Official Government Information

Chinese Name
柴灣浸信會
Effective date
November 19, 1979
Org. Structure
Company limited by guarantee under the Companies Ordinance

Contact Information

Email
Address
香港柴灣翡翠道30號(升降機設於萃文道入口)

Additional Information

Target Beneficiaries
Other
Sustainable Development Goals
SDG11: Sustainable Cities and Communities

Directors

Financial & Legal Information

Working Capital Ratio
0.72
Donation Received
$2,724,153
Subvention Funding from SWD
$0
Total Income
$29,850,793
Total Expenditure
$27,653,911
Surplus/Deficit
$2,196,882
Latest Audit: Financial Year End Date
December 31, 2020
Balance Carried Forward to Next Year
$25,607,422
Total Assets
$36,338,978
Total Liabilities
$10,731,556
Director Remuneration
$710,580
Liabilities to Assets Ratio
29.53%

Social Media

Transparency

Audit on website?
No
Annual report on website?
No
Directors disclosed on website?
Yes

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Last Updated By

Jon Pedersen

Member since 4 years ago
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