WSD Annual Report 2021/22

2022 (百萬元) $M 2021 (百萬元) $M (i) 基本工程項目、物 業、機器 及設備以及非經常資助金 (i) Capital works projects, property, plant and equipment and capital subvention 29,391.8 26,619.7 (ii) 非經常性開支 (ii) Non-recurrent expenditure - - (iii) 投資 (iii) Investments - - (iv) 貸款及非經常性撥款補助金 (iv) Loans and non-recurrent grants - - 三月三十一日結餘 Balance as at 31 March 29,391.8 26,619.7 9. 承擔 於二零二二年三月三十一日及二零二一年三月三十一日,未於 經營帳目作出撥備的未償還承擔如下: 9. Commitments Outstanding commitments as at 31 March 2022 and 31 March 2021 not provided for in the operating accounts were as follows: 財務及水費 Finance and Water Charges 水務署 二零二一至二二年年報 WSD Annual Report 2021/22 117

RkJQdWJsaXNoZXIy MTQyNzE=