Page 111 - ACCESS ANNUAL REPORT 2019
P. 111

NOTES (continued)
 A   a o nts are in tho sands o   hana  edis  n ess otherwise stated     Financia  ris   anage ent  contin ed 
     redit ris   anage ent  contin ed 
       redit ris  e pos re  contin ed 
The Bank 2019 2018
Stage 1 Stage 2 Stage  
 ota 
 ota 
 ash and cash e uiva ents  nvestment securities
 on p edged trading  ssets  oans and advances to customers  ther assets
    a ance sheet e posures with     recognised in other  ia i ities
999,386 1,351,980 600,000 902,323 96,795   543,430
       
209,590 322,736    
   
   ,     ,   ,       ,     ,   ,      ,    -    ,   
1,516,549 871,229   993,770 205,188
661,993
 ross carrying amount  ,   ,       ,       ,     oss a  owance (19,753) (69,661) (63,033)
 ,   ,        ,    
4,248,729 (193,365)
Carrying amount  ,   ,       ,       ,   
 ,   ,   
4,055,364
The Group had one renegotiated and subsequently reclassified loans as at 31 December 2019 of GHS1,741 (2018: nil).
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