239 How We Are Governed Financial Statements Shareholders’ Information Additional Information 20. DEPOSITS FROM CUSTOMERS Group Bank 2021 RM’000 2020 RM’000 2021 RM’000 2020 RM’000 Fixed term deposits 2,464,706 2,340,932 2,516,015 2,354,086 Short term money deposits 563,833 518,102 625,846 595,406 Negotiable instruments of deposits 68,891 52,303 68,891 52,303 Call money deposits 39,848 41,048 39,848 41,048 3,137,278 2,952,385 3,250,600 3,042,843 (i) The maturity structure is as follows: Due within six months 2,268,323 2,128,347 2,381,645 2,216,065 Six months to one year 747,040 590,017 747,040 592,757 More than one year 121,915 234,021 121,915 234,021 3,137,278 2,952,385 3,250,600 3,042,843 (ii) The deposits are sourced from the following types of customers: Government and statutory bodies 671,186 829,560 671,186 829,560 Individuals 98,500 84,730 98,500 84,730 Business enterprises 1,007,435 872,878 1,007,435 872,878 Non-bank financial institutions 1,160,157 1,054,701 1,160,157 1,054,701 Subsidiaries and related companies 200,000 110,516 313,322 200,974 3,137,278 2,952,385 3,250,600 3,042,843 21. DEPOSITS AND PLACEMENTS OF BANKS AND OTHER FINANCIAL INSTITUTIONS Group and Bank 2021 RM’000 2020 RM’000 Licensed banks - 100,000 Licensed investment banks - 50,000 Other financial institutions 593,126 732,667 Bank Negara Malaysia 59,736 183,418 652,862 1,066,085
RkJQdWJsaXNoZXIy NDgzMzc=