A N N U A L R E P O R T 2 0 1 6
106
NOTES TO THE
FINANCIAL STATEMENTS
For the Financial Year Ended 31 March 2016
19.
Trade and other receivables
Group
Company
2016
2015
2016
2015
$*000
$*000
$*000
$*000
Trade and other receivables (current):
Trade receivables
206
182
每
每
Less: Allowance for doubtful debts
(50)
(50)
每
每
Advances for purchase of property, plant and equipment
每
11
每
每
156
143
每
每
Deposits (Note 17)
1,156
1,446
每
每
Other receivables (non-current):
Refundable deposits (Note 17)
1,748
1,772
每
每
Total trade and other receivables (current and non-current)
3,060
3,361
每
每
Amount due from associates (current): (Note 16)
每
每
每
每
Amount due from subsidiaries (current): (Note 20)
每
每
9,735
3,570
Add: Cash and bank balances (Note 21)
19,407
20,147
6,594
10,508
Total loans and receivables
22,467
23,508
16,329
14,078