Interim Report 2022

合豐集團控股有限公司 二零二二年中期報告 25 NOTES TO THE CONDENSED CONSOLIDATED FINANCIAL STATEMENTS (continued) For the six months ended 30th June, 2022 簡明綜合財務報表附註 (續) 截至二零二二年六月三十日止六個月 14. TRADE AND OTHER RECEIVABLES (continued) The Group allows credit periods ranging from 5 to 120 days to its trade customers which may be extended to selected trade customers depending on their trade volume and history of settlement with the Group. The following is an aged analysis of trade receivables net of allowance for credit losses presented based on the invoice dates, which approximate the respective revenue recognition dates, at the end of the reporting period: 30.6.2022 31.12.2021 於二零二二年 六月三十日 於二零二一年 十二月三十一日 HK$’000 HK$’000 千港元 千港元 (Unaudited) (Audited) (未經審核) (經審核) Within 30 days 30 日內 71,576 100,268 31–60 days 31 至 60 日 656 636 61–90 days 61 至 90 日 40 378 Over 90 days 90 日以上 – 351 72,272 101,633 14. 貿易及其他應收款項 (續) 本集團給予貿易客戶 5 至 120 日信 貸期,且可以根據特定貿易客戶 與本集團之貿易量及過往付款記 錄而予以延長該信貸期。下列為 於報告期末基於發票日期(與各自 之收益確認日期相近)扣除信貸虧 損撥備後而呈列之貿易應收款項 之賬齡分析:

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