ABCDEFGHIJKL
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202020192018
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XIINVESTMENT IN SUBSIDIARYSegment ASegment BTotalSegment ASegment BTotalSegment ASegment BTotal
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MUR'000MUR'000MUR'000MUR'000MUR'000MUR'000MUR'000MUR'000MUR'000
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Cost
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6
Opening balance---189,563-189,563189,563-189,563
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Impairment loss recognised---(189,563)-(189,563)---
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Addition38,277-38,277------
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Less Asset held for distribution(38,277)-(38,277)------
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At 30 June------189,563-189,563
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12
XIIOTHER ASSETS
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Mandatory balances with the central bank2,174,086-2,174,0861,865,835-1,865,8351,519,797-1,519,797
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Indirect and other taxes receivable84,393-84,39373,57030073,87059,34846859,816
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Due from credit card service provider12,510-12,51025,866-25,86618,412-18,412
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Prepayments18,54324,39342,93620,41416,30836,72220,67912,17132,850
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Other receivables29,6113,10132,71217,2101,33418,54417,3336,05023,383
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Amount due from subsidiaries922-92285,885-85,885179,734-179,734
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Other investments------2,5254,6567,181
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2,320,06527,4942,347,5592,088,78017,9422,106,7221,817,82823,3451,841,173
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XIII
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DUE TO BANKS
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At amortised cost
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Borrowings from the central bank6,376-6,37629,787-29,78772,432-72,432
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Borrowings from other banks------860,210-860,210
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Deposits from other banks---
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6,3766,87613,25229,78764730,434932,642113932,755
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30
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XIV(a)DEPOSITS FROM BANKS
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At amortised cost
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- Current and savings accounts80,62715,73896,365-14,10614,106433,33733,341
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80,62715,73896,365-14,10614,106433,33733,341
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XIV(b)DEPOSITS FROM CUSTOMERS
38
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At amortised cost
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Personal
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- Current and savings accounts7,565,19612,983,79920,548,9955,442,0419,206,69914,648,7405,189,5901,862,3797,051,969
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- Term deposits6,793,9274,471,85511,265,7826,020,3923,957,6539,978,0454,535,4922,278,4236,813,915
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Business--
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- Current and savings accounts17,478,83774,697,07492,175,91113,041,22468,055,40281,096,62610,836,44470,760,47981,596,923
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- Term deposits4,395,25221,022,95125,418,2036,256,30518,944,25925,200,5645,269,00710,561,01215,830,019
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Government institutions
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- Current and savings accounts739,808-739,808270,284-270,28459,300-59,300
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- Term deposits701,920-701,920------
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37,674,940113,175,679150,850,61931,030,246100,164,013131,194,25925,889,83385,462,293111,352,126
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51
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XVDEBTS ISSUED
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Unsecured subordinated bonds---184,205-184,205600,208-600,208
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56
57
58
XVIOTHER LIABILITIES
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Other payables and sundry creditors406,731161,330568,061293,360213,967507,327310,155135,225445,380