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