Commercial Bank of Ceylon PLC

Annual Report 2018

Financial Statements – Table of Content

Primary Financial Statements

Income Statement
Statement of Profit or Loss and Other Comprehensive Income
Statement of Financial Position
Statement of Changes in Equity – Group
Statement of Changes in Equity – Bank
Statement of Cash Flows

Notes to the Financial Statements – General

1. Reporting Entity
2. Basis of Accounting
3. Financial Risk Management
4. Fair Value Measurement
5. Changes in Accounting Policies
6. Significant Accounting Policies – General
7. Significant Accounting Policies – Recognition of Assets and Liabilities
8. Significant Accounting Policies – Recognition of Income and Expense
9. Significant Accounting Policies – Income Tax Expense
10. Significant Accounting Policies – Statement of Cash Flows
11. New Accounting Standards Issued But Not Yet Effective
12. Transition Disclosures

Notes to the Financial Statements – Income Statement

13. Gross Income
14. Net Interest Income
15. Net Fee and Commission Income
16. Net Gains/(Losses) from Trading
17. Net Gains/(Losses) from derecognition of Financial Assets
18. Net Other Operating Income
19. Impairment Charges and Other Losses
20. Personnel Expenses
21. Depreciation and Amortisation
22. Other Operating Expenses
23. Taxes on Financial Services
24. Income Tax Expense
25. Earnings Per Share (EPS)
26. Dividends

Notes to the Financial Statements – Statement of Financial Position: Assets

27. Classification of Financial Assets and Financial Liabilities
28. Fair Value Measurement
29. Cash and Cash Equivalents
30. Balances with Central Banks
31. Placements with Banks
32. Derivative Financial Assets
33. Financial Assets Recognised through Profit or Loss/Held for Trading/Measured at Fair Value
34. Financial Assets at Amortised Cost/Loans and Advances to Banks
35. Financial Assets at Amortised Cost/Loans and Advances to Other Customers
36. Financial Assets at Amortised Cost – Debt and Other Financial Instruments/Financial Investments – Held to Maturity and Loans and Receivables
37. Financial Assets measured at Fair Value through Other Comprehensive Income/Financial Investments – Available for Sale
38. Investments in Subsidiaries
39. Investments in Associates
40. Property, Plant and Equipment
41. Intangible Assets
42. Leasehold Property
43. Deferred Tax Assets and Liabilities
44. Other Assets

Notes to the Financial Statements – Statement of Financial Position: Liabilities and Equity

45. Due to Banks
46. Derivative Financial Liabilities
47. Financial Liabilities at Amortised Cost – Due to Depositors
48. Financial Liabilities at Amortised Cost – Other Borrowings
49. Current Tax Liabilities
50. Other Liabilities
51. Due to Subsidiaries
52. Subordinated Liabilities
53. Stated Capital
54. Share-based Payment
55. Statutory Reserves
56. Retained Earnings
57. Other Reserves
58. Non-Controlling Interest

Notes to the Financial Statements – Other Disclosures

59. Contingent Liabilities and Commitments
60. Net Assets Value per Ordinary Share
61. Litigation Against the Bank
62. Maturity Analysis
63. Operating Segments
64. Related Party Disclosures
65. Non-Cash Items Included in Profit Before Tax
66. Change in Operating Assets
67. Change in Operating Liabilities
68. Operating Leases
69. Financial Risk Review
70. Events After the Reporting Period
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