Banks Act, 1990 (Act No. 94 of 1990)RegulationsRegulations relating to BanksChapter VI : Information required by the Registrar and the Economic Research and Statistics Department of the Reserve Bank62. Institutional and maturity breakdown of liabilities and assetsDirectives and interpretations for completion of monthly return concerning institutional and maturity breakdown of liabilities and assets (Form BA 900)Subregulation (8)Liabilities |
Form BA 100 |
Form BA 900 |
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Line |
Col |
Description |
Line |
Col |
Description |
56 |
3 |
Current accounts |
1 |
1 |
Deposits (cheque accounts, rand and foreign currency) |
57 |
3 |
Savings deposits |
1 |
2 |
Deposits (savings accounts, rand and foreign currency) |
62 |
3 |
Deposits received under repurchase agreements |
42 |
4 |
Loans received under repurchase transactions |
67 |
3 |
Derivative financial instruments |
81 |
4 |
Liabilities i.r.o financial derivative instruments: domestic sector |
Plus 85 |
4 |
Liabilities i.r.o financial derivative instruments: foreign sector |
|||
68 |
3 |
Other trading liabilities |
86 |
4 |
Other trading liabilities (excluding derivatives) - domestic sector |
Plus 90 |
4 |
Other trading liabilities (excluding derivatives) - foreign sector |
|||
73 |
3 |
Current income tax liabilities |
92 |
4 |
Tax (current and deferred) |
Plus 74 |
3 |
Deferred income tax liabilities |
|||
79 |
3 |
TOTAL LIABILITIES |
95 |
4 |
TOTAL LIABILITIES |
Less 79 |
4 |
Outstanding liabilities on behalf of clients |