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Hong Kong Cyberport Management Company Limited

Annual Report 2014/15

82

Page 82

Independent Auditor’s Report

獨立核數師報告

Independent auditor’s report to the members of

Hong Kong Cyberport Management Company Limited

(Incorporated in Hong Kong with limited liability)

We have audited the financial statements of Hong Kong

Cyberport Management Company Limited (the “Company”)

set out on pages 84 to 126, which comprise the statement of

financial position as at 31 March 2015, the statement of

comprehensive income, the statement of changes in equity and

the statement of cash flows for the year then ended, and a

summary of significant accounting policies and other

explanatory information.

Directors’ responsibility for the financial

statements

The directors of the Company are responsible for the

preparation of financial statements that give a true and fair view

in accordance with Hong Kong Financial Reporting Standards

issued by the Hong Kong Institute of Certified Public

Accountants and the Hong Kong Companies Ordinance and for

such internal control as the directors determine is necessary to

enable the preparation of financial statements that are free

frommaterial misstatement, whether due to fraud or error.

Auditor’s responsibility

Our responsibility is to express an opinion on these financial

statements based on our audit. This report is made solely to

you, as a body, in accordance with section 405 of the Hong

Kong Companies Ordinance, and for no other purpose. We do

not assume responsibility towards or accept liability to any

other person for the contents of this report.

We conducted our audit in accordance with Hong Kong

Standards on Auditing issued by the Hong Kong Institute of

Certified Public Accountants. Those standards require that we

comply with ethical requirements and plan and perform the

audit to obtain reasonable assurance about whether the

financial statements are free frommaterial misstatement.

獨立核數師報告

致香港數碼港管理有限公司股東

(於香港註冊成立之有限公司)

本核數師(以下簡稱「我們」)已審計列載於第

84

126

頁香港數碼港管理有限公司(以下簡

稱「貴公司」)的財務報表,此財務報表包括於

2015

3

31

日的財務狀況表、截至該日止年

度的全面收益表、權益變動表和現金流量表以

及主要會計政策概要及其他附註解釋資料。

董事就財務報表須承擔的責任

貴公司的董事須負責根據香港會計師公會頒布

的《香港財務報告準則》及香港《公司條例》編製

財務報表,以令財務報表作出真實而公平的反

映及落實其認為編製財務報表所必要的內部控

制,以使財務報表不存在由於欺詐或錯誤而導

致的重大錯誤陳述。

核數師的責任

我們的責任是根據我們的審計對該等財務報表

作出意見。我們是按照香港《公司條例》第

405

條的規定,僅向整體股東報告。除此之外,我

們的報告不可用作其他用途。我們概不就本報

告的內容,對任何其他人士負責或承擔法律責

任。

我們已根據香港會計師公會頒布的《香港審計

準則》進行審計。該等準則要求我們遵守道德

規範,並規劃及執行審計,以合理確定財務報

表是否不存有任何重大錯誤陳述。