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P. 352

BANK MUAMALAT MALAYSIA BERHAD




          NOTES TO THE
          FINANCIAL STATEMENTS
          31 DECEMBER 2023 (18 JAMADIL AKHIR 1445H)





          48.   FAIR VALUE MEASUREMENTS (CONT’D.)
              (b)  Financial instruments not carried at fair value

                   The  estimated  fair  values  of  those  on-balance  sheet  financial  assets  and  financial  liabilities  as  at  the  reporting
                   date  approximate  their  carrying  amounts  as  shown  in  the  statement  of  financial  position,  except  for  the  financial
                   assets and liabilities as disclosed below.

                                                                                                Total       Carrying
                   Group                           Level  1       Level  2       Level  3       fair  value       Amount
                   2023                           RM’000        RM’000        RM’000         RM’000        RM’000

                   Financial  assets
                   Financial investments
                    at amortised cost                   -             -       114,920       114,920       116,871
                   Financing of customers               -     20,124,114     8,181,586     28,305,700     28,347,644

                   Financial  liabilities

                   Deposits from customers              -     2,319,921     29,133,568     31,453,489     32,795,736
                   Investment accounts of
                    customers                           -       247,689             -       247,689       247,689
                   Deposits and placements of
                    banks  and  other  financial
                    institutions                        -             -        33,783        33,783        37,235
                   Bills and acceptances payable        -             -        13,773        13,773        13,773
                   Subordinated sukuk                   -       813,225             -       813,225       806,924


                   2022
                   Financial  assets

                   Financial investments at
                    amortised cost (restated)           -             -       113,816        113,816       113,589
                   Financing of customers               -     16,763,788     7,073,957     23,837,745     24,017,067


                   Financial  liabilities
                   Deposits from customers              -      2,350,904     23,969,266     26,320,170     26,320,609
                   Investment accounts of
                    customers                           -       301,158             -        301,158       301,158
                   Deposits and placements of
                    banks  and  other  financial
                    institutions                        -             -         6,954          6,954         7,250
                   Bills and acceptances payable        -             -        20,218         20,218        20,218
                   Subordinated sukuk                   -       804,985              -       804,985       806,596











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