Page 280 - Bank-Muamalat-Annual-Report-2021
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278      bank MuaMalat Malaysia berhaD
                                                   ABOUT US       OUR LEADERSHIP    OUR STRATEGY    OUR PERFORMANCE

          NOTES  TO THE FINANCIAL  STATEMENTS
          31 DECEMbEr 2021 (26  JAMADIL AwAL 1443H)











          43.  sIGNIfIcANT ReLATeD PARTy TRANsAcTIONs (cONT’D.)

                                                                        Group                        Bank
                                                                    2021          2020          2021          2020
                                                                 rM’000        rM’000         rM’000        rM’000


              key  management  personnel
              Amounts  due  from
              -  financing                                            619         1,650          474         1,650

              Related  companies*

              Income
              -  profit  on  financing                              6,444        22,136        6,444        22,136
              expenditure
              -  hibah  on  deposit                                12,907         5,025       12,907         5,025
              -  seconded  staff  salary  and  related  expenses           823       596         823          596
              -  mailing  and  courier  service                     1,314          396         1,314          396
              -  rental  (offsite  ATM  and  branch)                 18            231            18          231
              -  purchase  of  fixed  assets                          -            822             -          822
              -  marketing  expenses                                  250          440           250          440
              -  sponsorship                                          -             15             -           15
              -  others                                               112          222           112          222
              Amounts  due  to
              -  deposits                                         284,488       323,678       284,488      323,678
              Amounts  due  from
              -  financing                                        580,632       626,932       580,632      626,932


              *  Related companies are companies within DRB-HICOM Berhad Group and Khazanah Nasional Berhad Group.
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