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.

























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