangan adalah bebas daripada kesilapan atau ketinggalan yang ketara. Pengauditan itu termasuk memeriksa rekod secara semak uji, menyemak bukti yang menyokong angka dan memastikan pendedahan yang mencukupi dalam penyata kewangan. Penilaian juga dibuat terhadap prinsip perakaunan yang digunakan dan penyampaian penyata kewangan secara keseluruhan.
3. Pada pendapat saya, penyata kewangan ini memberi gambaran yang benar dan saksama terhadap kedudukan kewangan Majlis Perbandaran Johor Bahru
Tengah pada 31 Disember 2003, hasil operasi serta aliran tunainya untuk tahun tersebut berdasarkan piawaian perakaunan yang diluluskan.
HAMDAN BIN AHMAD
Johor Bahru b.p. Ketua Audit Negara 23 Disember 2004
Malaysia
LAPORAN YANG DIPERTUA
Saya, Haji Burhan bin Amin, Yang Dipertua, Majlis Perbandaran Johor Bahru
Tengah dengan ini menyatakan bahawa, pada pendapat saya Lembaran Imbangan,
Penyata Pendapatan dan Perbelanjaan, Penyata Perubahan Dana dan Penyata
Aliran Tunai berserta dengan Nota-nota Kepada Akaun yang berikut ini disediakan dengan cara yang betul untuk menunjukkan satu kenyataan yang sebenar dan munasabah mengenai kedudukan Kewangan Majlis Perbandaran Johor Bahru
Tengah pada 31 Disember 2003, dan hasil kendaliannya bagi tahun berakhir pada tarikh tersebut.
Tarikh: 15 September 2004
Yang Dipertua
Majlis Perbandaran Johor Bahru Tengah
678
[31hb Mac 2005
LEMBARAN IMBANGAN PADA 31 DISEMBER 2003
Nota 2003 2002
ASET TETAP
Harta Tetap 2 107,272,851 103,430,141
Kerja Dalam Pembangunan 3 2,718,665 2,131,798 109,991,516 105,561,939
ASET SEMASA
Si Berhutang 4 24,307,894 21,378,756
Pelbagai Si Berhutang Dan Pertaruhan 5 3,243,632 1,604,651
Simpanan Tetap 6 89,448,531 77,013,567
Wang Dalam Bank Dan Di Tangan 7 19,123,320 22,001,978 136,123,377 121,998,952
TANGGUNGAN SEMASA
Wang Amanah 8 22,649,442 20,546,332
Si Piutang 9 19,859,875 19,117,148
Lain-lain Si Piutang 10 1,350,651 2,893,210
Pelbagai Si Piutang Dan Akrual 11 843,196 1,176,678 44,703,164 43,733,368
ASET SEMASA BERSIH
91,420,213 78,265,584 201,411,729 183,827,523
DIBIAYAI OLEH
Kumpulan Wang Terkumpul Majlis 12 167,442,874 147,150,879
Kumpulan Wang Terkumpul ISF
13 20,620,738 28,525,375
Kumpulan Wang Terkumpul 14 250,000 250,000
Pendahuluan Kenderaan
Kumpulan Wang Terkumpul 15 150,000
—
Pendahuluan Komputer
Kumpulan Wang Projek Taman Gaya 16 4,562,328 774,591
(Interchange)
Kumpulan Wang Projek Jalan Sungai 17 12,212 1,314,734
Danga
Kumpulan Wang Projek Jambatan 18 1,281,998
—
Sungai Danga
Kumpulan Wang Projek Pembangunan 19 850 850
Landskap
Kumpulan Wang Terkumpul Projek 20 103,000 103,000
Pendapatan Tertunda 21 6,969,492 5,687,124
31hb Mac 2005]
679
LEMBARAN IMBANGAN PADA 31 DISEMBER 2003—(Samb.)
Nota 2003 2002
Kumpulan Wang Terkumpul 22 18,237 20,970
Peruntukan Sukan Sea
Kumpulan Wang Akaun Amanah 23
—
–
Sambutan Pengisytiharan MPJBT
201,411,729 183,827,523
Nota-nota kepada akaun ini seperti pada halaman 685 hingga 701 adalah sebahagian dari akaun ini dan hendaklah dibaca bersama dengannya.
Yang Dipertua
Setiausaha
Majlis Perbandaran Johor Bahru
Majlis Perbandaran Johor Bahru
Tengah
Tengah
Tarikh: 15 September 2004
PENYATA PENDAPATAN DAN PERBELANJAAN BAGI TAHUN
BERAKHIR PADA 31 DISEMBER 2003
Nota 2003 2002
PENDAPATAN
Cukai 24 51,809,629 47,884,120
Lesen, Terimaan Pendaftaran Dan 25 4,712,442 4,216,239
Permit
Perkhidmatan Dan Terimaan 26 4,255,421 4,525,012
Perkhidmatan
Perolehan Dari Jualan Barang-barang 27 452,318 277,100
Sewaan 28 4,313,639 4,085,360
Faedah Perolehan Dari Pelaburan 29 3,097,939 2,816,192
Pelbagai Denda Dan Rampasan 30 1,525,624 57,685
Terimaan Bukan Hasil 31 158,200 91,332
Dapatkan Balik Wang-wang Tidak 32 25,053 3,913
Dituntut
Terimaan Dari Agensi Kerajaan 33 50,000 484,200
Pelbagai Pemberian 34 152,371
–
Pelbagai Terimaan 35 105,920 12,303 70,658,556 64,453,456
680
[31hb Mac 2005
PENYATA PENDAPATAN DAN PERBELANJAAN BAGI TAHUN
BERAKHIR PADA 31 DISEMBER 2003—(Samb.)
Nota 2003 2002
PERBELANJAAN
Gaji Dan Elaun 36 3,806,648 3,826,809
Elaun Untuk Ahli Majlis 37 195,500 268,217
Sumbangan Berkanun Untuk 38 450,965 429,149
Kakitangan Awam
Faedah Kewangan Kakitangan Awam 39 16,010 59,283
Perbelanjaan Perjalanan Dan Sara 40 184,945 201,488
Hidup
Pengangkutan Barang-barang 41 503 7,628
Kakitangan
Perhubungan 42 156,874 127,207
Utiliti 43 3,624,540 3,683,391
Sewa 44 25,295 31,865
Bekalan Bahan Mentah Dan Bahan 45 455,131 400,138
Penyelenggaraan
Bekalan 46 625,348 700,580
Penyelenggaraan Dan Pembaikan 47 19,782,499 18,305,134
Perkhidmatan Iktisas 48 776,321 935,255
Lain-lain Perkhidmatan 49 3,510,943 2,937,592
Alat Kelengkapan 50 33,786 901,193
Pokok Dan Benih 51 67,503 188,991
Pinjaman 52
–
10,997
Pemberian Dalam Negeri 53
–
55,000
Pemberian Dan Kenaan Bayaran Tetap 54 5,000 25,230
Bayaran Balik Pinjaman 55
–
10,473
Pulangbalik Dan Hapuskira 56 1,020,471 1,001,409
Cukai Dan Pelbagai 57 213,822 185,800
Susutnilai 58 3,459,345 3,402,048
Pembangunan 59 12,562,180 8,533,301 50,973,629 46,228,178
LEBIHAN PENDAPATAN/(PERBELANJAAN)
19,684,927 18,225,278
Nota-nota kepada akaun ini seperti pada halaman 685 hingga 701 adalah sebahagian dari akaun ini dan hendaklah dibaca bersama dengannya.
Yang Dipertua
Setiausaha
Majlis Perbandaran Johor Bahru
Majlis Perbandaran Johor Bahru
Tengah
Tengah
31hb Mac 2005]
681
PENYATA PERUBAHAN DANA BAGI TAHUN BERAKHIR PADA 31 DISEMBER 2003—(Samb.)
Kumpulan Wang
Kumpulan Wang
Kumpulan Wang
Kumpulan Wang
Kumpulan Wang
Pendahuluan
Projek Taman
Projek Pembangunan
Jumlah
Terkumpul Majlis
Terkumpul ISF
Kenderaan
Gaya (Interchange)
Landskap
Keseluruhan
Baki pada 31 Disember 2001 128,915,591 38,698,554 250,000 2,463,133 278,226 170,605,504
Pelarasan bagi tahun terdahulu
—
—
—
—
—
—
Baki dinyatakan semula pada 31 Disember 2002 128,915,591 38,698,554 250,000 2,463,133 278,226 170,605,504
Pelarasan bagi tahun terdahulu 10,010
—
—
—
—
10,010
Lebihan pendapatan tahun semasa 18,225,278
(10,173,179)
—
(1,688,542)
(277,376)
6,086,181
Baki pada 31 Disember 2002 147,150,879 28,525,375 250,000 774,591 850 176,701,695
Pelarasan bagi tahun lepas 607,068
—
—
—
—
607,068
Lebihan pendapatan tahun semasa 19,684,927
(7,904,637)
—
3,787,738
—
15,568,028
Baki pada 31 Disember 2003 167,442,874 20,620,738 250,000 4,562,329 850 192,876,791
Kumpulan Wang
Kumpulan Wang
Kumpulan Wang
Jumlah
Terkumpul Projek
Pendapatan
Terkumpul Peruntukan
Akaun Amanah Sambutan
Jumlah
(b/b)
Tertunda
Sukan Sea
Pengisytiharan MPJBT
Keseluruhan
Baki pada 31 Disember 2001 170,605,504
—
4,033,400 20,769 22 174,659,695
Pelarasan bagi tahun terdahulu
—
—
—
—
—
—
Baki dinyatakan semula pada 31 Disember 2002 170,605,504 0 4,033,400 20,769 22 174,659,695
Pelarasan bagi tahun terdahulu 10,010
—
—
—
—
10,010
Lebihan pendapatan tahun semasa 6,086,181 103,000 1,653,724 201
(22)
7,843,084
Baki pada 31 Disember 2002 176,701,695 103,000 5,687,124 20,970
—
182,512,789
Pelarasan bagi tahun lepas 607,068
—
—
—
—
607,068
Lebihan pendapatan tahun semasa 15,568,028
—
1,282,368
(2,732.99)
—
16,847,663
Baki pada 31 Disember 2003 192,876,791 103,000 6,969,492 18,237
—
199,967,520
Nota-nota dihalaman 685 hingga 701 adalah sebahagian daripada penyata kewangan ini dan hendaklah dibaca bersama-sama dengannya.
682
[31hb Mac 2005
PENYATA PERUBAHAN DANA BAGI TAHUN BERAKHIR PADA 31 DISEMBER 2003—(Samb.)
Kumpulan Wang
Kumpulan Wang
Kumpulan Wang
Jumlah
Projek Jalan
Projek Jambatan
Pendahuluan
Jumlah
(b/b)
Sungai Danga
Sungai Melana
Komputer
Keseluruhan
Baki pada 31 Disember 2001 174,659,695
—
—
—
174,659,695
Pelarasan bagi tahun terdahulu
—
—
—
—
—
Baki dinyatakan semula pada 31 Disember 2002 174,659,695
—
—
—
174,659,695
Pelarasan bagi tahun terdahulu 10,010
—
—
—
10,010
Lebihan pendapatan tahun semasa 7,843,084 1,314,734
—
—
9,157,818
Baki pada 31 Disember 2002 182,512,789 1,314,734
—
—
183,827,523
Pelarasan bagi tahun lepas 757,068
—
—
—
757,068
Lebihan pendapatan tahun semasa
(2,837,264)
(1,302,522)
1,281,998 150,000
(2,707,788)
Baki pada 31 Disember 2003 180,432,593 12,212 1,281,998 150,000 181,876,803
Nota-nota dihalaman 685 hingga 701 adalah sebahagian daripada penyata kewangan ini dan hendaklah dibaca bersama-sama dengannya.
31hb Mac 2005]
683
PENYATA ALIRAN TUNAI BAGI TAHUN BERAKHIR PADA 31 DISEMBER 2003 2003 2002
ALIRAN TUNAI BAGI AKTIVITI OPERASI
Lebihan (Perbelanjaan)/Pendapatan 19,684,927 18,225,278
Pelarasan bagi:
Harta Tetap Dihapuskira 34,998 1
Pelarasan-Pelarasan Tahun Lepas 747,258 10,010
Pendapatan Tertunda Diiktiraf Sebagai Hasil
(150,671)
(125,494)
Susutnilai Harta Tetap 3,459,345 3,402,047
Faedah Dan Perolehan Dari Pelaburan 3,097,939 2,816,191
Pendapatan Operasi Sebelum Perubahan 26,873,796 24,328,033
Modal Kerja
Pertambahan/Pengurangan Si Berhutang
(2,929,138)
(2,041,980)
Pertambahan Pelbagai Si Berhutang Dan
(1,638,981)
923,801
Pertaruhan
Pertambahan Wang Amanah 2,103,110 3,145,715
Pertambahan Si Piutang 742,727 9,661,179
Pertambahan Lain-Lain Si Piutang
(1,542,559)
1,177,854
Pengurangan/Pertambahan Pelbagai
(333,482)
134,378
Si Piutang Dan Akrual
(3,598,323)
13,000,947
Wang Tunai Dihasilkan Daripada Operasi 23,275,473 37,328,980
Pembayaran Faedah
—
—
Wang Tunai Bersih Dihasilkan Daripada 23,275,473 37,328,980
Aktiviti Operasi
ALIRAN TUNAI DARIPADA AKTIVITI PELABURAN
Pembelian Harta Tetap
(7,477,243)
(15,501,371)
Kerja Dalam Pembangunan
(586,867)
6,345,050
Faedah Dan Perolehan Dari Pelaburan
(3,097,939)
(2,816,191)
Wang Tunai Bersih Digunakan Dalam
(11,162,049)
(11,972,512)
Aktiviti Pelaburan
ALIRAN TUNAI DARI AKTIVITI PEMBIAYAAN
Perbelanjaan Dari Kumpulan Wang ISF
(14,840,141)
(17,274,373)
Terimaan Dari Kumpulan Wang ISF
6,935,504 7,101,193
Perbelanjaan Dari Kumpulan Wang
(1,689,049)
(5,894,906)
Projek Taman Gaya (Interchange)
Terimaan Dari Kumpulan Wang Projek 5,476,786 4,206,364
Taman Gaya (Interchange)
684
[31hb Mac 2005
PENYATA ALIRAN TUNAI BAGI TAHUN BERAKHIR PADA 31 DISEMBER 2003—(Samb.)
2003 2002
Perbelanjaan Dari Kumpulan Wang Projek
(4,696,903)
—
Jalan Sungai Danga
Terimaan Dari Kumpulan Wang Projek 3,394,381 1,314,734
Jalan Sungai Danga
Perbelanjaan Dari Kumpulan Wang Projek
(349,946)
—
Jambatan Sg. Melana
Terimaan Dari Kumpulan Wang Projek 1,631,944
—
Jambatan Sg. Melana
Terimaan Dari Kumpulan Wang Pendahuluan 150,000
—
Komputer
Perbelanjaan Dari Kumpulan Wang Projek
(93,838)
(693,714)
Pembangunan Landskap
Terimaan Dari Kumpulan Wang Projek 93,838 416,338
Pembangunan Landskap
Perbelanjaan Dari Kumpulan Wang Projek
(4,267,801)
(2,042,789)
Terimaan Dari Kumpulan Wang Projek 4,267,801 2,145,789
Terimaan Dari Pendapatan Tertunda 1,433,039 1,779,219
Perbelanjaan Dari Kumpulan Wang
(2,733)
—
Terkumpul Peruntukan Sukan Sea
Perbelanjaan Dari Kumpulan Wang
—
201
Terkumpul Peruntukan Sukan Sea
Perbelanjaan Dari Kumpulan Wang
—
(22)
Amanah Sambutan Pengisytiharan
Terimaan Dari Kumpulan Wang Amanah
—
—
Sambutan Pengisytiharan
Pembayaran Balik Pinjaman Berjangka
—
—
Wang Tunai Bersih Digunakan Dalam
(2,557,118)
(8,941,966)
Aktiviti Pembiayaan
Pengurangan Bersih Tunai 9,556,306 16,414,502
TUNAI DAN PERSAMAAN TUNAI
Pertambahan/(Pengurangan) Bersih Tunai 9,556,306 16,414,502
Baki Dibawa Dari Bawah 99,015,545 82,601,043
Tunai Dan Persamaan Tunai Pada Akhir 108,571,851 99,015,545
Tahun
TUNAI DAN PERSAMAAN TUNAI TERDIRI DARIPADA
Simpanan Tetap 89,448,531 77,013,567
Wang Dalam Bank Dan Tangan 19,123,320 22,001,978
Tunai Dan Persamaan Tunai Pada Akhir 108,571,851 99,015,545
Tahun
Nota-nota kepada akaun ini seperti pada halaman 685 hingga 701 adalah sebahagian dari akaun ini dan hendaklah dibaca bersama dengannya.
31hb Mac 2005]
685
PADA 31 DISEMBER 2003 1.
DASAR-DASAR PERAKAUNAN
Akaun-akaun ini disediakan dengan mengambilkira dasar-dasar perakaunan di dalam Peruntukan Akta Kerajaan Tempatan, 1976.
Dasar-dasar perakaunan yang digunakan adalah seperti berikut:
1.1
ASAS PERAKAUNAN
(i)
Konvensyen Kos Sejarah
(ii)
Konsep Akruan 1.2
ASET TETAP DAN SUSUTNILAI
Aset Tetap dinyatakan pada kos dan susutnilai terkumpul. Susutnilai adalah berdasarkan Kaedah Garis Lurus bagi jangkahayat kegunaan harta tersebut kecuali tanah pajakan. Bagi tanah hakmilik pajakan, susutnilai adalah dikira berdasarkan Tempoh Pajakan bagi jangkahayat pajakan tanah tersebut. Harta yang tamat jangkahayat ditinggalkan sebagai kos nominal. Kadar susutnilai tahunan yang digunakan adalah seperti berikut:
(i)
Tanah Milik Bebas
—
0%
(ii)
Tanah Milik Pajakan
—
Kos Asal/
Tempoh Pajakan
(iii)
Bangunan
—
2%
(iv)
Mengubahsuai Semula/Tambahan
—
2%
Bangunan
(v)
Perabot Dan Lengkapan
—
15%
(vi)
Peralatan Pejabat
—
15%
(vii)
Peralatan Elektrik
—
15%
(viii)
Peralatan Elektronik
—
20%
(ix)
Kenderaan
—
20%
(x)
Mesin Dan Jentera
—
20%
(xi)
Lampu Hiasan
—
20%
1.3
HASIL
Semua hasil diambilkira berasaskan terimaan dalam tahun semasa dan hasil yang terakru kecuali hasil dari lesen dan permit perniagaan diambilkira berasaskan terimaan dalam tahun semasa sahaja. Bagi hasil sewa petak pasar malam diambilkira berdasarkan terimaan hasil semasa di Jabatan Perbendaharaan.
1.4
PEMBERIAN KERAJAAN
Pemberian Kerajaan Persekutuan atau Kerajaan Negeri bagi tujuan belanja mengurus atau menyelenggara diambilkira sebagai hasil majlis.
Pemberian Kerajaan Persekutuan atau Kerajaan Negeri bagi membolehkan Majlis mendapat aset diambilkira sebagai pemberian tertunda dan diiktiraf sebagai pendapatan sepanjang tempoh hayat aset tersebut.
Manakala pemberian khas daripada Kerajaan Persekutuan atau Kerajaan
Negeri bagi melaksanakan sesuatu projek khas akan dikreditkan terus ke Kumpulan Wang Khas tersebut.
686
[31hb Mac 2005
1.5
PERUNTUKAN HUTANG RAGU
Peruntukan khas si berhutang bagi sewa penswastaan pengurusan bangunan telah dibuat berdasarkan pada penilitian secara individu dan dikenal pasti sebagai ragu.
Peruntukan Am berdasarkan peratusan tetap lima puluh peratus ke atas portfolio tunggakan dibuat setelah mengambilkira dari segi perundangan dan kesan pada Majlis.
1.6
PELABURAN SIMPANAN TETAP
Jumlah faedah terakru bagi pelaburan simpanan tetap akan diambilkira setelah faedah terakru sebenar tersebut dapat diiktiraf oleh pihak
Majlis.
2.
HARTA TETAP
KOS
SUSUTNILAI
Susutnilai
Susutnilai
Nilai Buku
Tahun
Kos
Tambahan/
Kos
Terkumpul
Susutnilai
Terkumpul
Bersih 2003
Pada
Pelarasan
Pada
Pada
Semasa
Pada
Pada 01.01.2003
(Pelupusan)
31.12.2003 01.01.2003 31.12.2003 31.12.2003
A
B
A-B
Tanah 4,611,702.76 199,991.00 4,811,693.76 83,519.67 9,159.02 92,678.69 4,719,015.07
Bangunan 106,116,768.08 4,962,913.06 111,079,681.14 11,545,059.30 2,221,593.61 13,766,652.91 97,313,028.23
Ubah Suai
Semula/Tambahan
Bangunan 1,846,378.82 127,167.00 1,973,545.82 209,868.67 39,470.91 249,339.58 1,724,206.24
Perabot Dan
Lengkapan 1,956,265.04 189,285.00 2,145,550.04 1,390,638.84 199,897.80 1,590,536.64 555,013.40
Peralatan Pejabat 164,803.01 66,140.00 231,843.01 96,951.89 25,855.52 122,942.41 108,900.60 900.00 135.00
Peralatan Elektrik 1,338,375.78 161,435.00 1,512,267.47 1,067,862.71 122,624.45 1,202,604.60 309,662.87 12,456.69 12,117.44
Peralatan Elektronik 2,763,414.70 237,831.00 2,691,313.70 1,864,418.54 419,709.34 2,009,193.88 682,119.82
(309,932.00)
(274,934.00)
Kenderaan 2,646,778.35 271,002.46 2,917,780.81 1,954,781.55 276,918.98 2,231,700.53 686,080.28
Mesin Dan Jentera 462,848.06 8,530.00 471,378.06 264,092.86 46,483.60 309,174.26 162,203.80
(1,402.20)
Lampu Hiasan
–
490,433.80 1,549,523.80
–
309,904.76 536,902.76 1,012,621.04 1,059,090.00 226,998.00
Jumlah 121,907,334.60 7,477,243.01 129,384,577.61 18,477,194.03 3,634,532.23 22,111,726.26 107,272,851.35
Nota:
i.
RM900.00 adalah merupakan jumlah kos aset peralatan pejabat yang tertinggal rekod dalam
Tahun 2002.
ii.
RM135.00 merupakan nilai susutnilai bagi aset peralatan pejabat yang sepatutnya diambilkira dalam Tahun 2002 telah tertinggal dalam tahun tersebut.
iii.
RM12,456.69 merupakan nilai kos asal bagi peralatan elektrik yang telah dijadikan aset
Majlis dalam Tahun 2003 aset tersebut adalah daripada aset Kelab Sukan dan Kebajikan
Majlis.
iv.
RM12,117.44 merupakan nilai terkumpul susutnilai bagi peralatan elektrik yang mana telah dijadikan aset Majlis dalam Tahun 2003.
v.
RM309,932.00 merupakan jumlah kos asal bagi aset peralatan elektronik yang telah dilupuskan dalam Tahun 2003.
vi.
RM274,934.00 merupakan jumlah susutnilai terkumpul bagi aset peralatan elektronik yang dilupuskan dalam Tahun 2003.
31hb Mac 2005]
687
vii.
RM1,402.20 merupakan jumlah pelarasan susutnilai yang telah terlebih diambilkira dalam
Tahun 2002.
viii.
RM1,059,09 merupakan jumlah kos bagi aset Lampu Hiasan yang telah tertinggal dijadikan aset Majlis sehingga Tahun 2002.
ix.
RM226,998.00 merupakan jumlah susutnilai terkumpul bagi aset Lampu Jalan yang tertinggal diambilkira sehingga Tahun 2002.
KOS
SUSUTNILAI
Susutnilai
Susutnilai
Nilai Buku
Tahun
Kos
Tambahan/
Kos
Terkumpul
Susutnilai
Terkumpul
Bersih 2002
Pada
Pelarasan
Pada
Pada
Semasa
Pada
Pada 01.01.2002
(Pelupusan)
31.12.2002 01.01.2002 31.12.2002 31.12.2002
A
B
A-B
Tanah 4,610,514.76 1,188.00 4,611,702.76
–
7,138.91 83,519.67 4,528,183.09 76,380.76
Bangunan 92,993,732.05 13,123,036.03 106,116,768.08 9,422,723.93 2,122,335.37 11,545,059.30 94,571,708.78
Ubah Suai
Semula/Tambahan
Bangunan 1,547,690.82 298,688.00 1,846,378.82 172,941.10 36,927.57 209,868.67 1,636,510.15
Perabot Dan
Lengkapan 1,592,657.04 363,608.00 1,956,265.04 1,169,066.85 221,571.99 1,390,638.84 565,626.20
Peralatan Pejabat 118,828.01 45,975.00 164,803.01 80,369.87 16,582.02 96,951.89 67,851.12
Peralatan Elektrik 1,222,732.78 115,643.00 1,338,375.78 925,604.17 142,258.54 1,067,862.71 270,513.07
Peralatan Elektronik 2,070,230.00 693,184.70 2,763,414.70 1,451,635.20 412,783.34 1,864,418.54 898,996.16
Kenderaan 2,019,456.36 631,521.99 2,646,778.35 1,647,522.93 311,457.62 1,958,980.55 691,997.80
(4,200.00)
(4,199.00)
(1.00)
Mesin Dan Jentera 234,322.06 228,526.00 462,848.06 209,481.86 54,611.00 264,092.86 198,755.20
Jumlah 106,410,163.88 15,501,370.72 121,907,334.60 15,155,726.67 3,325,666.36 18,477,194.03 103,430,140.57
(4,200.00)
Nota:
i.
RM1.00 adalah jumlah nilai bersih bagi Harta Tetap Kenderaan yang telah dilupuskan diambilkira sebagai pelupusan.
ii.
RM4,199.00 merupakan jumlah susutnilai yang dikurangkan dari Susutnilai Terkumpul
Kenderaan.
iii.
RM4,200.00 merupakan jumlah kos asal yang dilupuskan bagi Harta Tetap Kenderaan.
iv.
RM76,380.76 merupakan pelarasan bagi susutnilai terkumpul terdahulu pada 1.1.2002 yang tidak diambilkira.
2003 2002
3.
KERJA DALAM PEMBANGUNAN
5 Unit Kedai 2 Tingkat, Jalan Lawang, Skudai
—
527,891
Gerai Jalan Penyiaran 2, Taman Universiti 490,614
—
10 Unit Gerai Kampung Baru Plentong 308,450
—
Gerai Jalan Hang Tuah, Taman Skudai Baru 193,930
—
Gerai Serbaneka Jalan Ara 9, Taman Sri Pulai 627,152
—
Dewan Serbaguna Taman Pelangi Indah 579,508
—
Dewan Serbaguna Taman Desa Cemerlang 9,571
—
Menaiktaraf Pasar Taman Universiti 50,000
—
Menaiktaraf Stadium Mini Taman Tun Aminah
—
877,659
Menaiktaraf Pasar Masai 50,000
—
Dewanraya Taman Selesa Jaya
—
287,591
Dewanraya Taman Damai Jaya
—
278,791
Dewanraya Taman Teratai 409,440 159,866 2,718,665 2,131,798
688
[31hb Mac 2005
2003 2002
4.
SI BERHUTANG
Cukai Harta 22,066,195 18,516,546
Caruman Bantu Kadar 165,946 118,768
Cukai Najis 37,219 43,218
Perkhidmatan Sampah Dewan 1,270 1,000
Sewa Tapak Pelupusan Sampah Sarap 365,600 543,200
Sewa Bangunan Kediaman 11,520 9,480
Sewa Bangunan Pejabat 6,670 5,820
Sewa Bangunan Perusahaan 18,000 15,000
Sewa Penswastaan Pengurusan Bangunan 316,150 840,825
Sewa Lot Kaunter Terminal 34,030 97,033
Sewa Rumah Kedai Masai 47,600 58,200
Sewa Bilik Sejuk 2,050 1,850
Sewa Pasar 76,216 68,620
Sewa Dewan 21,955 22,330
Sewa Gelanggang Permainan 284 444
Sewa Gerai 301,235 275,976
Sewa Kerusi Dan Meja 7,505 6,843
Sewa Perhentian Bas/Teksi 40,080 22,355
Sewa Tandas Awam 1,300 1,300
Sewa Petak Letak Kereta 299,627 491,920
Sewa Tapak Penjaja 160,502 123,352
Sewa Petak Pasar Malam 322,340 110,526
Sewa Peralatan Siaraya 4,600 4,150 24,307,894 21,378,756 5.
PELBAGAI SI BERHUTANG DAN
PERTARUHAN
Pinjaman Kenderaan 204,713 245,316
Pinjaman Komputer 53,752 59,843
Wang Pertaruhan 148,085 127,485
Komisen Air 4,263 3,288
Faedah Terakru Simpanan Semasa 8,625 18,324
Faedah Terakru Simpanan Tetap 1,054,182 216,517
Faedah Terakru Simpanan Tetap ISF
284,449 95,477
Notis Dan Waran 1,453,594 826,273
Bayaran Balik Penggunaan Telefon Persendirian 3,835 7,628
Fajar Able Parking Sdn. Bhd. (Penswastaan 22,134
—
Letak Kereta)
Terimaan Balik Bayaran Air 3,000 2,250
Terimaan Balik Bayaran Elektrik 3,000 2,250 3,243,632 1,604,651
31hb Mac 2005]
689
2003 2002
6.
SIMPANAN TETAP
Affin Bank Berhad
— Johor Bahru (ISF)
—
1,000,000
— Taman Universiti (ISF)
1,000,000 1,500,000
Arab Malaysia Finance Berhad – Johor Bahru 391,527 382,242
Bank Islam Malaysia Berhad
— Johor Bahru (ISF)
3,100,000 11,100,000
Bank Muamalat
— Johor Bahru 4,103,522 2,059,575
— Kulai (ISF)
3,500,000 4,500,000
Bank Pertanian Malaysia Berhad
— Kulai (ISF)
500,000 1,500,000
— Pontian (ISF)
500,000 1,000,000
Bank Rakyat
— Taman Universiti 6,708,482 2,638,445
— Johor Bahru 1,000,000
—
— Kulai 1,000,000
—
— Larkin Perdana 2,000,000
—
— Johor Bahru (ISF)
4,500,000 2,500,000
Bank Simpanan Nasional – Taman Sri Skudai 1,129,017 2,642,619
Bumiputra Commerce
— Taman Ungku Tun Aminah 2,630,287 3,581,068
— Taman Universiti 3,191,564 3,145,491
— Tampoi 7,084,056 2,060,378
— Kulai 1,020,961 1,007,057
— Pontian (ISF)
500,000 1,000,000
EON Bank Berhad
— Tampoi 4,426,135 3,320,757
— Masai 3,119,724 2,031,247
— Senai 2,108,631 2,069,000
Hong Leong Finance – Bandar Baru Uda 1,609,097 1,558,014
Malayan Banking Berhad
— Masai 1,619,969 1,574,938
— Taman Tasek 1,036,916 1,000,000
— City Square 532,513 516,258
Mayban Finance Berhad
— Johor Bahru 5,253,134 5,103,309
— Taman Putera (ISF)
3,000,000 2,000,000
Hong Leong Bank — Taman Universiti
—
—
690
[31hb Mac 2005
RHB Bank Berhad
— Ulu Tiram 4,975,494 4,918,067
— Taman Skudai Baru 8,890,281 6,805,102
— Taman Skudai Baru (ISF)
3,500,000 3,500,000
— Giant (ISF)
2,500,000 1,000,000
Alliance Bank Malaysia Berhad – Taman 3,017,221
—
Tun Aminah 89,448,531 77,013,567
7. WANG TUNAI
Di Bank
— Akaun Semasa 6,062,212 12,552,142
,
— Akaun Semasa ISF
6,891,821 7,214,122
— Akaun Semasa Kumpulan Wang 325,994 168,795
Pendahuluan Kenderaan
— Akaun Semasa Kumpulan Wang 62,820
—
Pendahuluan Komputer
— Akaun Semasa Kumpulan Wang 4,495,833 748,089
Projek Taman Gaya (Interchange)
— Akaun Semasa Kumpulan Wang 3,121 1,314,384
Projek Pembinaan Jalan Sungai
Danga
— Akaun Semasa Kumpulan Wang 1,276,138
—
Projek Pembinaan Jambatan
Sungai Melana
Di Tangan
— Dalam Tangan 2,500 2,500
— Panjar Wang Runcit 500 500
— Mesin Setem 2,381 1,446 19,123,320 22,001,978
8. WANG AMANAH
22,649,442 20,546,332
9. SI PIUTANG
Elektrik (Lampu, Jalanraya dan Awam)
206,560 177,345
Bangunan Balairaya/Dewan 125,812
—
Bangunan Pasar 19,000
—
Bangunan Gerai 19,950
—
Membaiki Jalan 174,405 193,852
Parit Dan Pembentong 315,451 544,447
Kemudahan Riadah Dan Taman 156,352 233,207
Kontrak Pembersihan 85,966 91,445
Penyelenggaraan Pokok-pokok 75,538 174,507
Penyelenggaraan Tandas Awam 19,850
—
Penyelenggaraan Sistem Pembentungan Pusat 1,750 965
Kompleks Sukan/Stadium/Padang
—
36,400
Penyelenggaraan Lampu-lampu 59,520
—
Pusat Kenderaan 13,550
—
2003 2002
31hb Mac 2005]
691
Jejantas
—
5,950
Kontrak Penswastaan Sampah 2,376,776 1,984,348
Kemudahan-Kemudahan Yang Lain 38,265 26,680
Taman Rekreasi/Taman Riadah 165,635 98,818
Pondok Bas/Bas Bay 19,950 17,000
Perhentian Bas/Teksi 127,852 16,414
Padang Permainan Awam 468,752 224,145
Taman Permainan Kanak-kanak 316,014 321,146
Dewan Raya Dan Kompleks Sukan
—
650,650
Gelanggang Permainan 700,280 97,820
Pengindahan Bandar/Kemudahan Awam 9,850 76,950
Pasar Awam 352,542 1,013,584
Gerai/Tapak Penjaja 668,542 507,579
Stor/Tapak Semaian 19,888 200,117
Jalanraya 1,336,456 1,673,886
Jejantas/Jambatan 449,372
—
Parit, Pembentong Dan Tembok 1,301,152 786,426
Lampu Jalan Dan Bekalan Elektrik 679,410 567,830
Lampu Isyarat 306,129 64,550
Pembangunan ISF
Pengindahan 1,318,418 640,131
Jalanraya 2,227,857 2,706,336
Jejantas 4,679,635 3,534,800
Parit, Pembentong Dan Tembok 699,841 1,937,052
Pengairan Dan Saliran
—
145,185
Lampu Jalan 58,015 170,783
Lampu Isyarat 265,540 196,800 19,859,875 19,117,148
10. LAIN-LAIN SI PIUTANG
Elaun Tanggungan Kerja 1,180 605
Elaun Memandu Tugas Kenderaan
—
100
Elaun Tetap Ahli Majlis 4,675.00
—
Elaun Tetap Ex-Officio
—
925
Elaun Mesyuarat Ahli Majlis
—
5,425
Elaun Lebih Masa Kakitangan Awam
—
24,273
Lesen Memandu Dan Yuran Kursus 15 70
Makanan Dan Minuman Kakitangan Awam 386
—
Penginapan Kakitangan Awam 4,828 1,340
Elaun Perjalanan Tambang Bas/Teksi 11,460 9,770
Kakitangan
Bayaran Tambang Kapal Terbang 658 650
Bayaran Yang Lain Seperti Tip, Tol Dan 318 74
Lain-lain
Penginapan
—
150
Elaun Perjalanan Tambang Bas/Teksi Ahli Majlis 10,593 5,805
Bayaran Pos Biasa, Mel Udara, Mel Berdaftar 7 5,005
Telefon (Sewaan/Pemasangan Alat)
10,677 15,885
2003 2002
692
[31hb Mac 2005
2003 2002
Perhubungan Walkie-Talkie (Permit)
—
—
Perkhidmatan Perhubungan Yang Lain 23,438 4,196
Elektrik (Lampu Bangunan Majlis)
68,240 99,469
Air 28,199 162,068
Sewa Jentera-Jentera Lain 200 15,000
Bayaran Sewa Yang Lain
—
—
Alat-Alat Ganti Kenderaan Darat 9,609 13,761
Alat-Alat Ganti Jentera Pembinaan 760
—
Alat-Alat Ganti Kelengkapan Elektronik 2,712
—
Alat-Alat Kelengkapan Elektrik 2,300 3,224
Alat Ganti Mesin Rumput
—
3,121
Alat-Alat Ganti Yang Lain 3,122 3,720
Minyak Petrol 1,782 4,246
Minyak Diesel 5,019 7,879
Tayar, Tiub Dan Bateri 6,150 10,626
Tanah Hitam
—
14,993
Galian Mentah Yang Lain 2,901
—
Bahan Pengecat 5,920 131
Baja
—
5,058
Racun Serangga Dan Racun Tumbuh-Tumbuhan
—
4,997
Alat Kecil Pertanian 2,271
—
Pasu Bunga 350 21,995
Suratkhabar, Majalah, Warta Kerajaan Dan 1,508 2,650
Lain-Lain
Alat Tulis Pejabat 9,358 1,315
Alat Tulis Komputer 6,095 16,202
Alat Percetakan Pelan
—
505
Bekalan Pejabat Yang Lain 1,317 3,656
Bekalan Rumah Tangga 3,852
—
Alat-Alat Pembersih
—
4,950
Patil Lesen
—
6,750
Beg Plastik 60 6,550
Tong Sampah
—
—
Papan Tanda Pemberitahu 1,440 11,584
Bekalan Am Yang Lain 3,300 1,485
Alat-alat Sukan Dan Olahraga
—
8,400
Bekalan Filem Fotografi, Side Project Dan 466 308
Lain-Lain
Bendera
—
4,550
Pakaian Seragam 44,144 41,936
Apron
—
—
Pakaian Lain Seperti Kasut Dan Baju Hujan 30,642 30,024
Bekalan Kelengkapan Tugas Yang Lain
—
1,984
Alat Perkakas Kejuruteraan
—
1,928
Bangunan Kediaman
—
340
Bangunan Pejabat 20,760 48,286
Bangunan Dewan/Balairaya
—
34,850
Bangunan Pasar
—
5,000
Bangunan Gerai
—
57,378
Depo/Bengkel
—
5,000
Bangunan-bangunan Yang Lain
—
28,840
Kemudahan Bekalan Elektrik 168,529 9,350
Kemudahan Perhubungan Telefon Dan Alat
—
2,990
Walkie–Talkie
Tempat Letak Kereta
—
23,700
Penyelenggaraan Tangki Najis
—
2,500
Kenderaan Penumpang (Pajero Dan Van)
6,124 11,063
Kenderaan Lori 8,117 7,977
Kenderaan-Kenderaan Yang Lain 1,183
—
Jentera Pembinaan 264 198
Perabot Dan Lengkapan Yang Lain
—
11,490
Komputer Dan Mesin Pengira 19,425 1,850
31hb Mac 2005]
693
Alat Kelengkapan Trafik Dan Lampu Isyarat 58,801 126,030
Alat-Alat Kelengkapan Elektronik Yang Lain 234 3,282
Alat Kelengkapan Hawa Dingin 7,698 5,526
Alat Kelengkapan Elektrik Yang Lain 442 2,170
Alat Kelengkapan Bekalan Air
—
8,850
Perkhidmatan Perubatan 850 1,000
Bayaran Audit 56,937 72,587
Perkhidmatan Perundangan 5,318
—
Latihan Kakitangan 331 1,600
Perkhidmatan Komputer/Prosesan Data 28,710 75,670
Perkhidmatan Perunding Kerja Ukur
—
368
Perkhidmatan Perunding Elektrik 6,560 11,250
Perkhidmatan Perunding
—
201,681
Perkhidmatan Pengiklanan 6,942 8,797
Perkhidmatan Perlindungan/Keselamatan 89,793 73,824
Rancangan Penilaian Semula
—
—
Rancangan Struktur/Tempatan 10,760
—
Kursus/Lawatan Sambil Belajar 9,900
—
Perkhidmatan Dobi 574
—
Perkhidmatan-Perkhidmatan Yang Lain
—
5,087
Percetakan Borang, Kad Dan Kepala Surat 22,255 8,437
Percetakan Buku Laporan 3,261 1,400
Bayaran Perkhidmatan Percetakan Yang Lain 6,450 5,160
Elaun Lebih Masa
—
22,047
Kumpulan Wang Simpanan Pekerja
—
289
Bayaran Ganjaran 29,375
—
Makanan Dan Minuman Mesyuarat 4,270 4,604
Orang Jemputan 480
—
Keraian Pejabat 83,610 15,405
Hari Terbuka Majlis
—
—
Perkhidmatan Sosial
—
—
Membeli Van/Trooper/Pajero
—
90,856
Lori
—
480,256
Jentera Pembinaan
—
160,000
Mesin Rumput 3,530
—
Baikpulih Van/Trooper/Pajero 85
—
Alat Kelengkapan Pejabat 20,000
—
Perabot Dan Lengkapan Dari Kayu
—
2,800
Perabot Dan Lengkapan Dari Besi 16,510 43,745
Buku Rujukan/Bahan Penerbitan/Perpustakaan
—
12
Khemah, Meja Dan Kerusi
—
31,680
Alat Kelengkapan Dewan 87,140 125,869
Perhiasan Pejabat/Dewanraya 2,000 240
Peralatan Dapur
—
8,045
Perabot Dan Lengkapan Yang Lain 8,695
—
Komputer Dan Mesin Pengira
—
85,725
Hawa Dingin
—
6,450
Mesin Photostat 16,356
—
Alat Kelengkapan Elektrik 7,090
—
Telefon
—
750
Perubatan Kesihatan 41,900
—
Papan Nama/Tanda Jalan
—
221,146
Anak Pokok 30,239 9,795
Benih
—
19,900
Pemberian Kepada Sukan Kerajaan Tempatan
—
—
Dan Kelab Sukan
Bayaran Balik Pinjaman Dalam Negeri
—
—
Pulangbalik Hasil 50 44,560
Insuran Kenderaan 11,041 1,700
Insuran Pemindahan Wang Tunai 9,120
—
Pelbagai Bayaran Termasuk Premium Insurans,
4,297 3,312
Komisen
Hasil SAJ
92,337 42,716
Bayaran Balik Kos Guaman 607 189
Penswastaan Tempat Letak Kereta 21,749
—
Sumbangan Pondok Bas 10,000
—
Peruntukan KPKT
—
17,050
Peruntukan Landskap Negara
—
1,200 1,350,651 2,893,210
2003 2002
694
[31hb Mac 2005
2003 2002
11. PELBAGAI SI PIUTANG DAN AKRUAL
Bayaran Terdahulu Cukai Harta 785,672 1,109,427
Bayaran Terdahulu Cukai Najis 6,495 9,236
Bayaran Terdahulu Notis 34,155 34,931
Bayaran Terdahulu Perkhidmatan Sampah 510 710
Bayaran Terdahulu Sewa Pasar 4,604 580
Bayaran Terdahulu Sewa Dewan 6,680 15,270
Bayaran Terdahulu Sewa Geleanggang Permainan 2,060 2,320
Bayaran Terdahulu Sewa Gerai
—
150
Bayaran Terdahulu Sewa Kerusi Dan Meja 3,020 4,054
Bayaran Terdahulu Sewa Lot Kaunter Terminal
—
—
843,196 1,176,678
12. KUMPULAN WANG TERKUMPUL MAJLIS
Lebihan Terkumpul Pada 1 Januari 147,150,879 128,915,591
Pindahan ke Baki Kumpulan Wang Terkumpul
(150,000.00)
—
Pinjaman Komputer
—
—
Lebihan Terkumpul Dinyatakan Semula 147,000,879 128,915,591
Pelarasan-Pelarasan Tahun Lepas
Wang Pertaruhan Air Yang Terkurang Nyata
—
10,000
Tahun Lepas
Mengambilkira Pelarasan Sewa Petak Pasar 68,244
—
Malam Tahun Lepas
Mengambilkira Pelarasan Wang Pertaruhan Air 500
—
Dewanraya Taman Puteri Wangsa
Pelarasan Pindahan Kumpulan Wang Pinjaman 55,000
—
Kenderaan
Pelarasan Pindahan Kumpulan Wang Pinjaman 11,000
—
Komputer
Mengambilkira Harta Tetap-Peralatan Pejabat 630
—
Terkurang Nyata
Mengambilkira Harta Tetap-Lampu Hiasan 620,274
—
Terkurang Nyata
Mengambilkira Harta Tetap-Peralatan Elektrik 18
—
Mengambilkira Pelarasan Susutnilai Harta 1,402
—
Tetap-Mesin Jentera
Mengambilkira Pelarasan Balik Pinjaman
—
10
Dalam Negeri 147,757,947 128,925,601
Lebihan/(Kurangan) Semasa 19,684,927 18,225,278 167,442,874 147,150,879
13. KUMPULAN WANG TERKUMPUL ISF
Baki Pada 1 Januari 2003 28,525,375 38,698,554
Penerimaan Hasil Semasa 6,103,222 6,350,077
Penerimaan Faedah Semasa 56,138 87,719
Penerimaan Faedah Simpanan Tetap
—
317
Cek Belum Tunai 776,144 19,828
Bayaran Balik Wang ISF
—
250,000
Bayaran Balik Akaun Semasa
—
393,252 35,460,879 45,799,747
31hb Mac 2005]
695
Tolak:
Perbelanjaan Semasa
(5,514,007)
(2,942,528)
Perbelanjaan Semasa (Wang Majlis)
—
(4,675,764)
Faedah Simpanan Semasa
(57,001)
(324,993)
Tanggungan Akhir Si Piutang 2002
(9,249,305)
(9,331,087)
Tanggungan Akhir Lain-Lain Si Piutang 2001
(19,828)
—
20,620,738 28,525,375
14. KUMPULAN WANG PENDAHULUAN
KENDERAAN
Baki Pada 1 Januari 2003 250,000 250,000
Pindahan Daripada Kumpulan Wang Majlis 250,000 250,000
15. KUMPULAN WANG PENDAHULUAN
KOMPUTER
Baki Pada 1 Januari 2003
—
—
Pindahan Daripada Kumpulan Wang Majlis 150,000
—
150,000
—
16. KUMPULAN WANG PROJEK TAMAN
GAYA (INTERCHANGE)
Baki Pada 1 Januari 2003 774,591 2,463,133
Penerimaan Hasil Semasa 5,438,900 4,181,750
Faedah Bank 37,886 24,614
Tolak:
Perbelanjaan Semasa
(1,689,049)
(5,894,906)
4,562,328 774,591
17. KUMPULAN WANG PROJEK JALAN
SUNGAI DANGA
Baki Pada 1 Januari 2003 1,314,734
—
Penerimaan Hasil Semasa 3,390,000 1,310,000
Faedah Bank 4,381 4,734
Tolak:
Perbelanjaan Semasa
(4,696,903)
—
12,212 1,314,734
18. KUMPULAN WANG PROJEK JAMBATAN
SUNGAI MELANA
Baki Pada 1 Januari 2003
—
—
Penerimaan Hasil Semasa 1,625,000
—
Faedah Bank 6,944
—
Tolak:
Perbelanjaan Semasa
(349,946)
—
1,281,998
—
19. KUMPULAN WANG PROJEK
PEMBANGUNAN LANDSKAP
Baki Pada 1 Januari 2003 850 278,226
Penerimaan Hasil Semasa 93,838 416,338
Tolak:
Perbelanjaan Semasa
(93,838)
(693,714)
850 850
2003 2002
696
[31hb Mac 2005
20. KUMPULAN WANG TERKUMPUL PROJEK
Baki Pada 1 Januari 2003 103,000
—
Penerimaan Hasil Semasa 4,267,801 2,145,789
Tolak:
Perbelanjaan Semasa
(4,267,801)
(2,042,789)
103,000 103,000
21. PENDAPATAN TERTUNDA
Geran (Aset Tetap Diterima)
Baki Pada 1 Januari 2003 5,964,694 4,185,475
Terimaan Semasa 1,433,039 1,779,219 7,397,733 5,964,694
Tolak:
Baki pada 1 Januari 2002
Pelunasan Terkumpul
(277,570)
(152,076)
Pelunasan Semasa
(150,671)
(125,494)
6,969,492 5,687,124
22. KUMPULAN WANG TERKUMPUL
PERUNTUKAN SUKAN SEA
Baki Pada 1 Januari 2003 20,970 20,769
Penerimaan Hasil Semasa
—
201
Tolak:
Perbelanjaan Semasa
(2,733)
—
18,237 20,970
23. KUMPULAN WANG AKAUN AMANAH
SAMBUTAN PENGISYTIHARAN MPJBT
Baki Pada 1 Januari 2003
—
22
Penerimaan Hasil Semasa
—
—
Tolak:
Perbelanjaan Semasa
—
(22)
—
—
24. CUKAI
Cukai Harta 51,397,462 47,496,708
Caruman Bantu Kadar 412,167 385,389
Cukai Najis
—
2,023 51,809,629 47,884,120
25. LESEN, TERIMAAN PENDAFTARAN DAN
PERMIT
Permit 737,532 772,199
Bayaran Untuk Berniaga 3,974,910 3,444,040 4,712,442 4,216,239
26. PERKHIDMATAN DAN TERIMAAN
PERKHIDMATAN
Bayaran Perkhidmatan 4,100,845 4,358,720
Bayaran Perkhidmatan Lain 154,576 166,292 4,255,421 4,525,012
2003 2002
31hb Mac 2005]
697
27. PEROLEHAN DARI JUALAN-JUALAN
BARANG-BARANG
Jualan Barang-Barang Cetak 355,534 185,701
Jualan Barang-Barang Stor 95,852 91,399
Pelbagai Jualan 932
—
452,318 277,100
28. SEWAAN
Sewa Tanah 342,400 302,400
Sewa Bangunan 1,127,310 799,045
Sewa Pelbagai 2,843,929 2,983,915 4,313,639 4,085,360
29. FAEDAH PEROLEHAN DARI
PELABURAN
Faedah Simpanan Semasa 298,911 562,127
Faedah Simpanan Tetap 1,860,271 1,420,567
Faedah Simpanan Tetap ISF
932,702 809,741
Faedah Pinjaman Kenderaan 7,947 7,402
Faedah Pinjaman Komputer 2,181 1,978
Pelbagai Faedah Dan Terimaan Pelaburan 4,927 14,377 3,097,939 2,816,192
30. PELBAGAI DENDA DAN RAMPASAN
Kompaun-Kompaun 287,327 340,062
Denda Lewat Bayar Hasil 7,632 3,877
Notis Dan Waran 1,065,518
(569,407)
Hukuman Pecah Kontrak 115,000 612
Denda Bangunan Tanpa Kelulusan 37,732 274,861
Pelbagai Denda Dan Rampasan 12,415 7,680 1,525,624 57,685
31. TERIMAAN BUKAN HASIL
Bayaran Balik Kerana Letak Jawatan 646 1,150
Bayaran Balik Penggunaan Telefon Persendirian
—
2,692
Terimaan Balik Bayaran Air 119,723 74,926
Terimaan Balik Bayaran Elektrik 10,800 7,400
Bayaran Balik Pinjaman Komputer
—
141
Pelbagai Bayaran Balik Yang Lain 27,031 5,023 158,200 91,332
32. DAPATKAN BALIK WANG-WANG
TIDAK DITUNTUT
Wang Amanah Dan Cagaran Yang Tidak 25,053 3,913
Dituntut
33. TERIMAAN DARI AGENSI-AGENSI
KERAJAAN
Geran Keseimbangan Persekutuan
—
258,706
Geran Keseimbangan Negeri 50,000 100,000
Pelbagai Pemberian Yang Lain
—
125,494 50,000 484,200
2003 2002
698
[31hb Mac 2005
2003 2002
34. PELBAGAI PEMBERIAN
Pemberian Kerajaan Persekutuan Untuk
—
—
Laksana Projek (KPKT)
Pemberian Kerajaan Negeri Untuk 150,671
—
Laksana Projek (KPKT)
Pelbagai Pemberian - (Jabatan Landskap 1,700
—
Negara)
152,371
—
35. PELBAGAI TERIMAAN
Bayaran Kemajuan Tempat Letak Kereta
—
10,000
Terimaan-Terimaan Yang Lain 5,117 2,303
Hari Landskap Negeri Johor Tahun 2003 143
—
Sumbangan Projek Pembangunan 100,660
—
105,920 12,303
36. GAJI DAN ELAUN
Emolumen Dan Tunggakan 2,911,609 2,839,867
Elaun Tanggungan Kerja 4,911 6,688
Elaun Tetap Kakitangan Awam 532,627 544,711
Elaun Lebih Masa Kakitangan Awam 347,901 425,943
Elaun Tetap Yang DiPertua 4,200 4,200
Elaun Gantian Perjalanan Yang Dipertua 5,400 5,400 3,806,648 3,826,809
37. ELAUN UNTUK AHLI MAJLIS
Elaun Tetap Ahli Majlis 158,400 229,692
Elaun Tetap Ex-Officio 6,475 6,300
Elaun Mesyuarat Ahli Majlis 30,625 32,225 195,500 268,217
38. SUMBANGAN BERKANUN UNTUK
KAKITANGAN AWAM
Kumpulan Wang Simpanan Pekerja 54,519 56,474
Caruman Tabung Pencen 396,446 372,675 450,965 429,149
39. FAEDAH KEWANGAN KAKITANGAN
AWAM
Lesen Memandu Dan Yuran Kursus 2,950 3,065
Bayaran Gantian Cuti Sebelum Bersara 2,920 3,318
Pelbagai Pemberian 10,140 52,900 16,010 59,283
40. PERBELANJAAN PERJALANAN DAN
SARA HIDUP
Kakitangan Awam:
Makanan Dan Minuman 7,537 10,058
Penginapan 28,490 34,553
Elaun Perjalanan, Tambang Bas Dan Teksi 84,645 78,456
Bayaran Tambang Kapal Terbang 7,120 14,122
Bayaran Lain Seperti Tip, Tol 5,887 5,887
Ahli-Ahli Majlis:
Penginapan 563 7,728
Elaun Perjalanan, Tambang Bas 50,628 45,209
Dan Teksi
Bayaran Lain Seperti Tip, Tol 75 5,475 184,945 201,488
31hb Mac 2005]
699
41. PENGANGKUTAN BARANG-BARANG
KAKITANGAN
Elaun Pemberian Pindah 503 7,628
42. PERHUBUNGAN
Bayaran Pos, Mel Udara Dan Mel Daftar 19,306 28,667
Telefon Termasuk Sewaan Dan Kos 74,026 84,692
Pemasangan Alat
Perhubungan Walkie-Talkie (Permit)
4,132 4,140
Perkhidmatan Perhubungan Yang Lain 59,410 9,708 156,874 127,207
43. UTILITI
Elektrik 3,231,553 3,154,137
Air 392,987 529,254 3,624,540 3,683,391
44. SEWA
Sewa Jentera-Jentera Lain 200 15,000
Sewa Alat Kelengkapan Pejabat, Perabot 800
—
Dan Lengkapan
Bayaran Sewa Yang Lain 24,295 16,865 25,295 31,865
45. BEKALAN BAHAN MENTAH DAN
BAHAN-BAHAN UNTUK PENYELENG-GARAAN PEMBAIKAN
Alat-Alat Ganti 236,773 208,371
Petroleum Dan Bahan-Bahan Pembakar 108,117 86,167
Getah Dan Barang Keluaran Getah 35,119 41,937
Kayu Dan Keluaran Kayu 6,850 18,290
Galian Mentah Bukan Logam 18,031 14,993
Kimia Dan Bahan Kimia 50,241 30,380 455,131 400,138
46. BEKALAN
Bekalan Pertanian 27,412 94,931
Bekalan Pejabat 238,988 222,956
Bekalan Am 197,738 209,940
Bekalan Dan Bahan Fotografi 9,814 13,668
Bahan Tenunan Dan Barang-Barang Pakaian 148,506 157,157
Bekalan Dan Alat-Alat Kejuruteraan 2,890 1,928 625,348 700,580
47. PENYELENGGARAAN DAN PEMBAIKAN
KECIL DIBELI
Penyelenggaraan Bangunan 802,993 766,993
Penyelenggaraan Kemudahan 18,296,277 16,960,126
Penyelenggaraan Kenderaan 112,588 93,384
Penyelenggaraan Jentera 28,455 2,119
Penyelenggaraan Alat Kelengkapan Pejabat 6,440 20,773
Dan Perabot
Penyelenggaraan Alat Kelengkapan Elektronik 448,063 409,076
Penyelenggaraan Alat Kelengkapan Elektrik 87,683 38,833
Penyelenggaraan Aset-Aset Lain
—
13,830 19,782,499 18,305,134
2003 2002
700
[31hb Mac 2005
48. PERKHIDMATAN YANG DIBELI
Perkhidmatan Perubatan 17,355 10,540
Perkhidmatan Auditan
—
56,237
Perkhidmatan Perundangan 5,618 4,232
Perkhidmatan Penilaian 2,000
—
Latihan Kakitangan 8,475 69,359
Perkhidmatan Komputer/Prosesan Data 31,810 18,000
Perkhidmatan Perunding Kerja Ukur
—
368
Perkhidmatan Perunding Elektrik 31,870 45,000
Perkhidmatan Perunding 10,238 144,889
Perkhidmatan Pengiklanan 125,529 77,807
Perkhidmatan Perlindungan Dan Keselamatan 447,328 351,249
Rancangan Penilaian Semula
—
—
Rancangan Struktur/Rancangan Tempatan 40,128 59,065
Kursus/Lawatan Sambil Belajar 9,900
—
Perkhidmatan Dobi 3,158
—
Bayaran Upah 38,982
—
Perkhidmatan-Perkhidmatan Yang Lain 3,930 98,509 776,321 935,255
49. LAIN-LAIN PERKHIDMATAN
Perkhidmatan Percetakan Dan Menjilid 237,571 188,730
Bayaran Pekerja Kontrak/Sambilan/Sementara 3,017,465 2,554,086
Keraian, Hospitaliti Dan Honorarium 255,907 194,776 3,510,943 2,937,592
50. ALAT KELENGKAPAN
Alat Kelengkapan Pejabat, Perabot 23,294 100,200
Alat Kelengkapan Elektronik
—
7,300
Alat Kelengkapan Elektrik 440 450
Alat Perhubungan Dan Penyiaran
—
—
Alat Kelengkapan Fotografi, Perubatan Dan Muzik 10,052 1,348
Alat Kelengkapan Yang Lain
—
791,895 33,786 901,193
51. POKOK DAN BENIH
Anak Pokok 59,349 149,111
Benih 8,154 39,880 67,503 188,991
52. PINJAMAN
Pinjaman Pembelian Komputer
—
10,997
53. PEMBERIAN DALAM NEGERI
Kumpulan Wang Pinjaman Kenderaan
—
55,000
54. PEMBERIAN KEPADA PERSATUAN
KEBANGSAAN YANG TIDAK BERMOTIF
KEUNTUNGAN
Kurniaan Tambang Haji
—
15,230
Sukan Kerajaan Tempatan Dan Kelab Sukan
—
10,000
Pemberian Pengurusan Jenazah 1,000
—
Pemberian-Pemberian Yang Lain 4,000
—
5,000 25,230
55. BAYARAN BALIK PINJAMAN
Bayaran Balik Pinjaman Dalam Negeri
—
10,473
2003 2002
31hb Mac 2005]
701
2003 2002
56. PULANGBALIK DAN HAPUSKIRA
Pulangbalik Hasil 414,948 430,883
Hapuskira Hutang Lapuk 570,525 570,526
Hapuskira Harta Benda 34,998
—
1,020,471 1,001,409
57. CUKAI DAN PELBAGAI
Cukai Tanah 18,474 15,344
Bayaran Peperiksaan Penguasa Tempatan
—
—
Pelbagai Insuran 148,361 143,559
Pelbagai Bayaran 46,987 26,897 213,822 185,800
58. SUSUTNILAI
Tanah 9,159 83,520
Bangunan 2,261,065 2,159,263
Loji Dan Jentera 46,484 54,611
Peralatan Pejabat 25,721 16,582
Kenderaan 276,919 311,458
Perabot Dan Lengkapan Pejabat 199,898 221,572
Peralatan Elektronik 419,709 412,783
Pelaratan Elektrik 122,303 142,259
Lain-lain 98,087
—
3,459,345 3,402,048
59. PERBELANJAAN PEMBANGUNAN
Taman Rekreasi/Taman Riadah 195,525 117,818
Pondok Bas/Bas Bay 353,064 548,830
Perhentian Bas/Teksi 40,237 23,114
Padang Permainan Awam 192,464 414,308
Taman Permainan Kanak-Kanak 849,642 976,229
Dewanraya Dan Kompleks Sukan 15,996 7,600
Gelanggang Permainan 754,346 305,541
Pengindahan Bandar/Kemudahan Awam 171,750 310,950
Pasar Awam 20,400 48,420
Gerai/Tapak Penjaja 59,712 7,800
Stor/Tapak Semaian 43,519 77,150
Depo/Bengkel
—
—
Jalanraya 4,331,013 2,940,952
Jejantas/Jambatan 954,691 144,151
Parit, Pembentong Dan Tembok 2,657,378 1,663,386
Lampu Jalan 1,485,443 785,237
Lampu Isyarat 437,000 161,815 12,562,180 8,533,301
60. ANGKA PERBANDINGAN
Terdapat angka-angka perbandingan yang tertentu telah diatur dan diklasifikasikan semula bagi mematuhi pembentangan tahun kewangan semasa.
Yang Dipertua
Setiausaha
Majlis Perbandaran Johor Bahru
Majlis Perbandaran Johor Bahru
Tengah
Tengah
Tarikh: 15 September 2004
702
[31hb Mac 2005
BOON TOWN PROJECT SDN. BHD.
(Company No. 351526-T)
(Incorporated in Malaysia)
No. 695.
DIRECTORSʼ REPORT FOR THE YEAR ENDED 31 OCTOBER 2004
The directors present their report together with the audited financial state
ments of the Company for the financial year ended 31 October 2004.
PRINCIPAL ACTIVITY
The principal activity of the Company are property development. There has been no significant change in this principal activity during the financial year.
RESULTS
Loss for the financial year
(40,350)
Accumulated losses brought forward
(24,121)
Accumulated losses carried forward
(64,471)
ITEMS OF AN UNUSUAL NATURE
The results of the operations of the Company for the financial year were not, in the opinion of the directors, substantially affected by any item, transaction or event of a material and unusual nature.
There has not arisen in the interval between the end of the financial year and the date of this report any item, transaction or event of a material and unusual nature likely, in the opinion of the directors, to affect substantially the results of the operations of the Company for the current financial year.
DIVIDENDS
No dividend has been paid, declared or proposed by the Company since the end of the previous financial year.
RESERVES AND PROVISIONS
There were no material transfers to or from reserves or provisions during the financial year.
SHARE CAPITAL
No shares were issued by the company during the financial year.
BAD AND DOUBTFUL DEBTS
Before the income statement and balance sheet of the Company were made out, the directors took reasonable steps to ascertain that action had been taken in relation to the writing off of bad debts and the making of allowance for doubtful debts, and statisfied themselves that all known bad debts had been written off and that adequate allowance had been made for doubtful debts.
At the date of this report, the directors are not aware of any circumstances which would render the amount written off for bad debts or the amount of allowance for doubtful debts in the financial statements of the Company inadequate to any substantial extent.
31hb Mac 2005]
703
CURRENT ASSETS
Before the income statement and balance sheet of the Company were made out, the directors took reasonable steps to ascertain whether any current assets, other than debts, were unlikely to realise in the ordinary course of business their value as shown in the accounting records of the Company and, to the extent so ascertained, were written down to an amount that they might be expected to realise.
At the date of this report, the directors are not aware of any circumstances which would render the values attributed to the current assets in the financial statements of the Company misleading.
VALUATION METHODS
At the date of this report, the directors are not aware of any circumstances which have arisen which render adherence to the existing methods of valuation of assets or liabilities in the financial statements of the Company misleading or inappropriate.
CHANGE OF CIRCUMSTANCES
At the date of this report, the directors are not aware of any circumstances, not otherwise dealt with in this report or the financial statements of the
Company, which would render any amount stated in the financial statements misleading.
CONTINGENT AND OTHER LIABILITIES
At the date of this report, there does not exist:
(a) any charge on the assets of the Company that has arisen since the end of the financial year which secures the liabilities of any other person;
or
(b) any contingent liability in respect of the Company that has arisen since the end of the financial year.
No contingent or other liabilities of the Company has become enforceable, or is likely to become enforceable within the period of twelve months after the end of the financial year which, in the opinion of the directors, will or may substantially affect the ability of the Company to meet its obligations as and when they fall due.
DIRECTORS
The directors who served since the date of the last report are:
Low Yew Seun
Lim Chin Huat
Sek Ann Thong
Raisah binti Abdul Kadir
In accordance with the Articles of Association, Cik Raisah binti Abdul
Kadir retires from the board at the annual general meeting and, being eligible, offers herself for re-election.
704
[31hb Mac 2005
DIRECTORSʼ INTERESTS IN SHARES
According to the register of directorsʼ shareholdings, the interests of the directors who held office at the end of the financial year in shares of the
Company were as follows:
Balance
Balance
1.11.2003
Bought
Sold 31.10.2004
Sek Ann Thong 162,500
–
(75,000)
87,500
Low Yew Seun 62,500
–
–
62,500
Lim Chin Huat 25,000
–
–
25,000
Raisah binti Abdul Kadir
–
75,000
–
75,000
DIRECTORSʼ BENEFITS
Since the end of the previous financial year, no director has received or become entitled to receive any benefit by reason of a contract made by the
Company with a director or with a firm of which a director is a member or with a company in which a director has a substantial financial interest.
Neither during nor at the end of the financial year was the Company a party to any arrangement whose object is to enable the directors to acquire benefits by means of the acquisition of shares in, or debentures of, the Company or any other body corporate.
AUDITORS
The auditors, H.Y. Lim & Co., have indicated their willingness to continue in office.
On behalf of the Board
SEK ANN THONG
LOW YEW SEUN
Kluang 2 February 2005
BALANCE SHEET 31 OCTOBER 2004
Note(s)
2004 2003
Share Capital
Ordinary shares of RM1 each:
Authorised
500,000 500,000
Issued and fully paid
250,000 250,000
Accumulated Losses
(64,471)
(24,121)
185,529 225,879
31hb Mac 2005]
705
BALANCE SHEETS 31 OCTOBER 2004—(contʼd.)
Note(s)
2004 2003
Represented by:
PROPERTY, PLANT AND EQUIPMENT
3 4,696 5,283
CURRENT ASSETS
Development expenditure 4 1,221,123 144,214
Other debtor, deposits and prepayments
6,523 2,476
Amounts owing by directors 5 87,500 91,454
Cash and bank balances 6 211,056 35,370
1,526,202 273,514
CURRENT LIABILITIES
Trade creditor
83,696
–
Other creditors and accruals
102,652 52,918
Amount owing to a director 5 248,999
–
Bank overdraft 7 910,022
–
1,345,369 52,918
Net current Assets
180,833 220,596
185,529 225,879
The accompanying notes form 707 an 710 integral part of these financial statements.
STATEMENT OF CHANGES IN EQUITY
FOR THE YEAR ENDED 31 OCTOBER 2004
Share
Accumulated
Capital
Losses
Total
Balance at 1 November 2003 250,000
(24,121)
225,879
Net loss for the year
–
(40,350)
(40,350)
Balance at 31 October 2004
250,000
(64,471)
185,529
The accompanying notes form 707 an 710 integral part of these financial statements.
INCOME STATEMENT
FOR THE YEAR ENDED 31 OCTOBER 2004
Note(s)
2004 2003
REVENUE
–
–
OTHER INCOME
580
–
OPERATING EXPENSES
(40,930)
(9,459)
OPERATING LOSS
8
(40,350)
(9,459)
The accompanying notes form 707 an 710 integral part of these financial statements.
706
[31hb Mac 2005
CASH FLOW STATEMENT FOR THE YEAR ENDED 31 OCTOBER 2004
Note(s)
2004 2003
CASH FLOWS FROM OPERATING ACTIVITIES
Operating loss
(40,350)
(9,459)
Adjustments For:
Depreciation
587 587
Operating Loss Before Working Capital Changes
(39,763)
(8,872)
(Increase)/Decrease in:
Development Expenditure
(1,076,909)
(144,214)
Other Debtor, Deposits And Prepayments
(4,047)
1,750
Amounts Owing By Directors
3,954 130,278
Increase In:
Trade Creditor
83,696
–
Other Creditors And Accruals
49,734 52,318
Amount Owing To A Director
248,999
–
Cash (Absorbed By)/Generated From
(734,336)
31,260
Operations
CASH FLOW FROM INVESTING ACTIVITIES
Purchase Of Property, Plant And Equipment
–
(5,870)
NET (DECREASE)/INCREASE IN CASH AND CASH
(734,336)
25,390
EQUIVALENTS
CASH AND CASH EQUIVALENTS AT BEGINNING OF
35,370 9,980
YEAR
CASH AND CASH EQUIVALENTS AT END OF YEAR
9
(698,966)
35,370
The accompanying notes form 707 an 710 integral part of these financial statements.
NOTES TO THE FINANCIAL STATEMENTS 31 OCTOBER 2004 1.
GENERAL INFORMATION
The principal activity of the Company is property development. There has been no significant change in this principal activity during the financial year.
The Company is a private limited company, incorporated and domiciled in Malaysia.
The financial statements were authorised for issue by the Board of
Directors in accordance with a resolution of the directors on 2 February 2005.
31hb Mac 2005]
707
2.
SIGNIFICANT ACCOUNTING POLICIES
The financial statements have been prepared in accordance with the applicable approved accounting standards in Malaysia and comply with the Companies Act, 1965.
(b) Property, plant and equipment and Depreciation
Property, plant and equipment are stated at cost less accumulated depreciation and impairment losses it any.
Depreciation is calculated to write off the cost of property, plant and equipment on a straight line basis over their estimated useful lives at the following annual rateds:
%
Office equipment 10
Signboard 10
(c) Development Properties
Development properties are stated at cost plus attributable develop
ment profit recognised less attributable losses recognised and progress billings and impairment losses. Development cost includes the cost of land and development expenditure and interest charges relating to the financing of developments.
(d) Cash and cash equivalents
Cash and cash equivalents consist of cash and bank balances net of bank overdraft.
Revenue relating to the sale of development properties is recognised on the percentage of completion basis in respect of units sold. When it is probable that development costs incurred will exceed total development revenue, the expected losses is recognised as an expense in the income statement.
Income tax on profit or loss for the year comprises current and deferred tax. Current tax is the expected amount of income taxes payable in respect of taxable profit for the year and is measured using tax rates that have been enacted at balance sheet date.
Deferred tax is liabilities and assets are provided for under the li
ability method at the current tax rate in respect of all temporary differences between the carrying amount of asset or liability in the balance sheet and its tax base including unused tax losses and capital allowances.
A deferred tax asset is recognised only to the extent that it is prob
able that taxable profit will be available against which deductible temporary differences can be utilised. The carrying amount of a deferred tax asset is reviewed at each balance sheet date. If it is
708
[31hb Mac 2005
WARTA KERAJAAN NEGERI JOHOR no longer probable that sufficient taxable profit will be available to allow the benefit of part or all of that deferred tax asset to be utilised, the carrying amount of the deferred tax asset will be reduced accordingly. When it becomes probable that sufficient taxable profit will be available, such reduction will be reversed to the extent of the taxable profit.
The carrying amounts of the Companyʼs assets are reviewed at each balance sheet date to determine whether there is any indication of impairment. Impairment is measured by comparing the carrying amounts of the assets with their recoverable amounts. If any such indication exists, the assetʼs recoverable amount is estimated and impairment loss is recognised in the income statement.
(h) Financial Instruments
Financial instruments carried on the balance sheet include cash and bank balances, investments, receivables, payables and borrowings.
The particular recognition methods adopted are disclosed in the individual accounting policy statements associated with each item.
Financial instruments are classified as liabilities or equity in accordance with the substance of the contractual arrangements.
Interest, dividends, gains and losses relating to a financial instru
ment classified as a liability, are reported as expense or income.
Distributions to holders of financial instruments classified as equity are charged directly to equity. Financial instruments are offset when the Company has a legally enforceable right to set off the recognised amounts and intends to settle either on a net basis or to realise the asset and settle the liability simultaneously.
3.
PROPERTY, PLANT AND EQUIPMENT
As at
As at
1.11.2003
Addition
Disposal 31.10.2004
Cost
Office Equipment 4,770
–
–
4,770
Signboard 1,100
–
–
1,100
5,870
–
–
5,870
As at
Charge for
As at
1.11.2003
the year
Disposal 31.10.2004
Accumulated
Depreciation
Office Equipment 477 477
–
954
Signboard 110 110
–
220
587 587
–
1,174
31hb Mac 2005]
709
2004 2003
Net Book Value
Office Equipment
3,816 4,293
Signboard
880 990
4,696 5,283 4.
DEVELOPMENT EXPENDITURE
Development Expenditure
1,221,123 144,214 5.
AMOUNTS OWING BY/(TO) DIRECTORS
The amounts owing by/(to) directors are unsecured, interest free and repayable on demand.
6.
CASH AND BANK BALANCES
Cash and bank balances of the Company include an amount of RM200,580
which is held under a Housing Development Account under Section 7A of the Housing Developers (control and licensing) Act, 1966.
7.
BANK OVERDRAFT
The Company has an overdraft facility of RM1,000,000 which is secured against fixed deposit of RM1,000,000 belonging to a director.
8.
OPERATING LOSS
Operating loss is stated after charging
2004 2003
Auditorsʼ remuneration
1,500 1,000
Depreciation
587 587
Rental of premises
24,000 2,000
and crediting:
Interest on housing development account 580
–
9.
CASH AND CASH EQUIVALENTS
Cash in hand
37 487
Cash and bank balances
211,019 34,883
Bank overdraft
(910,022)
–
(698,966)
35,370
710
[31hb Mac 2005
10. TAXATION
A reconciliation of income tax expense applicable to operating loss at the statutory income tax rate to income tax expense at the effective income tax rate of the Company is as follows:
2004 2003
Operating loss
(40,350)
(9,459)
Taxation at Malaysia statutory tax rate of 20% (2003: 20%)
(8,070)
(1,892)
Tax effect in respect of:
Expenses not deductible for tax purposes 519 793
Deferred tax assets not recognised in prior year
(1,620)
–
Deferred tax assets not recognised during the year
9,457 1,620
Temporary differences not recognised
(286)
(521)
–
–
At 31 October 2004, the Company has unabsorbed tax losses of approximately RM42,000 (2003: RM4,900) and unutilised capital allowances of approximately RM5,200 (2003: RM3,200) which can be used to offset future taxable profit subject to agreement with the Inland
Revenue Board.
The Company has deferred tax asset amounting to RM9,457 (2003:
RM1,620). However, the deferred tax asset arising from the carried forward of unabsorbed business losses and capital allowances is not recognised as there is no probable evidence of available future taxable profit against which temporary difference can be utilised.
11. FINANCIAL RISK MANAGEMENT POLICIES
The Companyʼs activities expose it to a limited number of financial risks.The Companyʼs overall risks management seeks to minimise potential adverse effects of these risks on the financial performance of the Company.
The Company has no significant concentration of credit risk. The carrying amounts of the Companyʼs debtors represent the Companyʼs maximun exposure to credit risk.
The Company maintains adequate reserves of cash to meet its liquidity requirements.
(c) Foreign Currency risk
The Company is not exposed to foreign currency risk as all its transactions are in Ringgit Malaysia.
The carrying amounts of the Companyʼs financial assets and liabilities approximate their fair values.
31hb Mac 2005]
711
STATEMENT BY DIRECTORS
We, Sek Ann Thong and Low Yew Seun being two of the directors of Boon
Town Project Sdn. Bhd., do hereby state on behalf of the directors that in our opinion, the financial statements set out on pages 6 to 14 are drawn up in accordance with applicable approved accounting standards in Malaysia and comply with the Companies Act, 1965 so as to give a true and fair view of the state of affairs of the Company as at 31 October 2004 and of the results of its operations and of its cash flows for the year ended on that date.
Sek Ann Thong
Low Yew Seun
Kluang
Date 2 February 2005
STATUTORY DECLARATION
I, Sek Ann Thong, (I.C. 340330-71-5297) being the Director primarily responsible for the accounting records and financial management of Boon
Town Project Sdn. Bhd., do solemnly and sincerely declare that the finan
cial statements set out on pages 6 to 14 are to the best of the best of my knowledge and belief, correct and I make this solemn declaration conscien
tiously believing the same to be true, and by virtue of the provisions of the
Statutory Declarations Act, 1960.
Subscribed and solemnly declared by
Sek Ann Thong
Sek Ann Thong (I.C. 340330-71-5297)
at Kluang in the State of Johore this
Date 2 February 2005
Before me,
Commissioner for Oaths
Abdul Sani bin Japeri
REPORT OF THE AUDITORS
TO THE MEMBERS OF BOON TOWN PROJECT SDN. BHD.
We have audited the financial statements set out on pages 6 to 14 of Boon
Town Project Sdn. Bhd., comprising of the balance sheet and the notes to the financial statements as at 31 October 2004 and of the income and cash flow statements for the year ended on that date.
The preparation of the financial statements are the responsiblility of the
Companyʼs directors. Our responsibility is to express an opinion on the financial statements based on our audit.
We conducted our audit in accordance with approved Standards on Auditing issued by the Malaysian Institute of Accountants. These standards require that we plan and perform the audit to obtain all the information and explanations, which we considered necessary to provide us with sufficient evidence to give reasonable assurance that the financial statements are free of material mis
statements. Our audit includes examining, on a test basis, evidence relevant to the amounts and disclosures in the financial statements. Our audit includes an assessment of the accounting principles used and significant estimates made by the directors as well as evaluating the adequacy of the presentation of information in the financial statements.
We believe our audit provides a reasonable basis for our opinion.
712
[31hb Mac 2005
In our opinion:
(a) The financial statements have been prepared in accordance with appli
cable approved accounting standards in Malaysia and comply with the
Companies Act, 1965 so as to give a true and fair view of:
(i) the matters required by section 169 of the Companies Act, 1965 to be dealt with in the financial statements; and
(ii) the state of affairs of the Company as at 31 October 2004, and of the results of its operations and of its cash flows for the year ended on that date; and
(b) The accounting and other records and the registers required by the
Companies Act, 1965 to be kept by the Company have been properly kept in accordance with the provisions of the said Act.
H.Y. LIM & CO (AF-0821)
LIM HWA YU
Chartered Accountants (Malaysia)
Partner
No. 41, 3rd Flr, Jalan Datoʼ Hj. Hassan,
No. 1379/07/05 (J)
86000 Kluang, Johor
Dated: 2 February 2005
REPORT OF THE AUDITORS
TO THE CONTROLLER OF HOUSING DEVELOPERS
We have audited the financial statements set of out on pages 6 to 14 of Boon
Town Project Sdn. Bhd., comprising of the balance sheet and the notes to the financial statements as at 31 October 2004 and of the income and cash flow statements for the year ended on that date. Our audit report was issued on 17 January 2005. We state in our audit report that the financial statements of the Company have been properly drawn up so as to give a true and fair view of the state of affair of the Company.
The preparation of the financial statements are the responsibility of the
Companyʼs Director. Our responsibility is to express an opinion on the fianancial statements based on our audit pursuant to Section 9(3) of the
Housing Development (Control and Licensing) Act, 1966 and of the Housing
Development (Housing Development Account) Regulations 1991.
Our audit includes examination of the Companyʼs Housing Development Ac
count required to be opened and maintained pursuant to Section 7A of the
Housing Development (Control and Licensing) Act, 1966.
Details of the Company are as follows:
(a) Companyʼs full name: Boon Town Project Sdn. Bhd.
(b) Business address: 4, Jalan Mohd Ngalim, Kluang Baru, 86000 Kluang,
Johor.
(c) Housing Development Account No.: 50106613003 Maybank (Kluang
Baranch).
(d) Accounting year: 2004
(e) KPKTʼS reference file no.: (12)dlm.KPKT/BL/19/9254-1
31hb Mac 2005]
713
In our opinion:
(a) a deposit of RM200,000 recorded in the Housing Development Account for the year ended 31 October 2004 is in accordance with the Housing
Development (Housing Development Account) Regulations 1991 and there were no withdrawals noted during the financial year under review:
(b) the accounting and records examined by us have been properly kept;
and
(c) we have obtained satisfactory explanations and information from the officers and agents of the Company.
H.Y. LIM & CO (AF-0821)
LIM HWA YU
Chartered Accountants (Malaysia)
Partner
No. 1379/07/05 (J)
Dated: 2 February 2005
Kluang
DETAILED INCOME STATEMENT FOR
THE YEAR ENDED 31 OCTOBER 2004
2004 2003
Revenue
–
–
Other Income
Interest on housing development account 580
–
Operating Expenses
Auditorsʼ remuneration
1,500 1,000
Depreciation
587 587
Donation
–
3,500
Legal fee
322
–
Printing and stationery
1,101 342
Rental of premises
24,000 2,000
Secretarial and tax fees
1,020 1,020
Sundry
8,954 810
Telephone
3,446 200
(40,930)
(9,459)
OPERATING LOSS FOR THE YEAR
(40,350)
(9,459)
DEVELOPMENT EXPENDITURE FOR
THE YEAR ENDED 31 OCTOBER 2004
2004 2003
Development expenditure
Bank overdraft interest
16,256
–
Construction
836,963
–
Earthwork
62,959 11,000
Land premium
18,565 18,565
Management fee
48,000
–
Plan and architect fees
100,584 64,556
Registration fee
7,880 7,810
Sundry
18,974 760
Survey fee
42,623 40,523
Wages
13,726 1,000
Water contribution
54,593
–
(1,221,123)
(144,214)
714
[31hb Mac 2005
PEMBERITAHU LEWAT
KANUN TANAH NEGARA
(Seksyen 175A)
NOTIS BERHUBUNGAN DENGAN PENYEDIAAN DOKUMEN
HAKMILIK DAFTAR SEMENTARA