2007   2006
      Taka   Taka
09 Other assets         
Stationery, stamps, printing materials in stock etc.       16,990,071           15,483,201
Advance rent          41,708,242           33,103,366
Interest accrued on Investment but not collected      290,569,948         323,651,128
Income receivable on loans and advnaces         30,855,567           32,711,095
Pre-payment and Security Deposit           2,241,820             2,267,553
Preliminary, formation and organization expenses,       
renovation/development expenses and prepaid expenses  -                         -  
Branch adjustment account ( Note 09.2)        464,601,517         555,832,380
Suspense account.(Note 09.3)       184,297,944         202,354,867
Others (Note 09.4)     1,727,423,878      1,466,363,199
 

Total 

  2,758,688,987      2,631,766,789
   
   
 
09(a) Non Banking Assets:        
Bank has no Non Banking assets as per BRPD     
Circular No.14 dated 25-06-2003    -     - 
 
09.1 Interest accrued and other receivable         
  Amount represents interest receivable with other banks, call loans, interest receivable on loans and advances, fees receivable, other receivable etc. 
 
 

09.2

Branch adjustment account ( UBL General Account)   464,601,517         555,832,380
Branch adjustment account represents outstanding Interbranch transactions and Head office transactions (net) originated but yet to be responded with in the Balance Sheet date. However, the unresponded entries at 31.12.2007 are being responded. The status of unresponded entries as on  31.12.2007 are given below:-
 
 
Particulars  Debit Entry   Credit Entry   Net amount 
  Number  Amount   Number   Amount  2007
Upto  3 months 11621      4,144,081,335     14,650     3,772,759,567   371,321,768
Over 3 months but within 6 months  256           67,209,179         242          37,614,910     29,594,269
Over 6 months but within 1 year  267           52,972,408         235          55,728,045      (2,755,637)
Over 1 year but within 5 years 2377         108,858,862         347          42,417,745     66,441,117
Total 14521      4,373,121,784     15,474     3,908,520,267   464,601,517
 
 
09.3 Suspense account         
Suspense account general         16,540,574             9,264,632
Suspense against encashment         
of Sanchaya patras        105,855,297         136,510,860
Suspense against encashment of wage bond      61,902,073           56,579,375
  Total     184,297,944         202,354,867
         
09.4 Others :        
Drafts payable account (Ex. advice)        52,273,697           59,908,875
Income tax paid at source        415,119,319         372,852,087
Receivable from Government               24,225                 24,225
Amount receivable from Government under JSAC.      24,100,000           24,100,000
Claim against re-structuring of debts of       
raw jute under Government agreement.      20,301,905           20,301,905
Protested bills           6,691,043             5,212,184
Advance income tax paid    1,181,377,510         970,011,723
Claim against waiver of interest to Jute traders       
for the period from July to December (1998)           897,200               897,200
Wage earners bond        20,780,000           13,055,000
Clearing Adjustment  Account          5,858,979    - 
  Total  1,727,423,878      1,466,363,199
09.5 Classification of  other assets as per        
Bangladesh Bank circular         
Unclassified     2,674,096,666      2,470,579,346
Substandard     -     - 
Doubtful    -     - 
Bad or loss         83,692,321         161,187,443
  Total  2,757,788,987      2,631,766,789
09.6 Particulars of required provision for other assets    
Sub-standard    -   -
Doubtful    -   -
Bad or loss         83,692,321         161,187,443
Required provision        83,692,321         161,187,443
Provision maintained (Note-12.7)        87,360,961         164,500,000
Surplus provision          3,668,640             3,312,557