2019 Financial
and Social Report

Amount ‘000 PLN 31.12.2019 31.12.2018
Off-balance conditional commitments granted and received 12 169 901 10 229 552
Commitments granted: 11 629 618 9 855 664
loan commitments 9 883 053 8 423 814
guarantee 1 746 565 1 431 850
Commitments received: 540 284 373 887
loan commitments 0 0
guarantee 540 284 373 887

The granted conditional commitments presented in the table above comprise commitments to grant credit (such as: unutilised credit card limits, unutilised current account overdraft facilities, unutilised tranches of investment loans) and issued guarantees and Letters of Credit (securing performance by customers of the Group of their obligations to third parties). The value of above-presented guarantee commitments presents the maximum value of a loss, which may be incurred by the Group, should the customers default on their obligations. The Group creates provisions for impaired irrevocable conditional commitments, reported in the “provisions” item under liabilities in the balance-sheet. The provision value is determined as the difference between the estimated amount of utilised conditional exposure and the present value of expected future cash flows under this credit exposure. In this context, the Group considers that the values presented in the above table are similar to the fair value of contingent liabilities.

The breakdown by entity of all net guarantee liabilities, reported in off-balance sheet items is presented in the table below:

Customer – sector, amount in PLN million 31.12.2019 31.12.2018
financial sector 57.69 59.2
non-financial sector (companies) 1 681.8 1 364.4
public sector 7.03 8.3
Total 1 746.6 1 431.9

Guarantees and sureties granted to Clients

Commitments granted – guarantee in PLN million 31.12.2019 31.12.2018
Active guarantees and sureties 914.0 904.3
Lines for guarantees and sureties 838.1 535.2
Total 1 752.1 1 439.5
Provisions created (5.6) (7.6)
Commitments granted – guarantee after provisions 1 746.6 1 431.9

The structure of liabilities under active guarantees and sureties divided by particular criteria are presented by the tables below (PLN’000):

By currency 31.12.2019 31.12.2018
PLN 681 522 730 903
Other currencies 232 467 173 389
Total: 913 989 904 292
By type of commitment 31.12.2019 31.12.2018
Number Amount Number Amount
Guarantee 3 389 883 234 3 239 873 388
Surety 0 0 0 0
Re-guarantee 43 30 755 21 30 904
Total: 3 432 913 989 3 260 904 292
By object of the commitment 31.12.2019 31.12.2018
Number Amount % share Number Amount % share
good performance of contract 2 588 471 534 51.60% 2 378 436 841 48.31%
punctual payment for goods or services 313 248 097 27.14% 275 279 321 30.89%
bid bond 159 17 301 1.89% 256 21 021 2.32%
rent payment 253 59 803 6.54% 255 55 001 6.08%
advance return 44 35 011 3.83% 42 37 052 4.10%
customs 41 66 698 7.30% 28 61 391 6.79%
other 21 4 887 0.53% 14 2 381 0.26%
payment of bank loan 13 10 658 1.17% 12 11 284 1.25%
Total: 3 432 913 989 100.00% 3 260 904 292 100.00%

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