ARF_322_0: Statement of Financial Position (C)
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Effective date: 1 July 2019
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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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Quarterly
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Whole dollars no decimal place
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Reporting Consolidation
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Group Book
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Section A: Assets
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1. Cash and Liquid Assets
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1.1. Notes and coins
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1.2. Deposits at call
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1.3. Gold bullion
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1.4. Due from clearing houses
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1.5. Securities purchased under agreements to resell
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1.6. Due from financial institutions
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1.7. Total cash and liquid assets
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2. Securities held for trading
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2.1. Australian Commonwealth government securities
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2.2. Other Australian government securities
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2.3. Foreign government securities
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2.4. ADI debt securities
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2.5. Corporate debt paper
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2.6. Asset backed debt securities
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2.7. Other debt securities
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2.8. Equity securities
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2.9. Total securities held for trading
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3. Securities not held for trading
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3.1. Australian Commonwealth government securities
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3.2. Other Australian government securities
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3.3. Foreign government securities
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3.4. ADI debt securities
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3.5. Corporate debt paper
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3.6. Asset backed debt securities
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3.7. Other debt securities
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3.8. ADI equity securities
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3.9. Insurance corporations equity securities
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3.10. Other equity securities
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3.11. Total securities not held for trading
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4. Other Deposits
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4.1. ADIs
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4.2. Other
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4.3. Total other deposits
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5. Net Acceptances of Customers
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6. Loans and Advances
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Balance Outstanding
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Specific Provision
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General Reserve for Credit Losses
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(1)
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(2)
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(3)
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6.1. Revolving credit facilities
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6.2. Credit cards
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6.3. Housing - variable rate
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6.4. Housing - fixed rate
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6.5. Term loans - variable rate
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6.6. Term loans - fixed rate
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6.7. Lease financing
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6.8. Other loans and advances
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6.9. Total loans and advances
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6.10. Less: Deferred fee income
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6.11. Total net loans and advances (net of specific provision, general
reserve for credit losses and deferred fee income)
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6.11.1. of which: Loans to associates/joint ventures
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6.11.2. of which: Loans held at fair value
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7. Investments relating to Life Insurance Business
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7.1. Total investments relating to life insurance business
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7.1.1. of which: Excess of net market values of the investment in life
insurance subsidiaries over recognised net assets of subsidiary
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8. Other Investments
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8.1. Investment in parent entity (where not part of consolidated
group)
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8.2. Investment in associates
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8.3. Interest in joint ventures
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8.4. Equity investments in former SSPs
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8.5. Other
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8.6. Total other investments
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9. Fixed Assets
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9.1. Property
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9.2. Plant and equipment
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9.3. Less:
Accumulated
depreciation/impairment- Property, plant and equipment
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9.4. Property, plant and equipment net of accumulated
depreciation/impairment
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9.5. Information technology
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9.5.1. Work in progress (WIP)
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9.5.1.1. Hardware and software application costs
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9.5.1.2. Development and other on costs
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9.5.1.3. Total WIP
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9.5.2. In use
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9.5.2.1. Hardware and software application costs
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9.5.2.2. Development and other on costs
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9.5.2.3. Total in use
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9.5.3. Other information technology
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9.5.4. Total information technology (WIP plus In use plus Other
information technology)
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9.6. Less:
Accumulated
depreciation/impairment - Information technology
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9.7. Total information technology net of accumulated
depreciation/impairment
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9.8. Other
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9.9. Less:
Accumulated
depreciation
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9.10. Total other net of accumulated depreciation/impairment
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9.11. Net fixed assets
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10. Intangible Assets
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10.1. Intangible assets with a finite life
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10.2. Less:
Accumulated
amortisation
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10.3. Net Intangible assets with a finite life
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10.4. Intangible assets with an infinite life
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10.5. Less:
Impairment
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10.6. Net intangible assets with an infinite life
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10.7. Goodwill
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10.8. Less:
Impairment
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10.9. Net goodwill
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10.10. Net intangible assets
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11. Other Assets
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11.1. Interest receivable
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11.2. General insurance premiums and other receivables
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11.3. Deferred acquisition costs - general insurance policies
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11.4. Capitalised debt raising/funding costs
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11.5. Capitalised costs associated with establishing/setting up
securitisation vehicles/programs
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11.6. Capitalised loan and lease origination fees and commissions paid
to mortgage originators and brokers
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11.7. Other capitalised expenses of a general nature
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11.8. Derivative financial instruments
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11.8.1. Trading book derivatives
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11.8.2. Banking book derivatives
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11.9. Amounts receivable from clients - outstanding security
settlements
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11.10. Deferred tax assets
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11.10.1. From tax losses
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11.10.2. From specific provision and general reserve for credit losses
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11.10.3. Other
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11.11. Loan/credit card servicing rights
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11.12. Defined benefit assets
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11.13. Non-current assets and disposal groups classified as held for
sale
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11.14. Items in suspense
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11.15. Other
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11.16. Total other assets
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12. Total
Assets
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12.1.
of which: Due from
associated entities/joint ventures
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Section B: Liabilities
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1. Due to Clearing Houses
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2. Due to Financial Institutions
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2.1. Total due to financial institutions
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3. Acceptances
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4. Deposits
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4.1. Call/on demand
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4.2. Term deposits
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4.3. Certificates of deposit
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4.4. Other
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4.5. Total deposits
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5. Other Borrowings
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5.1. Securities sold under agreements to repurchase
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5.2. Promissory notes/commercial paper
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5.3. Short-term loans
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5.3.1. Variable
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5.3.2. Fixed
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5.4. Total other borrowings
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6. Income Tax Liability
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6.1. Current tax liability
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6.2. Deferred tax liability
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6.3. Total income tax liability
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7. Provisions
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7.1. Dividends
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7.2. Employee entitlements
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7.3. Non-lending losses
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7.4. Mortgage insurance claims and unearned premiums
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7.5. Restructuring costs
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7.6. Other provisions
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7.7. Total provisions
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8. General Insurance Outstanding Claims and Unearned Premium Liability
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9. Life Insurance Policy Liabilities
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10. Unvested Policy Holder Benefits
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11. Bonds, Notes and Long-term Borrowings
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11.1. Debt securities
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11.2. Loans
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11.2.1. Variable rate
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11.2.2. Fixed rate
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11.3. Total bonds, notes and long-term borrowings
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12. Creditors and Other Liabilities
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12.1. Defined benefit liability - current
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12.2. Defined benefit liability - non current
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12.3. Interest payable
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12.4. Unearned interest
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12.5. Amounts payable to clients - outstanding security settlements
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12.6. Derivative financial instruments
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12.6.1. Trading book derivatives
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12.6.2. Banking book derivatives
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12.7. Items in suspense
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12.8. Due to merchants
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12.9. Liabilities included in disposal groups classified as held for
sale
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12.10. Share capital repayable on demand
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12.11. Other
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12.12. Total creditors and other liabilities
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13. Loan Capital and Hybrid Securities
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13.1. Members withdrawable shares
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13.2. Loan capital
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13.3. Hybrid securities
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13.4. Total loan capital and hybrid securities
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14. Total Liabilities
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14.1. of which: Due to associated entities/joint ventures
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15. Net Assets
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Section C: Shareholders' Equity
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1. Share Capital
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1.1. Ordinary shares
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1.2. Preference shares
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1.3. Other
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1.4. Total share capital
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2. Reserves
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2.1. General reserve
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2.2. Capital profits reserve
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2.3. Asset revaluation reserve
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2.3.1. Owner-occupied property
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2.3.2. Plant and equipment
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2.3.3. Investment in associates/share of associates
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2.3.4. Intangibles revaluation surplus
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2.3.5. Relating to non-current assets or disposal groups held for sale
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2.3.6. Other
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2.3.7. Total asset revaluation reserve
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2.4. Foreign currency translation reserve
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2.5. Fair value through OCI Reserve
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2.5.1. Marketable securities
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2.5.2. Other
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2.6. Cash flow hedge reserve
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2.7. Share based payments reserve
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2.8. Other reserves
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2.9. Total reserves
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3. Retained Profits
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4. Shareholders' Equity attributable to Shareholders of the Company
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5. Minority Interests
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6. Total Shareholders' Equity
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