2021-12-20

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Annex XXIII Instructions for Completing the Maturity Ladder Template of Annex XXII

This document provides instructions for institutions to complete the maturity ladder template in Annex XXII, requiring the reporting of contractual flows and contingent outflows across twenty-two time buckets based on residual maturity. Institutions must report cash inflows and outflows on a gross basis in the 'outflows' and 'inflows' sections, while counterbalancing capacity is reported on a net basis, with specific rules for non-financial activities, foreign exchange swaps, and derivatives. The text mandates conservative assumptions for payment options, classifies deposits by maturity and type, and specifies how to handle intragroup items, re-hypothecated collateral, and past due items.

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