THE GROUP (CONTINUED) | |||||||
---|---|---|---|---|---|---|---|
2018 | EFFECT OF OFFSETTING ON STATEMENT OF FINANCIAL POSITION | RELATED AMOUNTS NOT OFFSET | |||||
Gross amounts | Amount offset | Net amount reported | Cash collateral | Net amount | |||
ASSETS | MUR'000 | MUR'000 | MUR'000 | MUR'000 | MUR'000 | ||
Cash and cash equivalents | 50,105,076 | - | 50,105,076 | - | 50,105,076 | ||
Due from banks | 5,164,742 | - | 5,164,742 | - | 5,164,742 | ||
Derivative financial instruments | - | 897,052 | 897,052 | - | 897,052 | ||
Financial assets mandatorily measured at fair value through profit or loss | 3,855,950 | - | 3,855,950 | - | 3,855,950 | ||
Loans and advances to banks | 5,769,229 | - | 5,769,229 | - | 5,769,229 | ||
Loans and advances to customers | 22,297,254 | - | 22,297,254 | (558,564) | 21,738,690 | ||
Debt instruments measured at fair value through other comprehensive income | 4,074,500 | - | 4,074,500 | - | 4,074,500 | ||
Debt instruments measured at amortised cost | 27,360,177 | - | 27,360,177 | - | 27,360,177 | ||
Other assets | 1,587,987 | - | 1,587,987 | - | 1,587,987 | ||
120,214,915 | 897,052 | 121,111,967 | (558,564) | 120,553,403 | |||
LIABILITIES | |||||||
Due to banks | 932,755 | - | 932,755 | - | 932,755 | ||
Deposits from banks | 33,341 | 33,341 | 33,341 | ||||
Deposits from customers | 111,102,759 | - | 111,102,759 | (558,564) | 110,544,195 | ||
Derivative financial instruments | (144,108) | 897,052 | 752,944 | - | 752,944 | ||
Debts issued | 855,302 | - | 855,302 | - | 855,302 | ||
Other liabilities | 434,769 | - | 434,769 | - | 434,769 | ||
Financial liabilities measured at fair value through profit or loss | 897,654 | - | 897,654 | - | 897,654 | ||
114,112,472 | 897,052 | 115,009,524 | (558,564) | 114,450,960 | |||
THE BANK | Effect | of offsetting | on | Related | amounts | ||
statement of | financial | position | not | offset | |||
2020 | Gross amounts | Amount offset | Net amount reported | Cash collateral | Net amount | ||
MUR'000 | MUR'000 | MUR'000 | MUR'000 | MUR'000 | |||
ASSETS | 69,032,249 | - | 69,032,249 | - | 69,032,249 | ||
11,132,738 | - | 11,132,738 | - | 11,132,738 | |||
Cash and cash equivalents | 321,961 | 321,961 | (80,611) | 241,350 | |||
Due from banks | 5,245,927 | - | 5,245,927 | - | 5,245,927 | ||
Derivative financial instruments | 23,043,922 | - | 23,043,922 | (1,119,385) | 21,924,537 | ||
Loans and advances to banks | 48,664,900 | - | 48,664,900 | - | 48,664,900 | ||
Loans and advances to customers | 2,211,795 | - | 2,211,795 | - | 2,211,795 | ||
Investment Securities | 159,653,492 | - | 159,653,492 | (1,199,996) | 158,453,496 | ||
Other assets | |||||||
LIABILITIES | |||||||
Due to banks | 13,252 | - | 13,252 | - | 13,252 | ||
Deposits from banks | 96,365 | - | 96,365 | (80,611) | 15,754 | ||
Deposits from customers | 150,850,619 | - | 150,850,619 | (1,119,385) | 149,731,234 | ||
Derivative financial instruments | 107,168 | - | 107,168 | - | 107,168 | ||
Lease liabilities | 82,571 | - | 82,571 | - | 82,571 | ||
Other liabilities | 474,168 | - | 474,168 | - | 474,168 | ||
151,624,143 | - | 151,624,143 | (1,199,996) | 150,424,147 |