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.