PET - Plain English Taxonomy

ARF_210_5: Daily Liquidity Report
Effective date: 1 April 2021
Australian Business Number Institution Name
   
Reporting Period Scale Factor
   
Reporting Consolidation
 
Balance at reporting date 5 business days prior Change $ Change %
(1) (2) (3) (4)
1.   Unencumbered liquid assets        
1.1. HQLA
1.2. RBA eligible securities not included in item 1.1 and item 1.3
1.3. RBA eligible securities from self-securitisation
1.4. Other liquids (LCR ADIs)
1.5. Other liquids (non-LCR ADIs)
1.6. Total
1.6.1. of which: offshore liquid assets
  Balance at reporting date 5 business days prior Change $ Change %
  (1) (2) (3) (4)
2. Net funding outflows over last five business days        
2.1. Total retail deposit (including SME) balance 1
2.1.1. of which: offshore
2.2. Total wholesale (non-financial institution) deposit balance
2.2.1. of which: offshore
2.3. Total financial institution (FI) deposit balance
2.3.1. of which: offshore
2.4. Total short-term wholesale funding balance not included above
2.4.1. of which: offshore
2.5. Total other wholesale funding balance not included above
2.5.1. of which: offshore
2.6. Total funding balance
2.6.1. of which: offshore
  $ Outflow % Undrawn $
  (1) (2) (3)
3. Net contingent and committed outflows over last five business days    
3.1. Net loan principal outflows 2  
3.2. Net outflows under any uncommitted facilities
3.3. Net outflows under committed liquidity facilities
3.4. Net outflows under committed credit facilities 3
3.5. Net outflows under any other committed facilities
3.6. Total net outflows under all contingent and committed funding agreements
  Outflow $
  (1)
4. Net collateral/margin outflow over last five business days
4.1. Collateral or margin paid - initial
4.2. Collateral or margin received - initial
4.3. Collateral or margin paid - variation
4.4. Collateral or margin received - variation
  Day 1 Day 2 Day 3 Day 4 Day 5
  (1) (2) (3) (4) (5)
5. LCR/MLH ratio over five business days            
5.1. Level 1/Domestic books - AUD (LCR ADIs only)
5.2. Level 1/Domestic books - all currencies (LCR and MLH ADIs)
5.3. Level 2 - AUD (LCR ADIs only)
5.4. Level 2 - all currencies (LCR and MLH ADIs)
  Total At-call or overnight 1 day <= 7 days 8 days to <= 15 days 16 days to <= 30 days 31 days to < 2 months 2 months to < 3 months 3 months to < 4 months 4 months to < 5 months 5 months to < 6 months
  (1) (2) (3) (4) (5) (6) (7) (8) (9) (10)
6. Funding maturities                    
6.1. Retail deposits
6.1.1. of which: offshore
6.2. Wholesale (non FI) deposits
6.2.1. of which: offshore
6.3. FI deposits
6.3.1. of which: offshore
6.4. Unsecured short-term wholesale funding
6.4.1. of which: offshore
6.5. Secured funding
6.5.1. of which: offshore
6.6. Other unsecured wholesale funding not included above
6.6.1. of which: offshore
6.7. Total
6.7.1. of which: offshore
  Total <=7 days 8 days to <= 15 days 16 days to <= 30 days 31 days to < 2 months 2 months to < 3 months 3 months to < 4 months 4 months to < 5 months 5 months to < 6 months
  (1) (2) (3) (4) (5) (6) (7) (8) (9)
7. Other contractual cash flows
7.1. Contractual cash outflows
7.2. Contractual cash inflows
  Number $ Amount $ amount as % of total
  (1) (2) (3)
8. Withdrawal notification and buyback requests over last five business days      
8.1. Total volume of notices given on minimum notice deposit products over last five business days
8.2. Short-term wholesale funding (including NCDs) early repayment requests
8.2.1. of which: approved
8.3. Long-term wholesale funding early repayment requests
8.3.1. of which: approved
1. Please report SME deposits which qualify as retail deposits based on paragraph 46 of APS 210 attachment A in 2.1 and 6.1 and report the remaining in 2.2 and 6.2.
2. Please report the net principal outflows from originations, advances, redraws and other disbursements minus repayments and other principal collections for all loan assets.
3. Please report the movements from other committed credit facilities which are not already included at 3.1.