Annual Report 2023

197 2023 Annual Report Transport International Holdings Limited CONSOLIDATED CASH FLOW STATEMENT For the year ended 31 December 2023 (Expressed in Hong Kong dollars) 2023 2022 Note $’000 $’000 Analysis of cash and cash equivalents: Bank deposits and cash in the consolidated statement of financial position 24(a) 1,207,743 1,799,592 Less: bank deposits with original maturities of over three months 24(a) (710,720) (442,796) Cash and cash equivalents in the consolidated cash flow statement 497,023 1,356,796 The notes on pages 198 to 274 form part of these financial statements.

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