Page 268 - Full Book_24.4.2021
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NOTES TO THE
            FINANCIAL STATEMENTS



            for the financial year ended 31 december 2020 (continUed)





            39   OTHER OVERHEAD EXPENSES (CONTINUED)
                                                                                  Group                  Company
                                                                      2020         2019         2020         2019
                                                                    RM’000       RM’000       RM’000       RM’000

                 General expenses
                 Professional fees                                   30,889       34,302        1,061 –       608 –
     inteGrated annUal rePort 2020  outsourcing fees                 13,716       12,129           7 – – –     65 – – –
                                                                                      2
                                                                         –
                 indirect tax expenses
                 – management of self-service terminal
                                                                      2,345
                 – credit recovery
                                                                                    277
                                                                      1,960
                 – others
                                                                                   4,760
                                                                                  10,386
                                                                      1,718
                 travelling & transportation
                                                                      9,999
                                                                                   8,794
                 office supplies
                 agency related expenses                             57,568       60,210          23 –         52 –
                 licenses                                            10,240       10,650           –            –
                 bank and service charges                            21,692       14,844           –            –
     262
                 Security services for cash in transit                5,735        7,294           –            –
                 Postage and delivery charges                         9,829        5,884           –            –
                 General expenses                                    22,547       23,947         106 –        106 –
     bimb holdinGS berhad 199701008362 (423858-X)  - others         273,382      257,984        1,120 – – –  1,694 – –
                                                                      5,632
                                                                                                   4
                 Subscription fees
                                                                                   4,343
                                                                                                                3
                 auditors’ remuneration
                                                                      2,178
                                                                                   2,174
                 - Statutory audit fee
                                                                                    592
                                                                                                 268
                                                                      1,839
                                                                                                              168
                                                                                   1,979
                 mobile banking expenses
                                                                      2,011
                                                                      1,201
                                                                                   1,362
                 Processing charges
                                                                                                                9
                                                                       925
                 Property and equipment written off
                                                                                     91
                 others
                                                                     71,358
                                                                                  53,964
                                                                                                2,589
                                                                                                             2,705
            40   FINANCE COST                                       919,144      932,547        5,773        4,632
                                                                                  Group                  Company
                                                        Note          2020         2019         2020         2019
                                                                    RM’000       RM’000       RM’000       RM’000
                 Sukuk liabilities                                  125,720      119,875       54,735       52,685
                 Profit expense on leases                13          17,971       18,243           –            –
                                                                    143,691      138,118       54,735       52,685
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