Page 433 - Bank-Muamalat_Annual-Report-2023
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ANNUAL REPORT 2023
                                                                                                        OUR NUMBERS














                            Total    RM’000   1,235,454  21,747  182,089  5,211,651  113,589  4,247  24,017,067  417,091  17,989   31,220,924  26,320,609  301,158  303,388  20,218  23,111  96,123  37,433  733,174  806,596  28,641,810  1,074,558  1,861,346  59,309  1,786,430  4,781,643




                          Over 5    Years     RM’000    -  -  -  581,066  113,589  -  10,209,268  417,091   -  11,321,014  93,412  -  248,786  -  -  -  -  -  -  342,198  22,909  996,248  1,520  -  1,020,678



                          >1 - 5     Years     RM’000    -  -  34,604  3,130,310  -  -  8,060,199  -   -  11,225,113  896,137  -  52,602  -  -  -  32,311  733,174  798,376  2,512,600  639,774  281,760  1,357  -  922,890



                          >6-12     Months     RM’000    -  -  -  1,108,279  -  -  2,161,825  -   17,989  3,288,093  712,312  -  1,300  -  -  76,345  2,509  -  -  792,466  95,978  65,829  -  15,138  176,945
                      Table 25: Maturity analysis of assets and liabilities based on remaining contractual maturity. (cont’d)


                          >3-6     Months     RM’000    -  -  147,485  386,752  -  465  1,313,387  -   -  1,848,089  2,533,620  -  500  -  304  -  1,695  -  8,220  2,544,339  34,291  28,806  1  1,049,652  1,112,749



                          >1-3     Months     RM’000    -  21,747  -  4,684  -  1,266  1,369,715  -   -  1,397,412  6,253,122  -  -  20,218  11,269  -  918  -  -  6,285,527  222,914  139,389  -  573,849  936,152




                          >7 Days -     1 Month     RM’000    50,968  -  -  560  -  2,118  810,048  -   -  863,694  5,070,645  -  200  -  5,982  19,778  -  -  -  5,096,605  43,465  104,145  3  3,204  150,817



                         Up to     7 Days     RM’000    1,184,486  -  -  -  -  398  92,625  -   -  1,277,509  10,761,361  301,158  -  -  5,556  -  -  -  -  11,068,075  15,227  245,169  56,428  144,588  461,412 These balances exclude balances which are not within the scope of MFRS 9,  Financial Instruments.

















              LIQUIDITY RISK (CONT’D) Liquidity and Funding Risk (cont’d)  31 December 2022   Cash and short-term funds  Cash  and  placements  with  financial  institutions  Financial investments at fair value   through  profit  and  loss  Financial investments at fair value  through other comprehensive income  Financial investments at amortised cost  Islamic  derivative  financial  assets   Financing of customers  Statutory deposits with Bank Negara Malaysia   Other  financial  assets*   T












              8.4              Group   ASSETS                                                                  *




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