Chapter II : Financial, Risk-based and other related Returns and Instructions, Directives and Interpretations relating to the completion thereof |
11. Reference to line item numbers
12. Revaluation surplus ranking as unimpaired reserve funds
15. Accrued interest and amounts
17. Assets sold or acquired in terms of a repurchase or resale agreement
19. Off-balance sheet activities
21. Return regarding shareholders
22. Investments, loans and advances
23. Credit risk: monthly return
24. Credit risk: quarterly return
25. Credit risk: six-monthly return
27. Minimum reserve balance and liquid assets
29. Daily return: selected risk exposure arising from trading and treasury activites
30. Interest-rate risk: banking book
31. Equity risk in the banking book
33. Operational risk: six-monthly return
34. Operational risk: six-monthly return
35. Securitisation schemes and related exposure
36. Consolidated supervision: consolidated return
37. Consolidated supervision: foreign operations of South African banks
38. Capital Adequacy, Leverage and Tlac
Form BA 700 - Capital Adequacy, Leverage and Tlac