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Find out current ratio and quick ratio and cash ratio of the year 2021-2022? NCC Bank Limited Balance Sheet As at 31 December 2022 mote

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Find out current ratio and quick ratio and cash ratio of the year 2021-2022?

NCC Bank Limited Balance Sheet As at 31 December 2022 mote PROPERTY ANO ASSETS Cash s In hand (including forei en currencies) Balance with Bangladesh Bank and its agent bank (s) [including foreign currencies] Balance with other banks and finandal inatitutions in Bangladesh Outside Bacyladeh Money at call and short notice Investments Gevernmem Others Loans and advances/investments Loans, cash credits, overdrafts, etc./investments Bills purchased \& discounted Fixed assets induding premises, furnitures and fixtures Other assets Non-banking assets TOTAL ASSETS LLABIITES AND CAPTAL. Liabilities Borrowings from other banks, finandial institutions and agents Deposits and other accounts 12 6 Current deposits/Mudaraba current deposit and other accounts 13 Bills payable Savings bank/Mudaraba savings bank deposits Fixed deposits/Mudarabs term deposits Time deposits/Mudaraba time deposit 9 Other liabilities NCC Bank Subordinated and Perpetual Bonds 14 10 7 Non-Convertible Subordi nated Bonds Perpetual Bonds TOTAL LABumes Sharehoiders' equity Paid up capital Statutory reserve General reserve Other reserve including assets revaluation reserve Foreign currency translation gain/(0)ss) reserve Surplus in profit and loss account TOTAL SHAREHOLDEN' EQUTY TOTAL LABRTIS AND SHAREHOLOERS tQUTY NET ASSETS VALUE PER SHRE \begin{tabular}{|r|} \hline 14,106,361,998 \\ \hline 3,032,786,846 \\ 11,073,575,151 \\ \hline \end{tabular} \begin{tabular}{|r|} \multicolumn{1}{|c|}{11,919,043,396} \\ \hline 2,254,894,262 \\ 9,664,149,134 \\ \hline \end{tabular} 13 \begin{tabular}{|r|} \multicolumn{1}{r|}{15,654,933,921} \\ \hline 14,578,283,973 \\ 1,076,649,947 \\ \hline \end{tabular} \begin{tabular}{|r|} \hline 12,693,649,007 \\ \hline 11,930,764,198 \\ 762,884,810 \\ \hline 3,409,757,795 \\ 49,297,598,713 \\ \hline 39,732,671,095 \\ 9,564,927,618 \\ \hline \end{tabular} \begin{tabular}{|r|} \hline 189,489,816,860 \\ \hline 176,157,189,650 \\ 13,332,627,210 \\ \hline 2,584,956,434 \\ 5,641,801,759 \\ \hline 275,036,623,964 \\ \hline \end{tabular} 11 413,590,858 \begin{tabular}{|l|} \hline 53,593,580,097 \\ \hline 41,386,790,520 \\ 12,206,789,577 \\ \hline \end{tabular} \begin{tabular}{|rr|} \hline & 209,737,518,659 \\ \hline & \begin{tabular}{r} 201,039,065,119 \\ 8,698,453,540 \end{tabular} \\ \hline 10 & 2,700,894,372 \\ 11 & 5,460,076,492 \\ 140,616,500 \\ \hline & 301,807,572,897 \\ \hline \end{tabular} \begin{tabular}{r} 275,036,623,964 \\ \hline 21,178,624,213 \\ 203,244,048,549 \\ \hline 26,087,125,862 \\ 5,176,265,552 \\ 30,120,880,961 \\ 71,969,731,727 \\ 69,890,044,448 \\ \hline \end{tabular} \begin{tabular}{|r|} \hline 215,849,607,676 \\ \hline 30,244,912,883 \\ 5,205,640,123 \\ 30,757,395,055 \\ 88,576,034,103 \\ 61,065,625,512 \\ \hline \end{tabular} is \begin{tabular}{r} r2,567,595,140 \\ 7,850,000,000 \\ \hline 3,200,000,000 \\ 4,650,000,000 \\ \hline 252,940,267,902 \\ \hline 10,168,709,670 \\ 9,693,081,550 \\ 10,162,348 \\ 656,383,350 \\ 1,065,462 \\ 1,666,953,682 \\ \hline 22,196,356,062 \\ \hline 275,036,623,964 \\ \hline 20,99 \\ \hline \end{tabular} 21.78 20.99 16.2 10,575,458.050 17 10,575,458.050 18 10,162,348 19 541,465,602 19.1 12,779,089 20 1,317,288,62923,032,611,767301,807,572,897 1,666,953,68222,196,356,062275,036,623,964 8 NCCBank ANNUAL REPORT 2022 | 219 Note OFF BALANCF SHEET ITEMS Contingent liabilities Acceptances and endorsements Letters of guarantee Letters of credit issued Bills for collection Other commitments Export devel opment fund (EDF) TOTAL OFF BALANCE SAEETS TEMS INCLUDING CONTNGENT LUBATES 21.1 52,816,946,795 23,872,767,441 21,272,905,938 10,512,817,931 21.3 21.4 119.258 .881 108,594,696,986 \begin{tabular}{r} 53,930,922,863 \\ 31,782,545,829 \\ 27,838,459,153 \\ 6,241,944,137 \\ 585,824 \\ \hline 99,794,457,806 \\ \hline \end{tabular} NCC Bank Limited Balance Sheet As at 31 December 2022 mote PROPERTY ANO ASSETS Cash s In hand (including forei en currencies) Balance with Bangladesh Bank and its agent bank (s) [including foreign currencies] Balance with other banks and finandal inatitutions in Bangladesh Outside Bacyladeh Money at call and short notice Investments Gevernmem Others Loans and advances/investments Loans, cash credits, overdrafts, etc./investments Bills purchased \& discounted Fixed assets induding premises, furnitures and fixtures Other assets Non-banking assets TOTAL ASSETS LLABIITES AND CAPTAL. Liabilities Borrowings from other banks, finandial institutions and agents Deposits and other accounts 12 6 Current deposits/Mudaraba current deposit and other accounts 13 Bills payable Savings bank/Mudaraba savings bank deposits Fixed deposits/Mudarabs term deposits Time deposits/Mudaraba time deposit 9 Other liabilities NCC Bank Subordinated and Perpetual Bonds 14 10 7 Non-Convertible Subordi nated Bonds Perpetual Bonds TOTAL LABumes Sharehoiders' equity Paid up capital Statutory reserve General reserve Other reserve including assets revaluation reserve Foreign currency translation gain/(0)ss) reserve Surplus in profit and loss account TOTAL SHAREHOLDEN' EQUTY TOTAL LABRTIS AND SHAREHOLOERS tQUTY NET ASSETS VALUE PER SHRE \begin{tabular}{|r|} \hline 14,106,361,998 \\ \hline 3,032,786,846 \\ 11,073,575,151 \\ \hline \end{tabular} \begin{tabular}{|r|} \multicolumn{1}{|c|}{11,919,043,396} \\ \hline 2,254,894,262 \\ 9,664,149,134 \\ \hline \end{tabular} 13 \begin{tabular}{|r|} \multicolumn{1}{r|}{15,654,933,921} \\ \hline 14,578,283,973 \\ 1,076,649,947 \\ \hline \end{tabular} \begin{tabular}{|r|} \hline 12,693,649,007 \\ \hline 11,930,764,198 \\ 762,884,810 \\ \hline 3,409,757,795 \\ 49,297,598,713 \\ \hline 39,732,671,095 \\ 9,564,927,618 \\ \hline \end{tabular} \begin{tabular}{|r|} \hline 189,489,816,860 \\ \hline 176,157,189,650 \\ 13,332,627,210 \\ \hline 2,584,956,434 \\ 5,641,801,759 \\ \hline 275,036,623,964 \\ \hline \end{tabular} 11 413,590,858 \begin{tabular}{|l|} \hline 53,593,580,097 \\ \hline 41,386,790,520 \\ 12,206,789,577 \\ \hline \end{tabular} \begin{tabular}{|rr|} \hline & 209,737,518,659 \\ \hline & \begin{tabular}{r} 201,039,065,119 \\ 8,698,453,540 \end{tabular} \\ \hline 10 & 2,700,894,372 \\ 11 & 5,460,076,492 \\ 140,616,500 \\ \hline & 301,807,572,897 \\ \hline \end{tabular} \begin{tabular}{r} 275,036,623,964 \\ \hline 21,178,624,213 \\ 203,244,048,549 \\ \hline 26,087,125,862 \\ 5,176,265,552 \\ 30,120,880,961 \\ 71,969,731,727 \\ 69,890,044,448 \\ \hline \end{tabular} \begin{tabular}{|r|} \hline 215,849,607,676 \\ \hline 30,244,912,883 \\ 5,205,640,123 \\ 30,757,395,055 \\ 88,576,034,103 \\ 61,065,625,512 \\ \hline \end{tabular} is \begin{tabular}{r} r2,567,595,140 \\ 7,850,000,000 \\ \hline 3,200,000,000 \\ 4,650,000,000 \\ \hline 252,940,267,902 \\ \hline 10,168,709,670 \\ 9,693,081,550 \\ 10,162,348 \\ 656,383,350 \\ 1,065,462 \\ 1,666,953,682 \\ \hline 22,196,356,062 \\ \hline 275,036,623,964 \\ \hline 20,99 \\ \hline \end{tabular} 21.78 20.99 16.2 10,575,458.050 17 10,575,458.050 18 10,162,348 19 541,465,602 19.1 12,779,089 20 1,317,288,62923,032,611,767301,807,572,897 1,666,953,68222,196,356,062275,036,623,964 8 NCCBank ANNUAL REPORT 2022 | 219 Note OFF BALANCF SHEET ITEMS Contingent liabilities Acceptances and endorsements Letters of guarantee Letters of credit issued Bills for collection Other commitments Export devel opment fund (EDF) TOTAL OFF BALANCE SAEETS TEMS INCLUDING CONTNGENT LUBATES 21.1 52,816,946,795 23,872,767,441 21,272,905,938 10,512,817,931 21.3 21.4 119.258 .881 108,594,696,986 \begin{tabular}{r} 53,930,922,863 \\ 31,782,545,829 \\ 27,838,459,153 \\ 6,241,944,137 \\ 585,824 \\ \hline 99,794,457,806 \\ \hline \end{tabular}

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