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334   BANK MUAMALAT MALAYSIA BERHAD


          NOTES TO THE FINANCIAL STATEMENTS
          31 DECEMBER 2024 (29 JAMADIL AKHIR 1446H)






          47.  FINANCIAL RISK MANAGEMENT OBJECTIVES AND POLICIES (CONT’D.)

              (c)   Liquidity and funding risk (cont’d.)
                   (ii)   Maturity analysis of financial liabilities on an undiscounted basis

                       The following tables show the contractual undiscounted cash flows payable for financial liabilities by remaining
                       contractual  maturities.  The  financial  liabilities  in  the  tables  depicted  in  the  following  pages  will  not  agree  to
                       the balances reported in the statement of financial position as the tables incorporate all contractual cash flows,
                       on an undiscounted basis, relating to both principal and profit payments. The contractual maturity profile does
                       not necessarily reflect the behavioural cash flows.
                       The cash flows of commitments and contingent liabilities are not presented on an undiscounted basis as the
                       total outstanding contractual amounts do not represent future cash requirements since the Group and the Bank
                       expect many of these contingencies to expire or be unconditionally cancelled without being called or drawn upon
                       and many of the contingent liabilities are reimbursable by customers.
                                                      On demand
                                                        or up  to      >1-3      >3-6      >6-12
                                                        1 Month      Months      Months      Months      >1 Year      Total
                       Group                             RM’000      RM’000      RM’000      RM’000      RM’000      RM’000

                       2024
                       Non-derivative liabilities
                       Deposits from customers        18,467,016  5,215,305  5,994,636  6,332,995  850,049  36,860,001
                       Investment accounts of customers        245,707    -       -          -         -    245,707
                       Deposits and placements of banks
                         and other financial institutions        341,999  112,778  -        -    385,413   840,190
                       Bills and acceptances payable          -     6,027         -         -          -     6,027
                       Other financial liabilities        44,099        -         -    102,873         -   146,972
                       Lease liabilities                  1,129     1,851     2,742      5,347    39,456    50,525
                       Recourse obligation on financing
                         sold to Cagamas                      -         -   738,730    312,261     640,673    1,691,664
                       Subordinated sukuk                 7,995         -     11,250    19,245    1,016,182    1,054,672
                       Derivative liabilities             1,201     10,559      168      5,381         -    17,309

                       Total  financial liabilities       19,109,146   5,346,520   6,747,526   6,778,102    2,931,773    40,913,067
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