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S.02.02 — Liabilities by currency

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S.02.02 — Liabilities by currency

General comment:

This section relates to the annual submission of information for groups.

This template is to be filled in accordance with the Balance sheet (S.02.01). Valuation principles are laid down in Directive 2009/138/EC, Delegated Regulation (EU) 2015/35, Solvency II Technical Standards and Guidelines.

This template is not required to be submitted if one single currency represents more than 80 % of liabilities. In case the value of technical provisions, as reported in R0030 and R0120 in S.12.01 and R0060 and R0160 in S.17.01, is negative, for the purposes of the calculation of the threshold above the absolute value of those notional amounts should be considered without netting of technical provisions between different LoBs.

If submitted, information on the reporting currency shall always be reported regardless of the amount of liabilities. Information reported by currency shall at least represent 80 % of the total liabilities. The remaining 20 % shall be aggregated. If a specific currency has to be reported for liabilities to comply with the 80 % rule, then that currency shall be reported for all liabilities.

ITEM INSTRUCTIONS
R0010 Material currency Identify the ISO 4217 alphabetic code of each
currency to be reported.
C0020/R0110 Total value of all
currencies —
Technical
provisions (excluding
index–linked and unit–
linked contracts)
Report the total value of the technical
provisions (excl. index–linked and unit–linked
contracts) for all currencies.
C0030/R0110 Value of the reporting
currency —
Technical
provisions (excluding
index–linked and unit–
linked contracts)
Report the value of the technical provisions
(excl. index–linked and unit–linked contracts)
for the reporting currency
C0040/R0110 Value of remaining other
currencies —
Technical
provisions (excluding
index–linked and unit–
linked contracts)
Report the total value of the technical
provisions (excl. index–linked and unit–linked
contracts) for the remaining currencies that are
not reported by currency.
This means that this cell excludes the amount
reported in the reporting currency
(C0030/R0110) and in the currencies reported
by currency (C0050/R0110).
C0050/R0110 Value of material
currencies —
Technical
provisions (excluding
Report the value of the Technical provisions
(excl. index–linked and unit–linked contracts)
for each of the currencies required to be
reported separately.
index–linked and unit–
linked contracts)
C0020/R0120 Total value of all
currencies —
Technical
provisions —
index–linked
and unit–linked contracts
Report the total value of the technical
provisions —
index–linked and unit–linked
contracts for all currencies.
C0030/R0120 Value of the reporting
currency —
Technical
provisions —
index–linked
and unit–linked contracts
Report the value of the technical provisions —
index–linked and unit–linked contracts for the
reporting currency.
C0040/R0120 Value of remaining other
currencies —
Technical
provisions —
index–linked
and unit–linked contracts
Report the value of the technical provisions —
index–linked and unit–linked contracts for the
remaining currencies that are not reported by
currency.
This means that this cell excludes the amount
reported in the reporting currency
(C0030/R0120) and in the currencies reported
by currency (C0050/R0120).
C0050/R0120 Value of material
currencies —
Technical
provisions —
index–linked
and unit–linked contracts
Report the value of the technical provisions —
index–linked and unit–linked contracts for
each of the currencies required to be reported
separately.
C0020/R0130 Total value of all
currencies —
Deposits
from reinsurers and
insurance, intermediaries
and reinsurance payables
Report the total value of the deposits from
reinsurers, insurance and intermediaries
payables and reinsurance payables for all
currencies.
C0030/R0130 Value of the reporting
currency —
Deposits from
reinsurers and insurance,
intermediaries and
reinsurance payables
Report the value of the deposits from
reinsurers, insurance and intermediaries
payables and reinsurance payables for the
reporting currency.
C0040/R0130 Value of remaining other
currencies —
Deposits
from reinsurers and
insurance, intermediaries
and reinsurance payables
Report the value of the deposits from
reinsurers, insurance and intermediaries
payables and reinsurance payables for the
remaining currencies that are not reported by
currency.
This means that this cell excludes the amount
reported in the reporting currency
(C0030/R0130) and in the currencies reported
by currency (C0050/R0130).
C0050/R0130 Value of material
currencies —
Deposits
from reinsurers and
insurance, intermediaries
and reinsurance payables
Report the value of the deposits from
reinsurers, insurance and intermediaries
payables and reinsurance payables for each of
the currencies required to be reported
separately.
C0020/R0140 Total value of all
currencies —
Derivatives
Report the total value of the derivatives for all
currencies.
C0030/R0140 Value of the reporting
currency —
Derivatives
Report the value of the derivatives for the
reporting currency.
C0040/R0140 Value of remaining other
currencies —
Derivatives
Report the total value of the derivatives for the
remaining currencies that are not reported by
currency.
This means that this cell excludes the amount
reported in the reporting currency
(C0030/R0140) and in the currencies reported
by currency (C0050/R0140).
C0050/R0140 Value of material
currencies —
Derivatives
Report the value of the derivatives for each of
the currency required to be reported
separately.
C0020/R0150 Total value of all
currencies —
Financial
liabilities
Report the total value of the financial
liabilities for all currencies.
C0030/R0150 Value of the reporting
currency —
Financial
liabilities
Report the value of the financial liabilities for
the reporting currency.
C0040/R0150 Value of remaining other
currencies —
Financial
liabilities
Report the total value of the financial
liabilities for the remaining currencies that are
not reported by currency.
This means that this cell excludes the amount
reported in the reporting currency
(C0030/R0150) and in the currencies reported
by currency (C0050/R0150).
C0050/R0150 Value of material
currencies —
Financial
liabilities
Report the value of the financial liabilities for
each of the currencies required to be reported
separately.

Solvency II software

C0020/R0160 Total value of all
currencies —
Contingent
liabilities
Report the total value of the Contingent
liabilities for all currencies.
C0030/R0160 Value of the reporting
currency —
Contingent
liabilities
Report the value of the contingent liabilities
for the reporting currency.
C0040/R0160 Value of remaining other
currencies —
Contingent
liabilities
Report the total value of the contingent
liabilities for the remaining currencies that are
not reported by currency.
This means that this cell excludes the amount
reported in the reporting currency
(C0030/R0160) and in the currencies reported
by currency (C0050/R0160).
C0050/R0160 Value of material
currencies —
Contingent
liabilities
Report the value of the contingent liabilities
for each of the currencies required to be
reported separately
C0020/R0170 Total value of all
currencies —
Any other
liabilities
Report the total value of any other liabilities
for all currencies.
C0030/R0170 Value of the reporting
currency —
Any other
liabilities
Report the value of any other liabilities for the
reporting currency.
C0040/R0170 Value of remaining other
currencies —
Any other
liabilities
Report the total value of any other liabilities
for remaining currencies that are not reported
by currency.
This means that this cell excludes the amount
reported in the reporting currency
(C0030/R0170) and in the currencies reported
by currency (C0050/R0170).
C0050/R0170 Value of material
currencies —
Any other
liabilities
Report the value of any other liabilities for
each of the currencies required to be reported
separately.
C0020/R0200 Total value of all
currencies —
Total
liabilities
Report the total value of the total liabilities for
all currencies.
C0030/R0200 Value of the reporting
currency —
Total liabilities
Report the value of total liabilities for the
reporting currency.

Solvency II software

C0040/R0200 Value of remaining other
currencies —
Total
liabilities
Report the total value of total liabilities for the
remaining currencies that are not reported by
currency.
This means that this cell excludes the amount
reported in the reporting currency
(C0030/R0200) and in the currencies reported
by currency (C0050/R0200).
C0050/R0200 Value of material
currencies —
Total
liabilities
Report the value of total liabilities for each of
the currency required to be reported
separately.