Page 123 - Annual Report 2020
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/ 118 QF CR A ANNU AL REP OR T 2020
Computer software Software development cost Work in progress Total
Amortisation USD USD USD USD
At 1 January 2019 632 2,248 - 2,880
Charge for the year 57 348 - 405
Write off (86) - - (86)
Balance at 31 December 2019 603 2,596 - 3,199
Charge for the year 10 105 - 115
Adjustment* - (149) - (149)
Write off (52) - - (52)
At 31 December 2020 561 2,552 - 3,113
Net carrying amounts
At 31 December 2020 - 125 81 206
At 31 December 2019 10 19 67 96
*Adjustment relate to charge over booked during 2019.
T ABLE OF C ONTENT S