WEBNF 20-F DEF-14A Report Sept. 30, 2022 | Alphaminr
WESTPAC BANKING CORP

WEBNF 20-F Report ended Sept. 30, 2022

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UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

FORM 20-F

REGISTRATION STATEMENT PURSUANT TO SECTION 12(b) OR (g) OF THE SECURITIES EXCHANGE ACT OF 1934

Or

ANNUAL REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

For the fiscal year ended September 30, 2022

Or

TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

Or

SHELL COMPANY REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

Commission File Number: 1-10167

WESTPAC BANKING CORPORATION

Australian Business Number 33 007 457 141

(Exact name of Registrant as specified in its charter)

New South Wales, Australia

(Jurisdiction of incorporation or organization)

275 Kent Street , Sydney , NSW 2000 , Australia

(Address of principal executive offices)

Westpac Banking Corporation, New York branch,

575 Fifth Avenue, 39th Floor , New York , New York 10017-2422 ,

Attention: Branch Manager , telephone number: ( 212 ) 551-1800

(Name, Telephone, E-mail and/or Facsimile number and Address of Company Contact Person)

Securities registered or to be registered pursuant to Section 12(b) of the Act: None

Securities registered or to be registered pursuant to Section 12(g) of the Act: None

Securities for which there is a reporting obligation pursuant to Section 15(d) of the Act: 2.750% Notes due January 11, 2023, Floating Rate Notes due January 11, 2023, 2.000% Notes due January 13, 2023, Floating Rate Notes due January 13, 2023, 3.650% Notes due May 15, 2023, Floating Rate Notes due May 15, 2023, 3.300% Notes due February 26, 2024, Floating Rate Notes due February 26, 2024, 1.019% Notes due November 18, 2024, Floating Rate Notes due November 18, 2024, 2.350% Notes due February 19, 2025, Floating Rate Note due August 26, 2025, 3.735% Notes due August 26, 2025, 2.850% Notes due May 13, 2026, 1.150% Notes due June 3, 2026, Floating Rate Notes due June 3, 2026, 2.700% Notes due August 19, 2026, 3.350% Notes due March 8, 2027, 4.043% Notes due August 26, 2027, 3.400% Notes due January 25, 2028, 1.953% Notes due November 20, 2028, 2.650% Notes due January 16, 2030, 2.894% Subordinated Notes due February 4, 2030, 2.150% Notes due June 3, 2031, 4.322% Subordinated Notes due November 23, 2031, 5.405% Subordinated Notes due August 10, 2033, 4.110% Subordinated Notes due July 24, 2034, 2.668% Subordinated Notes due November 15, 2035, 3.020% Subordinated Notes due November 18, 2036, 4.421% Subordinated Notes due July 24, 2039, 2.963% Subordinated Notes due November 16, 2040, 3.133% Subordinated Notes due November 18, 2041 and 5.000% Fixed Rate Resetting Perpetual Subordinated Contingent Convertible Securities

Indicate the number of outstanding shares of each of the issuer’s classes of capital or common stock as of the close of the period covered by the annual report.

Ordinary shares

3,501,127,694 fully paid

Indicate by check mark if the registrant is a well-known seasoned issuer, as defined in Rule 405 of the Securities Act.

Yes No

If this report is an annual or transition report, indicate by check mark if the registrant is not required to file reports pursuant to Section 13 or 15(d) of the Securities Exchange Act of 1934.

Yes No

Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days.

Yes No

Indicate by check mark whether the registrant has submitted electronically every Interactive Data File required to be submitted pursuant to Rule 405 of Regulation S-T during the preceding 12 months (or for such shorter period that the registrant was required to submit such files).

Yes No (not currently applicable to registrant)

Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, or an emerging growth company. See the definitions of “large accelerated filer,” “accelerated filer,” and “emerging growth company” in Rule 12b-2 of the Exchange Act.

Large accelerated filer

Accelerated filer

Non-accelerated filer

Emerging growth company

If an emerging growth company that prepares its financial statements in accordance with U.S. GAAP, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards† provided pursuant to Section 13(a) of the Exchange Act.

† The term “new or revised financial accounting standard” refers to any update issued by the Financial Accounting Standards Board to its Accounting Standards Codification after April 5, 2012.

Indicate by check mark whether the registrant has filed a report on and attestation to its management’s assessment of the effectiveness of its internal control over financial reporting under Section 404(b) of the Sarbannes-Oxley Act (15 U.S.C. 7262(b)) by the registered public account firm that prepared or issued its audit report.

Indicate by check mark which basis of accounting the registrant has used to prepare the financial statements included in this filing:

U.S. GAAP International Financial Reporting Standards as issued by the International Accounting Standards Board

Other

If “Other” has been checked in response to the previous question, indicate by check mark which financial statement item the registrant has elected to follow.

“Item 17” “Item 18”

If this is an annual report, indicate by check mark whether the registrant is a shell company.

Yes No

WESTPAC GROUP 2022 ANNUAL REPORT I

Table of contents

Form 20-F cross-reference index

ii

Shareholder information

327

Financial statements

1

Shareholding information

328

Income statements

2

Additional information

341

Statements of comprehensive income

3

Glossary of abbreviations and defined terms

346

Balance sheets

4

Statements in changes in equity

5

Cash flow statements

7

Notes to the financial statements

8

Statutory statements

128

Exhibits index

135

Strategic review

142

Strategic review

142

Corporate governance

188

Directors’ report

210

Remuneration report

224

Information on Westpac

250

Group performance

257

Reading this report

258

Review of Group’s operations

260

Income statement review

261

Balance sheet review

271

Capital resources

273

Segment reporting

274

Consumer and Business Banking

281

Consumer

282

Business

284

Westpac Institutional Bank

285

Westpac New Zealand

287

Specialist Businesses

289

Group Businesses

291

Risk and risk management

298

Risk management

298

Risk factors

298

Sustainability

311

Other Westpac business information

320

Financial statements

325

In this Annual Report a reference to ‘Westpac’, ‘Group’, ‘Westpac Group’, ‘we’, ‘us’ and ‘our’ is to Westpac Banking Corporation ABN 33 007 457 141 and its subsidiaries unless it clearly means just Westpac Banking Corporation.

For certain information about the basis of preparing the financial information in this Annual Report see ‘Reading this report’ in Section 2. In addition, this Annual Report contains statements that constitute ‘forward-looking statements’ within the meaning of Section 21E of the US Securities Exchange Act of 1934. For an explanation of forward-looking statements and the risks, uncertainties and assumptions to which they are subject, see ‘Reading this report’ in Section 2. Please consider those important disclaimers when reading the forward- looking statements in this Annual Report.

Information contained in or accessible through the websites mentioned in this Annual Report does not form part of this report unless we specifically state that it is incorporated by reference and forms part of this report. All references in this report to websites are inactive textual references and are for information only.

II WESTPAC GROUP 2022 ANNUAL REPORT

Form 20-F cross-reference index

20-F item number and description

Page

Part I

Item 1.

Identity of directors, senior management and advisers

Not applicable

Item 2.

Offer statistics and expected timetable

Not applicable

Item 3.

Key information

Capitalisation and indebtedness

Not applicable

Reasons for the offer and use of proceeds

Not applicable

Risk factors

289-309

Item 4.

Information on Westpac

History and development of Westpac

142, 250-256

Business overview

142, 250-256

Organisational structure

110-111, 142

Property, plants and equipment

320

Item 4A.

Unresolved staff comments

Not applicable

Item 5.

Operating and financial review and prospects

Operating results

260

Liquidity and capital resources

273

Research and development, patents and licences, etc.

Not applicable

Trend information

260-270, 274-297

Critical accounting estimates

20, 33, 86, 97, 100, 118

Item 6.

Directors, senior management and employees

Directors and senior management

210-217, 220

Compensation

120-122, 224-248

Board practices

188-209

Employees

320

Share ownership

122, 220-221, 328

Item 7.

Major shareholders and related party transactions

Major shareholders

328-335

Related party transactions

121-122

Interests of experts and counsel

Not applicable

Item 8.

Financial information

Consolidated statements and other financial information

1-133

Significant changes

250-256

Item 9.

The offer and listing

Offer and listing details

Not applicable

Plan of distribution

Not applicable

Markets

Not applicable

Selling shareholders

Not applicable

Dilution

Not applicable

Expenses of the issue

Not applicable

WESTPAC GROUP 2022 ANNUAL REPORT III

Form 20-F cross-reference index

20-F item number and description

Page

Part I (continued)

Item 10.

Additional information

Share capital

Not applicable

Memorandum and articles of association

341-343

Material contracts

320

Exchange controls

236-237

Taxation

237-240

Dividends and paying agents

Not applicable

Statements by experts

Not applicable

Documents on display

344

Subsidiary information

Not applicable

Item 11.

Quantitative and qualitative disclosures about market risk

81-83

Item 12.

Description of securities other than equity securities

Debt securities

Not applicable

Warrants and rights

Not applicable

Other securities

Not applicable

American depositary shares

Not applicable

Part II

Item 13.

Defaults, dividend arrearages and delinquencies

Not applicable

Item 14.

Material modifications to the rights of security holders and use of proceeds

Not applicable

Item 15.

Controls and procedures

129, 323

Item 16A.

Audit committee financial expert

198

Item 16B.

Code of ethics

201-202

Item 16C.

Principal accountant fees and services, PCAOB ID: 1379

120, 207-208

Item 16D.

Exemptions from the Listing Standards for audit committees

Not applicable

Item 16E.

Purchases of equity securities by Westpac and affiliated purchasers

106-108, 322

Item 16F.

Changes in Westpac’s certifying accountant

Not applicable

Item 16G.

Corporate governance

188

Item 16H.

Mine safety disclosure

Not applicable

Item 16I

Disclosure regarding foreign jurisdictions that prevent inspections

Not applicable

Part III

Items 17. & 18.

Financial statements

1-133

Item 19.

Exhibits

135

Consolidated income statements for the years ended 30 September 2019, 2018 and 2017

2

Consolidated balance sheets as at 30 September 2019 and 2018

3

Consolidated statements of comprehensive income for the years ended 30 September 2019, 2018 and 2017

4

Consolidated statements of cash flows for the years ended 30 September 2019, 2018 and 2017

7

Notes to the financial statements

8

Management’s report on the internal control over financial reporting

129

Report of independent registered public accounting firm

130-133

IV WESTPAC GROUP 2022 ANNUAL REPORT

Form 20-F cross-reference index

Page

Item 1402: Distribution of assets, liabilities and stockholders’ equity; interest rates and interest differential

Average balance sheets

25-27, 271-272

Analysis of net interest earnings

25-27, 263-264

Interest rate and interest differential analysis

25-27, 263-264

Item 1403: Investments in debt securities t II Investment portfolio

Weighted average yield of debt securities

63

Calculation of weighted average yield; tax-exempt obligations

63

Item 1404: Loan Portfolio

Maturity and interest rate profile of loan portfolio

31

Item 1405: Allowances for Credit Losses

Credit ratios and material changes

32-40

Allocation of the allowance for credit losses

32-40

Item 1406: Deposits

.

Deposits by category

51-52

Uninsured deposits

51-52

Time deposits

51-52

WESTPAC GROUP 2022 ANNUAL REPORT 1

Financial
statements

Income statements

Note 22

Risk management, funding and liquidity risk and market risk

Statements of comprehensive income

Note 23

Fair values of financial assets and financial liabilities

Balance sheets

Note 24

Offsetting financial assets and financial liabilities

Statements of changes in equity

Cash flow statements

Note 1

Financial statements preparation

Intangible assets, provisions, commitments and contingencies

Note 25

Intangible assets

Financial performance

Note 26

Provisions, contingent liabilities, contingent assets and credit commitments

Note 2

Segment reporting

Note 3

Net interest income

Capital and dividends

Note 4

Non-interest income

Note 27

Shareholders’ equity

Note 5

Operating expenses

Note 28

Captial adequacy

Note 6

Impairment charges

Note 29

Dividends

Note 7

Income tax

Note 8

Earnings per share

Group structure

Note 9

Average balance sheet and interest rates

Note 30

Investments in subsidiaries and associates

Note 31

Structured entities

Financial assets and financial liabilities

Lending and credit risk

Other

Note 10

Loans

Note 32

Share-based payments

Note 11

Provisions for expected credit losses

Note 33

Superannuation commitments

Note 12

Credit risk management

Note 34

Auditor’s remuneration

Note 35

Related party disclosures

Deposits and other funding arrangements

Note 36

Notes to the cash flow statements

Note 13

Deposits and other borrowings

Note 37

Subsequent events

Note 14

Debt issues

Note 38

Assets and liabilities held for sale

Note 15

Loan capital

Note 16

Securitisation, covered bonds and other transferred assets

Statutory statements

Other financial instrument disclosures

Directors’ declaration

Note 17

Trading securities and financial assets measured at fair value through income statement (FVIS)

Management’s report on internal control over financial reporting

Note 18

Investment securities

Report of Independent Registered Public Accounting Firm

Note 19

Other financial assets

Note 20

Other financial liabilities

Note 21

Derivative financial instruments

2 WESTPAC GROUP 2022 ANNUAL REPORT

Income statements

for the years ended 30 September

Westpac Banking Corporation

Consolidated

Parent Entity

$m

Note

2022

2021

2020

2022

2021

Interest income:

Calculated using the effective interest method 1

3

22,981

22,132

26,596

20,261

19,817

Other

3

270

146

451

352

258

Total interest income 1

23,251

22,278

27,047

20,613

20,075

Interest expense 1

3

( 6,090 )

( 5,420 )

( 10,351 )

( 6,296 )

( 5,770 )

Net interest income 1

17,161

16,858

16,696

14,317

14,305

Net fee income

4

1,671

1,482

1,592

1,491

1,224

Net wealth management and insurance income

4

808

1,211

751

-

-

Trading income

4

664

719

895

601

661

Other (loss)/income 1

4

( 698 )

952

249

7,890

2,039

Net operating income before operating expenses and impairment (charges)/benefits

19,606

21,222

20,183

24,299

18,229

Operating expenses

5

( 10,802 )

( 13,311 )

( 12,739 )

( 9,483 )

( 11,915 )

Impairment (charges)/benefits

6

( 335 )

590

( 3,178 )

( 449 )

447

Profit before income tax expense

8,469

8,501

4,266

14,367

6,761

Income tax expense

7

( 2,770 )

( 3,038 )

( 1,974 )

( 2,189 )

( 2,148 )

Net profit

5,699

5,463

2,292

12,178

4,613

Net profit attributable to non-controlling interests (NCI)

( 5 )

( 5 )

( 2 )

-

-

Net profit attributable to owners of Westpac Banking Corporation (WBC)

5,694

5,458

2,290

12,178

4,613

Earnings per share (cents)

Basic

8

159.9

149.4

63.7

Diluted

8

152.4

137.8

63.7

1. Parent Entity comparative has been restated due to a change in accounting policy. Refer to Note 1(a)(iii) for further details.

The above income statements should be read in conjunction with the accompanying notes.

WESTPAC GROUP 2022 ANNUAL REPORT 3

Statements of comprehensive income

for the years ended 30 September

Westpac Banking Corporation

Consolidated

Parent Entity

$m

2022

2021

2020

2022

2021

Net profit

5,699

5,463

2,292

12,178

4,613

Other comprehensive income/(expense)

Items that may be reclassified subsequently to profit or loss

Gains/(losses) recognised in equity on:

Debt securities measured at fair value through other comprehensive income (FVOCI)

( 318 )

578

357

( 47 )

729

Cash flow hedging instruments

1,304

296

( 95 )

881

177

Transferred to income statements:

Debt securities measured at FVOCI

( 254 )

( 195 )

( 79 )

( 254 )

( 195 )

Cash flow hedging instruments

( 434 )

39

218

( 445 )

( 13 )

Foreign currency translation reserve

-

-

55

-

-

Loss allowance on debt securities measured at FVOCI

( 2 )

2

2

( 2 )

2

Exchange differences on translation of foreign operations (net of associated hedges)

( 264 )

51

( 168 )

27

( 1 )

Income tax on items taken to or transferred from equity:

Debt securities measured at FVOCI

166

( 119 )

( 81 )

90

( 162 )

Cash flow hedging instruments

( 253 )

( 97 )

( 36 )

( 131 )

( 49 )

Items that will not be reclassified subsequently to profit or loss

Gains/(losses) on equity securities measured at FVOCI (net of tax)

92

48

( 21 )

7

( 2 )

Own credit adjustment on financial liabilities designated at fair value (net of tax)

80

( 10 )

( 39 )

80

( 10 )

Remeasurement of defined benefit obligation recognised in equity (net of tax)

446

119

( 115 )

440

108

Net other comprehensive income/(expense) (net of tax)

563

712

( 2 )

646

584

Total comprehensive income

6,262

6,175

2,290

12,824

5,197

Attributable to:

Owners of WBC

6,257

6,171

2,291

12,824

5,197

NCI

5

4

( 1 )

-

-

Total comprehensive income

6,262

6,175

2,290

12,824

5,197

The above statements of comprehensive income should be read in conjunction with the accompanying notes.

4 WESTPAC GROUP 2022 ANNUAL REPORT

Balance sheets

as at 30 September

Westpac Banking Corporation

Consolidated

Parent Entity

$m

Note

2022

2021

2022

2021

Assets

Cash and balances with central banks

36

105,257

71,353

95,182

62,754

Collateral paid

6,216

4,232

6,179

4,055

Trading securities and financial assets measured at fair value through income statement (FVIS)

17

24,332

21,101

22,417

18,779

Derivative financial instruments

21

41,283

19,353

41,127

19,127

Investment securities

18

76,465

83,417

70,176

77,863

Loans

10

739,647

709,784

651,717

618,413

Other financial assets

19

5,626

6,394

5,228

5,486

Current tax assets

16

31

4

22

Due from subsidiaries 1

-

-

54,185

47,262

Investment in subsidiaries

-

-

9,790

6,287

Investment in associates

37

58

33

34

Property and equipment

2,429

2,853

2,028

2,386

Deferred tax assets

7

1,754

2,437

1,646

2,093

Intangible assets

25

10,327

10,109

8,881

8,530

Other assets

734

567

668

499

Assets held for sale

38

75

4,188

-

1,015

Total assets 1

1,014,198

935,877

969,261

874,605

Liabilities

Collateral received

6,371

2,368

6,299

2,189

Deposits and other borrowings

13

659,129

626,955

586,745

550,187

Other financial liabilities

20

56,360

50,309

52,352

47,263

Derivative financial instruments

21

39,568

18,059

39,458

17,889

Debt issues

14

144,868

128,779

122,339

108,210

Current tax liabilities

219

71

160

15

Due to subsidiaries 1

-

-

58,343

50,732

Provisions

26

2,950

3,571

2,705

3,254

Deferred tax liabilities

7

-

90

-

-

Other liabilities

2,938

3,679

2,343

2,990

Liabilities held for sale

38

32

837

-

10

Total liabilities excluding loan capital 1

912,435

834,718

870,744

782,739

Loan capital

15

31,254

29,067

30,734

29,067

Total liabilities 1

943,689

863,785

901,478

811,806

Net assets

70,509

72,092

67,783

62,799

Shareholders’ equity

Share capital:

Ordinary share capital

27

39,666

41,601

39,666

41,601

Treasury shares

27

( 655 )

( 606 )

( 713 )

( 664 )

Reserves

27

2,378

2,227

2,388

2,148

Retained profits

29,063

28,813

26,442

19,714

Total equity attributable to owners of WBC

70,452

72,035

67,783

62,799

NCI

27

57

57

-

-

Total shareholders’ equity and NCI

70,509

72,092

67,783

62,799

1. Parent Entity comparative has been restated due to a change in accounting policy. Refer to Note 1(a)(iii) for further details.

The above balance sheets should be read in conjunction with the accompanying notes.

WESTPAC GROUP 2022 ANNUAL REPORT 5

Statements of changes in equity

for the years ended 30 September

Westpac Banking Corporation

Total equity

Total

attributable

shareholders’

Consolidated

Share capital

Reserves

Retained

to owners

NCI

equity

$m

(Note 27)

(Note 27)

profits

of WBC

(Note 27)

and NCI

Balance as at 30 September 2019

36,955

1,311

27,188

65,454

53

65,507

Net profit

-

-

2,290

2,290

2

2,292

Net other comprehensive income/(expense)

-

155

( 154 )

1

( 3 )

( 2 )

Total comprehensive income/(expense)

-

155

2,136

2,291

( 1 )

2,290

Transactions in capacity as equity holders

Share issuances

2,751

-

-

2,751

-

2,751

Dividends on ordinary shares 1

-

-

( 2,791 )

( 2,791 )

-

( 2,791 )

Dividend reinvestment plan

273

-

-

273

-

273

Other equity movements

Share-based payment arrangements

-

78

-

78

-

78

Purchase of shares

( 29 )

-

-

( 29 )

-

( 29 )

Net acquisition of treasury shares

( 10 )

-

-

( 10 )

-

( 10 )

Other

6

-

-

6

( 1 )

5

Total contributions and distributions

2,991

78

( 2,791 )

278

( 1 )

277

Balance as at 30 September 2020

39,946

1,544

26,533

68,023

51

68,074

Impact from a change in accounting policy 2

-

-

( 40 )

( 40 )

-

( 40 )

Restated opening balance

39,946

1,544

26,493

67,983

51

68,034

Net profit

-

-

5,458

5,458

5

5,463

Net other comprehensive income/(expense)

-

604

109

713

( 1 )

712

Total comprehensive income/(expense)

-

604

5,567

6,171

4

6,175

Transactions in capacity as equity holders

Dividends on ordinary shares 1

-

-

( 3,247 )

( 3,247 )

-

( 3,247 )

Dividend reinvestment plan

401

-

-

401

-

401

Dividend reinvestment plan underwrite

719

-

-

719

-

719

Other equity movements

Share-based payment arrangements

-

86

-

86

-

86

Purchase of shares

( 28 )

-

-

( 28 )

-

( 28 )

Net acquisition of treasury shares

( 43 )

-

-

( 43 )

-

( 43 )

Other

-

( 7 )

-

( 7 )

2

( 5 )

Total contributions and distributions

1,049

79

( 3,247 )

( 2,119 )

2

( 2,117 )

Balance as at 30 September 2021

40,995

2,227

28,813

72,035

57

72,092

Net profit

-

-

5,694

5,694

5

5,699

Net other comprehensive income/(expense)

-

37

526

563

-

563

Total comprehensive income/(expense)

-

37

6,220

6,257

5

6,262

Transactions in capacity as equity holders

Dividends on ordinary shares 1

-

-

( 4,337 )

( 4,337 )

-

( 4,337 )

Other equity movements

Off-market share buy-back (net of transaction costs) 3

( 1,902 )

-

( 1,601 )

( 3,503 )

-

( 3,503 )

Share-based payment arrangements

-

87

-

87

-

87

Purchase of shares

( 33 )

-

-

( 33 )

-

( 33 )

Net acquisition of treasury shares

( 49 )

-

-

( 49 )

-

( 49 )

Other

-

27

( 32 )

( 5 )

( 5 )

( 10 )

Total contributions and distributions

( 1,984 )

114

( 5,970 )

( 7,840 )

( 5 )

( 7,845 )

Balance as at 30 September 2022

39,011

2,378

29,063

70,452

57

70,509

1.

2022 consisted of 2022 interim dividend of 61 cents per share ($ 2,136 million) and 2021 final dividend of 60 cents per share ($ 2,201 million) (2021: 2021 interim dividend of 58 cents per share ($ 2,127 million) and 2020 final dividend of 31 cents per share ($ 1,120 million), 2020: 2019 final dividend of 80 cents per share ($ 2,791 million)), all fully franked at 30 %.

2.

In the prior period, the Group aligned its accounting treatment of costs incurred in configuring or customising Software-as-a-Service (SaaS) arrangements to align with the treatment outlined in the IFRIC agenda decision released April 2021. The adjustment to 2021 opening retained earnings reflects the impact of this change in accounting policy on prior years.

3.

On 14 February 2022, the Group completed its $ 3.5 billion off-market share buy-back of Westpac ordinary shares. Refer to note 27 for further details.

The above statements of changes in equity should be read in conjunction with the accompanying notes.

6 WESTPAC GROUP 2022 ANNUAL REPORT

Statements of changes in equity

for the years ended 30 September

Westpac Banking Corporation

Total equity

attributable

Parent Entity

Share capital

Reserves

Retained

to owners

$m

(Note 27)

(Note 27)

profits

of WBC

Balance as at 30 September 2020

39,888

1,576

18,284

59,748

Impact from a change in accounting policy 1

-

-

( 34 )

( 34 )

Restated opening balance

39,888

1,576

18,250

59,714

Net profit

-

-

4,613

4,613

Net other comprehensive income/(expense)

-

486

98

584

Total comprehensive income/(expense)

-

486

4,711

5,197

Transactions in capacity as equity holders

Dividends on ordinary shares 2

-

-

( 3,247 )

( 3,247 )

Dividend reinvestment plan

401

-

-

401

Dividend reinvestment plan underwrite

719

-

-

719

Other equity movements

Share-based payment arrangements

-

86

-

86

Purchase of shares

( 28 )

-

-

( 28 )

Net acquisition of treasury shares

( 43 )

-

-

( 43 )

Total contributions and distributions

1,049

86

( 3,247 )

( 2,112 )

Balance as at 30 September 2021

40,937

2,148

19,714

62,799

Net profit

-

-

12,178

12,178

Net other comprehensive income/(expense)

-

126

520

646

Total comprehensive income/(expense)

-

126

12,698

12,824

Transactions in capacity as equity holders

Dividends on ordinary shares 2

-

-

( 4,337 )

( 4,337 )

Other equity movements

Off-market share buy-back (net of transaction costs) 3

( 1,902 )

-

( 1,601 )

( 3,503 )

Share-based payment arrangements

-

87

-

87

Purchase of shares

( 33 )

-

-

( 33 )

Net acquisition of treasury shares

( 49 )

-

-

( 49 )

Other

-

27

( 32 )

( 5 )

Total contributions and distributions

( 1,984 )

114

( 5,970 )

( 7,840 )

Balance as at 30 September 2022

38,953

2,388

26,442

67,783

1.

In the prior period, the Group aligned its accounting treatment of costs incurred in configuring or customising Software-as-a-Service (SaaS) arrangements to align with the treatment outlined in the IFRIC agenda decision released April 2021. The adjustment to 2021 opening retained earnings reflects the impact of this change in accounting policy on prior years.

2.

2022 consisted of 2022 interim dividend of 61 cents per share ($ 2,136 million) and 2021 final dividend of 60 cents per share ($ 2,201 million) (2021: 2021 interim dividend of 58 cents per share ($ 2,127 million) and 2020 final dividend of 31 cents per share ($ 1,120 million)), all fully franked at 30 %.

3.

On 14 February 2022, the Group completed its $ 3.5 billion off-market share buy-back of Westpac ordinary shares. Refer to note 27 for further details.

The above statements of changes in equity should be read in conjunction with the accompanying notes.

WESTPAC GROUP 2022 ANNUAL REPORT 7

Cash flow statements

for the years ended 30 September

Westpac Banking Corporation

Consolidated

Parent Entity

$m

Note

2022

2021

2020

2022

2021

Cash flows from operating activities

Interest received 1

22,423

22,430

27,215

19,887

20,238

Interest paid 1

( 5,091 )

( 5,677 )

( 11,466 )

( 5,488 )

( 5,954 )

Dividends received excluding life business

4

4

16

1,569

1,186

Other non-interest income received 1

4,208

3,340

2,894

4,061

3,044

Operating expenses paid

( 9,724 )

( 10,941 )

( 8,598 )

( 8,548 )

( 10,022 )

Income tax paid excluding life business

( 2,278 )

( 2,639 )

( 3,080 )

( 2,050 )

( 2,343 )

Life business:

Receipts from policyholders and customers

845

976

2,235

-

-

Interest and other items of similar nature

1

22

21

-

-

Dividends received

25

12

306

-

-

Payments to policyholders and suppliers

( 619 )

( 1,168 )

( 2,302 )

-

-

Income tax paid

( 65 )

( 49 )

( 6 )

-

-

Cash flows from operating activities before changes in operating assets and liabilities

9,729

6,310

7,235

9,431

6,149

Net (increase)/decrease in:

Collateral paid

( 1,524 )

305

348

( 1,658 )

339

Trading securities and financial assets measured at FVIS

( 3,750 )

19,316

( 8,756 )

( 3,890 )

18,625

Derivative financial instruments

2,451

( 2,420 )

1,851

380

( 1,874 )

Loans

( 36,345 )

( 15,098 )

18,272

( 32,696 )

( 11,228 )

Other financial assets

279

( 274 )

273

( 186 )

258

Life insurance assets and life insurance liabilities

266

( 593 )

( 277 )

-

-

Other assets

20

6

70

37

( 23 )

Net increase/(decrease) in:

Collateral received

3,643

93

( 1,096 )

3,744

312

Deposits and other borrowings

35,054

33,737

28,910

33,586

28,696

Other financial liabilities

7,120

9,036

11,817

5,939

6,500

Other liabilities

11

( 8 )

4

41

( 4 )

Net cash provided by/(used in) operating activities

36

16,954

50,410

58,651

14,728

47,750

Cash flows from investing activities

Proceeds from investment securities

36,022

34,066

33,080

34,383

32,006

Purchase of investment securities

( 34,076 )

( 28,840 )

( 51,332 )

( 31,179 )

( 26,955 )

Net movement in amounts due to/from controlled entities

-

-

-

1,589

( 1,852 )

Proceeds from disposal of controlled entities and other businesses, net of cash disposed

36

2,115

1,272

-

1,013

-

Purchase of controlled entities

( 14 )

-

-

( 14 )

-

Net (increase)/decrease in investments in controlled entities

-

-

-

1,555

125

Proceeds from disposal of associates

-

45

-

-

-

Purchase of associates

-

( 8 )

( 8 )

-

( 2 )

Proceeds from disposal of property and equipment

25

62

58

14

38

Purchase of property and equipment

( 166 )

( 234 )

( 240 )

( 129 )

( 156 )

Purchase of intangible assets

( 1,099 )

( 740 )

( 1,035 )

( 938 )

( 638 )

Net cash provided by/(used in) investing activities

2,807

5,623

( 19,477 )

6,294

2,566

Cash flows from financing activities

Proceeds from debt issues (net of issue costs)

73,309

46,799

34,766

58,657

37,868

Redemption of debt issues

( 55,899 )

( 65,272 )

( 65,160 )

( 44,222 )

( 54,425 )

Payments for the principal portion of lease liabilities

( 427 )

( 507 )

( 543 )

( 401 )

( 455 )

Issue of loan capital (net of issue costs)

6,527

7,628

2,225

6,007

7,628

Redemption of loan capital

( 2,344 )

( 1,548 )

( 262 )

( 2,344 )

( 1,548 )

Payment for off-market share buy-back

( 3,503 )

-

-

( 3,503 )

-

Proceeds from issuances of shares

-

-

2,751

-

-

Proceeds from dividend reinvestment plan underwrite

-

719

-

-

719

Purchase of shares relating to share-based payment arrangements

( 33 )

( 28 )

( 29 )

( 33 )

( 28 )

Purchase of Restricted Share Plan (RSP) treasury shares

( 49 )

( 43 )

( 46 )

( 49 )

( 43 )

Net sale/(purchase) of other treasury shares

-

-

14

-

-

Payment of dividends

( 4,337 )

( 2,846 )

( 2,518 )

( 4,337 )

( 2,846 )

Dividends paid to NCI

( 5 )

( 2 )

( 1 )

-

-

Net cash provided by/(used in) financing activities

13,239

( 15,100 )

( 28,803 )

9,775

( 13,130 )

Net increase/(decrease) in cash and balances with central banks

33,000

40,933

10,371

30,797

37,186

Effect of exchange rate changes on cash and balances with central banks

897

298

( 301 )

1,631

132

Net (increase)/decrease in cash and balances with central banks included in assets held for sale

7

( 7 )

-

-

-

Cash and balances with central banks as at beginning of year

71,353

30,129

20,059

62,754

25,436

Cash and balances with central banks as at end of year

36

105,257

71,353

30,129

95,182

62,754

1. Parent Entity comparative has been restated due to a change in accounting policy. Refer to Note 1(a)(iii) for further details.

The above cash flow statements should be read in conjunction with the accompanying notes.

8 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 1. Financial statements preparation

This financial report of Westpac Banking Corporation (the Parent Entity), together with its controlled entities (the Group or Westpac), for the year ended 30 September 2022, was authorised for issue by the Board of Directors on 6 November 2022. The Directors have the power to amend and reissue the financial report.

The principal accounting policies are set out below and in the relevant notes to the financial statements. The accounting policy for the recognition and derecognition of financial assets and financial liabilities precedes Note 10. These policies have been consistently applied to all the years presented, unless otherwise stated.

a.    Basis of preparation

(i)    Basis of accounting

This financial report is a general purpose financial report prepared in accordance with:

the requirements for an Authorised Deposit-taking Institution (ADI) under the Banking Act 1959 (as amended);
Australian Accounting Standards (AAS) and Interpretations as issued by the Australian Accounting Standards Board (AASB); and
the Corporations Act 2001.

Westpac Banking Corporation is domiciled and incorporated in Australia and is a for-profit entity for the purposes of preparing these financial statements.

The financial report also complies with International Financial Reporting Standards (IFRS) as issued by the International Accounting Standards Board (IASB) and Interpretations as issued by the IFRS Interpretations Committee (IFRIC). It also includes additional disclosures required for foreign registrants by the United States Securities and Exchange Commission (US SEC).

All amounts have been rounded in accordance with ASIC Corporations (Rounding in Financial/Directors’ Reports) Instrument 2016/191, to the nearest million dollars, unless otherwise stated.

(ii) Historical cost convention

The financial report has been prepared under the historical cost convention, as modified by applying fair value accounting to financial assets and financial liabilities (including derivative instruments) measured at fair value through income statement (FVIS) or in other comprehensive income (OCI).

(iii)   Changes in accounting policy

Intercompany transactions with consolidated securitisation entities

During the current financial year, the Group has revised its accounting policy for certain intercompany transactions with consolidated securitisation entities where the Parent Entity holds all the issued securities.

Previously, the Parent Entity recognised these transactions on a gross basis by recognising its holding of the debt securities in due from subsidiaries and a loan liability with the securitisation entity in due to subsidiaries, with a corresponding gross up of the income and expenses associated with these transactions. Under the revised accounting policy, these transactions will no longer be recognised as assets and liabilities or as income and expenses since there is no impact to the overall position of the Parent Entity as a result of these transactions. The revised accounting policy provides more relevant information as it more faithfully represents the economic substance of the transactions and aligns to current market practices in accounting for these structures.

The change in accounting policy has no impact to the Group's consolidated financial statements as the previously reported balances between the Parent Entity and the consolidated securitisation entities were eliminated on consolidation.

WESTPAC GROUP 2022 ANNUAL REPORT 9

Notes to the financial statements

Note 1. Financial statements preparation (continued)

The change in accounting policy has been applied retrospectively and had the following impact on the Parent Entity's 30 September 2021 financial statements:

Parent Entity

$m

Reported

Restatement

Restated

Balance sheet

Due from subsidiaries

175,346

( 128,084 )

47,262

Total assets

1,002,689

( 128,084 )

874,605

Due to subsidiaries

178,816

( 128,084 )

50,732

Total liabilities

939,890

( 128,084 )

811,806

Net assets

62,799

-

62,799

Income statement

Interest income

21,906

( 1,831 )

20,075

Interest expense

( 7,870 )

2,100

( 5,770 )

Net interest income

14,036

269

14,305

Non-interest income

4,193

( 269 )

3,924

Net operating income before operating expenses and impairment (charges)/ benefits

18,229

-

18,229

(iv)   Standards adopted during the year ended 30 September 2022

No new accounting standards have been adopted by the Group for the year ended 30 September 2022. There have been no amendments to existing accounting standards that have had a material impact to the Group or the Parent Entity.

(v)    Business combinations

Business combinations are accounted for using the acquisition method of accounting. Acquisition cost is measured as the aggregate of the fair value at the date of acquisition of the assets given, equity instruments issued or liabilities incurred or assumed. Acquisition-related costs are expensed as incurred (except for those costs arising on the issue of equity instruments which are recognised directly in equity).

Identifiable assets acquired and liabilities and contingent liabilities assumed in a business combination are measured at fair value on the acquisition date. Goodwill is measured as the excess of the acquisition cost, the amount of any non-controlling interest and the fair value of any previous Westpac equity interest in the acquiree, over the fair value of the identifiable net assets acquired.

(vi)    Foreign currency translation

Functional and presentational currency

The consolidated financial statements are presented in Australian dollars which is the Parent Entity’s functional and presentation currency. The functional currency of offshore entities is usually the main currency of the economy they operate in.

Transactions and balances

Foreign currency transactions are translated into the functional currency of the relevant branch or subsidiary using the exchange rates prevailing at the dates of the transactions. Foreign exchange (FX) gains and losses resulting from the settlement of such transactions and from the translation at year end exchange rates of monetary assets and liabilities denominated in foreign currencies are recognised in the income statement, except when deferred in OCI for qualifying cash flow hedges and qualifying net investment hedges.

Foreign operations

Assets and liabilities of foreign branches and subsidiaries that have a functional currency other than the Australian dollar are translated at exchange rates prevailing on the balance date. Income and expenses are translated at average exchange rates prevailing during the year. Equity balances are translated at historical exchange rates.

The resulting exchange differences are recognised in the foreign currency translation reserve and in OCI.

Where the Group hedges the currency translation risk arising from net investments in foreign operations, the gains or losses on the hedging instruments are also reflected in OCI to the extent the hedge is effective. When all or part of a foreign operation is disposed or borrowings that are part of the net investments are repaid, a proportionate share of such exchange differences is recognised in the income statement as part of the gain or loss on disposal or repayment of borrowing.

10 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 1. Financial statements preparation (continued)

(vii)    Comparative revisions

Comparative information has been revised where appropriate to conform to changes in presentation in the current year and to enhance comparability.

b.     Critical accounting assumptions and estimates

Applying the Group’s accounting policies requires the use of judgement, assumptions and estimates which impact the financial information. The significant assumptions and estimates used are discussed in the relevant notes below:

Note 7           Income tax
Note 11         Provisions for expected credit losses (ECL)
Note 23         Fair values of financial assets and financial liabilities
Note 25         Intangible assets
Note 26         Provisions, contingent liabilities, contingent assets and credit commitments
Note 33         Superannuation commitments

Impact of climate-related risks

The Group has considered the impact of climate-related risks on its financial position and performance and while the effects of climate change represent a source of uncertainty, the Group has concluded that climate-related risks do not have a material impact on the judgements, assumptions and estimates for the year ended 30 September 2022. Details of provision for ECL overlays held in relation to physical climate-related risk are provided in Note 11.

Impact of COVID-19

The Group has considered the impact of the COVID-19 pandemic on the assumptions and estimates impacting the financial statements for the year ended 30 September 2022. The key areas requiring judgement include:

ECL; and
recoverable amount assessments of intangible assets.

As there is a higher than usual degree of uncertainty associated with these assumptions and estimates, the actual outcomes may differ significantly which may impact accounting estimates included in these financial statements.

c.    Future developments in accounting standards

There are no new standards or amendments to existing standards that are not yet effective that are expected to have a material impact to the Group or the Parent Entity.

WESTPAC GROUP 2022 ANNUAL REPORT 11

Notes to the financial statements

FINANCIAL PERFORMANCE

Note 2. Segment reporting

Accounting policy

Operating segments are presented on a basis consistent with information provided internally to Westpac’s key decision makers and reflect the management of the business, rather than the legal structure of the Group.

Internally, Westpac uses an adjusted AAS measure of performance referred to as ‘cash earnings’ in assessing the financial performance of its segments .

Cash earnings is viewed as a measure of the level of profit that is generated by ongoing operations and is therefore typically considered in assessing distributions, including dividends. Cash earnings is neither a measure of cash flow nor net profit determined on a cash accounting basis, as it includes both cash and non-cash adjustments to statutory net profit.

To determine cash earnings, three categories of adjustments are made to statutory results:

items that key decision makers at Westpac believe do not reflect ongoing operations;
items that are not typically considered when dividends are recommended, mainly economic hedging impacts; and
accounting reclassifications between individual line items that do not impact statutory results.

Segment restatements

On 17 March 2021, Westpac announced that it was bringing together the leadership of its Consumer and Business segments into a new Consumer and Business segment. We have updated our reporting and restated comparatives for this change and changes in the allocations of certain revenue and expense items across segments, to align with changes in the information presented internally to key decision makers. The key changes include:

All Australian mortgages (both business and consumer) are now included in the Mortgage line of business (LOB). The associated goodwill was also moved from business to consumer.
Revenue sharing ceased from the sale of certain institutional products (i.e. Foreign exchange and interest rate hedging). This reduces non-interest income across Consumer and Business segments with all income for these products recorded in WIB.
The addition of the share bro king business in Consumer from Specialist Businesses.

Reportable operating segments

We are one of Australia’s leading providers of banking and selected financial services, operating under multiple brands, and predominantly in Australia and New Zealand, with a small presence in Europe, North America and Asia. We operate through a significant online capability supported by an extensive branch and ATM network, call centres and specialist relationship and product managers. Our operations comprise the following key segments:

Consumer and Business Banking:
- Consumer provides banking products and services, including mortgages, credit cards, personal loans, and savings and deposit products to Australian retail customers.
- Business serves the banking needs of Australian small business, Agribusiness and Commercial customers.
Westpac Institutional Bank (WIB) provides a broad range of financial products and services to corporate, institutional and government customers.
Westpac New Zealand provides banking, wealth and insurance products and services for consumer, business and institutional customers in New Zealand.
Specialist Businesses comprises the operations that Westpac ultimately plans to exit. We completed the sale of Westpac Life Insurance Services Limited in August 2022. In 2022, we entered into separate agreements to merge BT’s personal and corporate superannuation funds through a successor fund transfer as well as the sale of Advance Asset Management Limited. These transactions are subject to regulatory approval, and if granted expected to complete in 2023. Other operations yet to be sold include wealth administration platforms. Specialist Businesses also manages Westpac Pacific which provides a full range of banking services in Fiji and Papua New Guinea. We are not expecting to sell the pacific business in the short to medium term. The division operates under the Westpac, St.George, BankSA, Bank of Melbourne, and BT brands.
Group Businesses includes support functions such as Treasury, Customer Services and Technology, Corporate Services and Enterprise Services. It also includes Group-wide elimination entries arising on consolidation, centrally raised provisions and other unallocated revenue and expenses.

12 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 2. Segment reporting (continued)

The following tables present the segment results on a cash earnings basis for the Group.

Consumer

and

Westpac

Westpac

Net cash

Business

Institutional

New

Specialist

Group

earnings

Income

$m

Consumer

Business

Bank

Bank

Zealand

Businesses

Businesses

Total

adjustments

statement

2022

Net interest income

8,985

3,027

12,012

1,110

2,106

474

903

16,605

556

17,161

Net fee income

513

327

840

605

184

46

( 4 )

1,671

-

1,671

Net wealth management and insurance income

51

-

51

-

54

703

1

809

( 1 )

808

Trading income

-

-

-

516

43

41

20

620

44

664

Other income

48

2

50

18

116

( 942 )

54

( 704 )

6

( 698 )

Net operating income before operating expenses and impairment (charges)/benefits

9,597

3,356

12,953

2,249

2,503

322

974

19,001

605

19,606

Operating expenses 1

( 4,689 )

( 1,896 )

( 6,585 )

( 1,181 )

( 1,072 )

( 1,047 )

( 906 )

( 10,791 )

( 11 )

( 10,802 )

Impairment (charges)/benefits

( 201 )

( 143 )

( 344 )

( 85 )

25

67

2

( 335 )

-

( 335 )

Profit before income tax (expense)/ benefit

4,707

1,317

6,024

983

1,456

( 658 )

70

7,875

594

8,469

Income tax (expense)/benefit

( 1,416 )

( 399 )

( 1,815 )

( 296 )

( 381 )

( 61 )

( 41 )

( 2,594 )

( 176 )

( 2,770 )

Net profit attributable to NCI

-

-

-

-

-

( 4 )

( 1 )

( 5 )

-

( 5 )

Cash earnings

3,291

918

4,209

687

1,075

( 723 )

28

5,276

418

5,694

Net cash earnings adjustments

-

-

-

-

2

-

416

418

Net profit attributable to

owners of WBC

3,291

918

4,209

687

1,077

( 723 )

444

5,694

Balance sheet

Loans 2

474,604

84,897

559,501

85,182

85,285

9,866

( 187 )

739,647

Deposits and other borrowings 2

280,574

133,335

413,909

116,552

71,202

9,457

48,009

659,129

2021

Net interest income

9,486

2,987

12,473

925

1,987

494

835

16,714

144

16,858

Net fee income

449

345

794

614

140

65

( 131 )

1,482

-

1,482

Net wealth management and insurance income

52

-

52

-

113

1,145

( 104 )

1,206

5

1,211

Trading income

-

-

-

608

58

33

16

715

4

719

Other income

17

4

21

91

12

212

585

921

31

952

Net operating income before operating expenses and impairment (charges)/benefits

10,004

3,336

13,340

2,238

2,310

1,949

1,201

21,038

184

21,222

Operating expenses 1

( 4,898 )

( 2,218 )

( 7,116 )

( 2,595 )

( 1,062 )

( 1,478 )

( 1,032 )

( 13,283 )

( 28 )

( 13,311 )

Impairment (charges)/benefits

184

425

609

( 162 )

79

66

( 2 )

590

-

590

Profit before income tax (expense)/benefit

5,290

1,543

6,833

( 519 )

1,327

537

167

8,345

156

8,501

Income tax (expense)/benefit

( 1,583 )

( 466 )

( 2,049 )

( 14 )

( 377 )

( 373 )

( 175 )

( 2,988 )

( 50 )

( 3,038 )

Net profit attributable to NCI

-

-

-

-

-

( 2 )

( 3 )

( 5 )

-

( 5 )

Cash earnings

3,707

1,077

4,784

( 533 )

950

162

( 11 )

5,352

106

5,458

Net cash earnings adjustments

-

-

-

-

( 2 )

-

108

106

Net profit attributable to

owners of WBC

3,707

1,077

4,784

( 533 )

948

162

97

5,458

Balance sheet

Loans

462,699

78,385

541,084

67,749

88,409

12,550

( 8 )

709,784

Deposits and other borrowings

266,445

128,550

394,995

99,349

75,756

8,744

48,111

626,955

1.

Impairment of assets (including goodwill and other intangible assets) were insignificant for all segments except for the following:

- Specialist Businesses: 2022: $ 167 million (2021: $ 141 million).

- Group Businesses: 2022: $ 166 million (2021: $ 6 million).

- Westpac Institutional Bank: 2022: nil (2021: $ 1,192 million).

2.

Specialist Businesses excludes balances presented as held for sale (refer to Note 38 for further details).

WESTPAC GROUP 2022 ANNUAL REPORT 13

Notes to the financial statements

Note 2. Segment reporting (continued)

Consumer

and

Westpac

Westpac

Net cash

Business

Institutional

New

Specialist

Group

earnings

Income

$m

Consumer

Business

Bank

Bank

Zealand

Businesses

Businesses

Total

adjustments

statement

2020

Net interest income

9,711

3,005

12,716

1,117

1,832

519

902

17,086

( 390 )

16,696

Net fee income

568

288

856

605

123

86

( 78 )

1,592

-

1,592

Net wealth management and insurance income

-

47

47

-

158

598

( 44 )

759

( 8 )

751

Trading income

-

-

-

822

27

57

22

928

( 33 )

895

Other income

12

5

17

1

11

( 8 )

240

261

( 12 )

249

Net operating income before operating expenses and impairment (charges)/benefits

10,291

3,345

13,636

2,545

2,151

1,252

1,042

20,626

( 443 )

20,183

Operating expenses

( 4,323 )

( 2,109 )

( 6,432 )

( 1,343 )

( 998 )

( 1,547 )

( 2,380 )

( 12,700 )

( 39 )

( 12,739 )

Impairment (charges)/benefits

( 1,277 )

( 1,110 )

( 2,387 )

( 403 )

( 302 )

( 256 )

170

( 3,178 )

-

( 3,178 )

Profit before income tax (expense)/benefit

4,691

126

4,817

799

851

( 551 )

( 1,168 )

4,748

( 482 )

4,266

Income tax (expense)/benefit

( 1,404 )

( 38 )

( 1,442 )

( 319 )

( 239 )

14

( 152 )

( 2,138 )

164

( 1,974 )

Net profit attributable to NCI

-

-

-

-

-

( 2 )

-

( 2 )

-

( 2 )

Cash earnings

3,287

88

3,375

480

612

( 539 )

( 1,320 )

2,608

( 318 )

2,290

Net cash earnings adjustments

-

-

-

-

7

( 31 )

( 294 )

( 318 )

Net profit attributable to owners of WBC

3,287

88

3,375

480

619

( 570 )

( 1,614 )

2,290

Balance sheet

Loans

449,012

80,761

529,773

66,909

81,434

14,942

1

693,059

Deposits and other borrowings

251,920

118,958

370,878

104,862

68,473

7,569

39,349

591,131

Reconciliation of cash earnings to net profit attributable to owners of WBC

$m

2022

2021

2020

Cash earnings

5,276

5,352

2,608

Cash earnings adjustments

Fair value gain/(loss) on economic hedges

470

138

( 362 )

Ineffective hedges

( 52 )

( 32 )

61

Adjustments related to Pendal

-

-

( 31 )

Treasury shares

-

-

14

Total cash earnings adjustments (post-tax)

418

106

( 318 )

Net profit attributable to owners of WBC

5,694

5,458

2,290

Revenue from products and services

Details of revenue from external customers by product or service are disclosed in Notes 3 and 4. No single customer amounted to greater than 10% of the Group’s revenue.

Geographic segments

Geographic segments are based on the location of the office where the following items were recognised.

2022

2021

2020

$m

%

$m

%

$m

%

Revenue

Australia

20,198

78.6

22,788

85.5

26,135

85.6

New Zealand

5,010

19.5

3,509

13.2

3,439

11.3

Other overseas 1

488

1.9

345

1.3

960

3.1

Total

25,696

100.0

26,642

100.0

30,534

100.0

Non-current assets 2

Australia

11,606

91.0

11,825

91.2

14,270

92.6

New Zealand

1,088

8.5

1,082

8.3

1,015

6.6

Other overseas 1

62

0.5

55

0.5

122

0.8

Total

12,756

100.0

12,962

100.0

15,407

100.0

1.

Other overseas included Pacific Islands, Asia, the Ameri cas and Europe.

2.

Non -current assets represent property and equipment and intangible assets.

14 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 3. Net interest income

Accounting policy

Interest income and interest expense for all interest earning financial assets and interest bearing financial liabilities at amortised cost or FVOCI, detailed within the table below, are recognised using the effective interest method. Net income from treasury’s interest rate and liquidity management activities and the cost of the Bank levy are included in net interest income.

The effective interest method calculates the amortised cost of a financial instrument by discounting the financial instrument’s estimated future cash receipts or payments to their present value and allocates the interest income or interest expense, including any fees, costs, premiums or discounts integral to the instrument, over its expected life.

Interest income is calculated based on the gross carrying amount of financial assets in stages 1 and 2 of the Group’s ECL model and on the carrying amount net of the provision for ECL for financial assets in stage 3.

Consolidated

Parent Entity

$m

2022

2021

2020

2022

2021

Interest income 1

Calculated using the effective interest method

Cash and balances with central banks

683

30

135

534

14

Collateral paid

68

16

75

67

15

Investment securities

1,126

1,200

1,521

1,002

1,120

Loans

21,096

20,756

24,848

17,853

17,971

Other financial assets

2

2

17

2

2

Due from subsidiaries 2

-

-

-

797

645

Assets held for sale

6

128

-

6

50

Total interest income calculated using the effective interest method 2

22,981

22,132

26,596

20,261

19,817

Other

Net ineffectiveness on qualifying hedges

( 77 )

( 46 )

87

( 80 )

( 42 )

Trading securities and financial assets measured at FVIS and loans

347

192

364

317

182

Due from subsidiaries

-

-

-

115

118

Total other

270

146

451

352

258

Total interest income 2

23,251

22,278

27,047

20,613

20,075

Interest expense

Calculated using the effective interest method

Collateral received

( 64 )

( 4 )

( 26 )

( 64 )

( 3 )

Deposits and other borrowings

( 2,810 )

( 1,801 )

( 4,652 )

( 2,097 )

( 1,402 )

Debt Issues

( 2,257 )

( 1,861 )

( 2,907 )

( 2,028 )

( 1,655 )

Due to subsidiaries 2

-

-

-

( 1,389 )

( 1,119 )

Loan capital

( 1,026 )

( 849 )

( 800 )

( 1,025 )

( 849 )

Other financial liabilities

( 162 )

( 112 )

( 98 )

( 124 )

( 110 )

Liabilities held for sale

-

( 11 )

-

-

( 9 )

Total interest expense calculated using the effective interest method 2

( 6,319 )

( 4,638 )

( 8,483 )

( 6,727 )

( 5,147 )

Other

Deposits and other borrowings

( 399 )

( 67 )

( 402 )

( 345 )

( 48 )

Trading liabilities 3

1,169

( 122 )

( 787 )

1,177

297

Debt issues

( 93 )

( 64 )

( 107 )

( 57 )

( 58 )

Bank levy

( 340 )

( 392 )

( 408 )

( 340 )

( 392 )

Due to subsidiaries

-

-

-

93

( 296 )

Other interest expense

( 108 )

( 136 )

( 164 )

( 97 )

( 126 )

Liabilities held for sale

-

( 1 )

-

-

-

Total other

229

( 782 )

( 1,868 )

431

( 623 )

Total interest expense 2

( 6,090 )

( 5,420 )

( 10,351 )

( 6,296 )

( 5,770 )

Total net interest income 2

17,161

16,858

16,696

14,317

14,305

1.

Interest income included items relating to compliance, regulation and remediation costs recognised as an addition in interest income of $ 1 million (2021: $ 106 million addition, 2020: $ 170 million reduction) for the Group, and an addition of $ 7 million (2021: $ 149 million addition) for the Parent Entity. Refer to Note 26 for further details.

2. Parent Entity comparative has been restated due to a change in accounting policy. Refer to Note 1(a)(iii) for further details.

3.

Includes net impact of Treasury balance sheet management activities.

WESTPAC GROUP 2022 ANNUAL REPORT 15

Notes to the financial statements

Note 4. Non- interest income

Accounting policy

Non-interest income includes net fee income, net wealth management and insurance income, trading income and other income.

Net fee income

When another party is involved in providing goods or services to a Group customer, the Group assesses whether the nature of the arrangement with its customer is as a principal provider or an agent of another party. Where the Group is acting as an agent for another party, the income earned by the Group is the net consideration received (i.e. the gross amount received from the customer less amounts paid to a third party provider). As an agent, the net consideration represents fee income for facilitating the transaction between the customer and the third party provider with primary responsibility for fulfilling the contract.

Fee income

Fee income is recognised when the performance obligation is satisfied by transferring the promised good or service to the customer. Fee income includes facility fees, transaction fees and other non-risk fee income.

Facility fees include certain line fees, annual credit card fees and fees for providing customer bank accounts. They are recognised over the term of the facility/period of service on a straight-line basis.

Transaction fees are earned for facilitating banking transactions such as FX fees, telegraphic transfers and issuing bank cheques. Fees for these one-off transactions are recognised once the transaction has been completed. Transaction fees are also recognised for credit card transactions including interchange fees net of scheme charges. These are recognised once the transaction has been completed, however, a component of interchange fees received is deferred as unearned income as the Group has a future service obligation to customers under the Group’s credit card reward programs.

Other non-risk fee income includes advisory and underwriting fees which are recognised when the related service is completed.

Income which forms an integral part of the effective interest rate of a financial instrument is recognised using the effective interest method and recorded in interest income (for example, loan origination fees).

Fee expenses

Fee expenses include incremental external costs that vary directly with the provision of goods or services to customers. An incremental cost is one that would not have been incurred if a specific good or service had not been provided to a specific customer. Fee expenses which form an integral part of the effective interest rate of a financial instrument are recognised using the effective interest method and recorded in net interest income. Fee expenses include the costs associated with credit card loyalty programs which are recognised as an expense when the services are provided on the redemption of points as well as merchant transaction costs.

Net wealth management and insurance income

Net wealth management income

Wealth management fees earned for the ongoing management of customer funds and investments are recognised when the performance obligation is satisfied which is over the period of management.

Insurance premium income

Insurance premium income includes premiums earned for life insurance, life investment, loan mortgage insurance and general insurance products:

life insurance premiums with a regular due date are recognised as revenue on an accrual basis;
life investment premiums include a management fee component which is recognised as income over the period the service is provided. The deposit components of life insurance and investment contracts are not revenue and are treated as movements in life insurance liabilities;
general insurance premium comprises amounts charged to policyholders, excluding taxes, and is recognised based on the likely pattern in which the insured risk is likely to emerge. The portion not yet earned based on the pattern assessment is recognised as unearned premium liability.

16 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 4. Non-interest income (continued)

Accounting policy (continued)

Insurance claims expense

life and general insurance contract claims are recognised as an expense when the liability is established;
claims incurred in respect of life investment contracts represent withdrawals and are recognised as a reduction in life insurance liabilities.

Changes in life insurance liabilities

Changes in life insurance liabilities includes the change in the value of life insurance contract liabilities calculated using the margin on services methodology (MoS), specified in the Prudential Standard LPS 340 Valuation of Policy Liabilities .

Regulation, competition, interest rates, taxes, securities market conditions and general economic conditions also affect the estimation of life insurance liabilities.

Trading income

realised and unrealised gains or losses from changes in the fair value of trading assets, liabilities and derivatives are recognised in the period in which they arise (except day one profits or losses which are deferred, refer to Note 23);
net income related to Treasury’s interest rate and liquidity management activities is included in net interest income.

Other income - dividend income

dividends on quoted shares are recognised on the ex-dividend date;
dividends on unquoted shares are recognised when the Company’s right to receive payment is established.

WESTPAC GROUP 2022 ANNUAL REPORT 17

Notes to the financial statements

Note 4. Non-interest income 1 (continued)

Consolidated

Parent Entity

$m

2022

2021

2020

2022

2021

Net fee income

Facility fees

686

717

731

644

671

Transaction fees

1,132

993

1,021

940

851

Other non-risk fee income

122

-

48

116

( 123 )

Fee income

1,940

1,710

1,800

1,700

1,399

Credit card loyalty programs

( 126 )

( 101 )

( 102 )

( 94 )

( 71 )

Transaction fee related expenses

( 143 )

( 127 )

( 106 )

( 115 )

( 104 )

Fee expenses

( 269 )

( 228 )

( 208 )

( 209 )

( 175 )

Net fee income

1,671

1,482

1,592

1,491

1,224

Net wealth management and insurance income

Net wealth management income

726

657

631

-

-

Life insurance premium income

834

1,077

1,297

-

-

General insurance and lenders mortgage insurance (LMI) net premium earned

-

387

499

-

-

Life insurance investment and other income 2

( 141 )

59

64

-

-

General insurance and LMI investment and other income

-

76

42

-

-

Total insurance premium, investment and other income

693

1,599

1,902

-

-

Life insurance claims, changes in life insurance liabilities and other expenses

( 611 )

( 767 )

( 1,284 )

-

-

General insurance and LMI claims and other expenses

-

( 278 )

( 498 )

-

-

Total insurance claims, changes in life insurance liabilities and other expenses

( 611 )

( 1,045 )

( 1,782 )

-

-

Net wealth management and insurance income

808

1,211

751

-

-

Trading income

664

719

895

601

661

Other income

Dividends received from subsidiaries 3

-

-

-

6,632

1,184

Transactions with subsidiaries 4

-

-

-

771

704

Dividends received from other entities

4

4

1

2

2

Net gain/(loss) on sale/derecognition of associates

25

43

316

12

( 11 )

Net gain/(loss) on disposal of assets

( 3 )

7

11

( 4 )

-

Net gain/(loss) on hedging of overseas operations

-

( 8 )

-

206

( 150 )

Net gain/(loss) on derivatives held for risk management purposes 5

9

4

4

9

4

Net gain/(loss) on financial instruments measured at fair value

12

655

( 78 )

15

118

Net gain/(loss) on disposal of controlled entities and other businesses 6

( 823 )

188

-

170

-

Rental income on operating leases

16

41

54

10

21

Share of associates’ net profit/(loss)

( 7 )

( 6 )

( 23 )

-

( 2 )

Other

69

24

( 36 )

67

169

Total other income 4

( 698 )

952

249

7,890

2,039

Total non-interest income 4

2,445

4,364

3,487

9,982

3,924

1.

Non-interest income included items relating to compliance, regulation and remediation costs recognised as a reduction in non-risk fee income, net wealth management income and other income of $ 64 million (2021: $ 320 million, 2020: $ 225 million) for the Group, and $ 24 million (2021: $ 278 million) for the Parent Entity. Refer to Note 26 for further details.

2.

Includes policyholder tax recoveries.

3.

During the year, Westpac Overseas Holdings No.2 Proprietary Limited (WOH2PL), a wholly-owned subsidiary, paid a dividend of $ 5,040 million to the Parent Entity which was reinvested into additional WOH2PL ordinary shares. Refer to Note 36 for further details.

4.

Parent Entity comparative has been restated due to a change in accounting policy. Refer to Note 1(a)(iii) for further details.

5.

Income from derivatives held for risk management purposes reflects the impact of economic hedges of earnings.

6.

2022 included $ 1,112 million loss on sale of Australian life insurance business, partly offset by the $ 170 million gain on sale of auto finance and $ 119 million gain on sale of NZ life insurance. Refer to Note 38 for further details.

Deferred income in relation to the credit card loyalty programs for the Group was $ 330 million as at 30 September 2022 (2021: $ 362 million, 2020: $ 361 million) and $ 36 million for the Parent Entity (2021: $ 35 million). This will be recognised as fee income as the credit card reward points are redeemed.

There were no other material contract assets or contract liabilities for the Group or the Parent Entity.

18 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 5. Operating expenses 1

Consolidated

Parent Entity

$m

2022

2021

2020

2022

2021

Staff expenses

Employee remuneration, entitlements and on-costs

5,111

5,369

4,428

4,476

4,666

Superannuation expense 2

533

475

413

464

409

Share-based payments

88

97

80

85

94

Restructuring costs

134

93

94

124

92

Total staff expenses

5,866

6,034

5,015

5,149

5,261

Occupancy expenses

Lease expense

170

164

148

151

138

Depreciation and impairment of property and equipment 3

626

955

708

559

845

Other

118

107

160

110

95

Total occupancy expenses

914

1,226

1,016

820

1,078

Technology expenses

Amortisation and impairment of software assets 3

655

1,240

970

601

1,171

Depreciation and impairment of IT equipment 3

177

260

272

152

228

Technology services

719

820

698

702

764

Software maintenance and licences

506

531

398

425

463

Telecommunications

144

181

216

121

157

Data processing

81

96

89

81

96

Total technology expenses

2,282

3,128

2,643

2,082

2,879

Other expenses

Professional and processing services

1,014

1,410

1,374

836

1,236

Amortisation and impairment of intangible assets and deferred expenditure 3

123

599

523

1

512

Postage and stationery

144

156

164

112

130

Advertising

158

220

217

121

172

Non-lending losses

104

234

1,443

83

174

Impairment of investments in subsidiaries

-

-

-

( 9 )

19

Other

197

304

344

288

454

Total other expenses

1,740

2,923

4,065

1,432

2,697

Total operating expenses

10,802

13,311

12,739

9,483

11,915

1.

Operating expenses included estimated costs associated with AUSTRAC proceedings of nil (2021: nil , 2020: $ 1,478 million) which included a provision for penalty of nil (2021: nil , 2020: $ 1,300 million) for the Group and the Parent Entity. They also included compliance, regulation and remediation costs of $ 63 million (2021: $ 359 million, 2020: $ 317 million) for the Group and $ 63 million (2021: $ 306 million) for the Parent Entity. Refer to Note 26 for further details.

2.

Superannuation expense includes both defined contribution and defined benefit expense. Further details of the Group’s defined benefit plans are in Note 33.

3.

Impairment expenses included:

$ 117 million (2021: $ 275 million, 2020: $ 5 million) for property and equipment for the Group, and $ 116 million (2021: $ 248 million) for the Parent Entity;
$ 110 million (2021: $ 485 million, 2020: $ 171 million) for computer software for the Group, and $ 99 million (2021: $ 475 million) for the Parent Entity;
$ 4 million (2021: $ 45 million, 2020: $ 23 million) for IT equipment for the Group, and $ 4 million (2021: $ 41 million) for the Parent Entity; and
$ 122 million (2021: $ 571 million, 2020: $ 518 million) for goodwill and other intangible assets for the Group, and nil (2021: $ 487 million) for the Parent Entity.

WESTPAC GROUP 2022 ANNUAL REPORT 19

Notes to the financial statements

Note 6. Impairment charges

Accounting policy

Impairment charges are based on an expected loss model which measures the difference between the current carrying amount and the present value of expected future cash flows taking into account past experience, current conditions and multiple probability-weighted macroeconomic scenarios for reasonably supportable future economic conditions. Further details of the calculation of ECL and the critical accounting assumptions and estimates relating to impairment charges are included in Note 11.

Impairment charges are recognised in the income statement, with a corresponding amount recognised as follows:

Loans, debt securities at amortised cost and due from subsidiaries balances: as a reduction of the carrying value of the financial asset through an offsetting provision account (refer to Note 11);

Debt securities at FVOCI: in reserves in OCI with no reduction of the carrying value of the debt security (refer to Note 27); and

Credit commitments: as a provision (refer to Note 26).

Uncollectable loans

A loan may become uncollectable in full or part if, after following the Group’s loan recovery procedures, the Group remains unable to collect that loan’s contractual repayments. Uncollectable amounts are written off against their related provision for ECL, after all possible repayments have been received.

Where loans are secured, amounts are generally written off after receiving the proceeds from the security, or in certain circumstances, where the net realisable value of the security has been determined and this indicates that there is no reasonable expectation of full recovery, write-off may be earlier. Unsecured consumer loans are generally written off after 180 days past due.

The Group may subsequently be able to recover cash flows from loans written off. In the period which these recoveries are made, they are recognised in the income statement.

The following table details impairment charges.

Consolidated

Parent Entity

$m

2022

2021

2020

2022

2021

Provisions raised/(released)

Performing

225

( 915 )

1,437

343

( 785 )

Non-performing

299

567

1,934

286

563

Recoveries

( 189 )

( 242 )

( 193 )

( 180 )

( 225 )

Impairment charges/(benefits)

335

( 590 )

3,178

449

( 447 )

of which relates to:

Loans and credit commitments

333

( 567 )

3,158

425

( 449 )

Debt securities at amortised cost

4

( 25 )

18

1

-

Debt securities at FVOCI

( 2 )

2

2

( 2 )

2

Due from subsidiaries

-

-

-

25

-

Impairment charges/(benefits)

335

( 590 )

3,178

449

( 447 )

Further details are discussed in Note 11.

20 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 7. Income tax

Accounting policy

The tax expense for the year comprises current and deferred tax. Tax is recognised in the income statement, except to the extent that it relates to items recognised directly in OCI, in which case it is recognised in the statement of comprehensive income.

Current tax is the tax payable for the year using enacted or substantively enacted tax rates and laws for each jurisdiction. Current tax also includes adjustments to tax payable for previous years.

Deferred tax accounts for temporary differences between the carrying amounts of assets and liabilities in the financial statements and their values for taxation purposes.

Deferred tax is determined using the enacted or substantively enacted tax rates and laws for each jurisdiction which are expected to apply when the assets will be realised or the liabilities settled.

Deferred tax assets and liabilities have been offset where they relate to the same taxation authority, the same taxable entity or group, and where there is a legal right and intention to settle on a net basis.

Deferred tax assets are recognised to the extent that it is probable that future taxable profits will be available to utilise the assets.

Deferred tax is not recognised for the following temporary differences:

the initial recognition of assets or liabilities in a transaction that is not a business combination and that affects neither the accounting nor taxable profit or loss;
the initial recognition of goodwill in a business combination; and
retained earnings in subsidiaries which the Parent Entity does not intend to distribute for the foreseeable future.

The Parent Entity is the head entity of a tax consolidated group with its wholly owned Australian subsidiaries. All entities in the tax consolidated group have entered into a tax sharing agreement which, in the opinion of the Directors, limits the joint and several liabilities in the case of a default by the Parent Entity.

Current and deferred tax are recognised using a ‘group allocation basis’. As head entity, the Parent Entity recognises all current tax balances and deferred tax assets arising from unused tax losses and relevant tax credits for the tax-consolidated group. The Parent Entity fully compensates/is compensated by the other members for these balances.

Critical accounting assumptions and estimates

The Group operates in multiple tax jurisdictions and significant judgement is required in determining the worldwide current tax liability. There are many transactions with uncertain tax outcomes and provisions are determined based on the expected outcomes.

WESTPAC GROUP 2022 ANNUAL REPORT 21

Notes to the financial statements

Note 7. Income tax (continued)

Income tax expense

The following table reconciles income tax expense to the profit before income tax expense.

Consolidated

Parent Entity

$m

2022

2021

2020

2022

2021

Profit before income tax expense

8,469

8,501

4,266

14,367

6,761

Tax at the Australian company tax rate of 30 %

2,541

2,550

1,280

4,310

2,028

The effect of amounts which are not deductible/(assessable) in calculating taxable income:

Hybrid capital distributions

67

59

56

67

59

Life insurance:

Tax adjustment on policyholder earnings

( 1 )

3

( 17 )

-

-

Adjustment for life business tax rates

-

-

1

-

-

Dividend adjustments

-

-

-

( 1,990 )

( 355 )

Other non-assessable items

( 97 )

( 6 )

( 3 )

( 64 )

( 5 )

Other non-deductible items

409

252

585

24

204

Adjustment for overseas tax rates

( 31 )

( 16 )

16

( 2 )

9

Income tax (over)/under provided in prior years

( 77 )

3

1

( 52 )

( 2 )

Other items

( 41 )

193

55

( 104 )

210

Total income tax expense

2,770

3,038

1,974

2,189

2,148

Income tax expense comprises:

Current income tax

2,661

2,741

2,954

2,039

2,017

Movement in deferred tax 1

186

294

( 981 )

202

133

Income tax (over)/under provision in prior years

( 77 )

3

1

( 52 )

( 2 )

Total income tax expense

2,770

3,038

1,974

2,189

2,148

Total Australia

2,316

2,610

1,697

2,128

2,090

Total Overseas

454

428

277

61

58

Total income tax expense 2

2,770

3,038

1,974

2,189

2,148

1. The movement in deferred tax includes $ 41 million credit for the Group and nil for the Parent Entity (2021 and 2020: Nil for the Group and the Parent Entity) relating to the movements in deferred tax assets and deferred tax liabilities that were classified in assets held for sale and liabilities held for sale respectively in the balance sheet.
2. As the Bank levy is not a levy on income, it is not included in income tax. It is included in Note 3.

The effective tax rate was 32.71 % in 2022 (2021: 35.74 % , 2020: 46.27 % ).

22 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 7. Income tax (continued)

Deferred tax assets

The balance comprises temporary differences attributable to:

Consolidated

Parent Entity

$m

2022

2021

2022

2021

Amounts recognised in the income statements and opening retained profits

Provisions for ECL on loans and credit commitments

1,364

1,481

1,205

1,269

Provision for long service leave, annual leave and other employee benefits

397

386

378

365

Property and equipment

301

347

271

316

Other provisions

319

424

295

388

Lease liabilities

640

743

571

665

All other liabilities

282

331

257

300

Total amounts recognised in the income statements and opening retained profits

3,303

3,712

2,977

3,303

Amounts recognised directly in OCI

Defined benefit

-

103

-

101

Total amounts recognised directly in OCI

-

103

-

101

Gross deferred tax assets

3,303

3,815

2,977

3,404

Set-off of deferred tax assets and deferred tax liabilities

( 1,549 )

( 1,378 )

( 1,331 )

( 1,311 )

Net deferred tax assets

1,754

2,437

1,646

2,093

Movements

Balance as at beginning of year

2,437

3,064

2,093

2,497

Impact on adoption of new accounting standards

-

( 17 )

-

( 14 )

Restated opening balance

2,437

3,047

2,093

2,483

Recognised in the income statements

( 409 )

( 529 )

( 326 )

( 395 )

Recognised in OCI

( 103 )

( 77 )

( 101 )

( 48 )

Balances reclassified to assets held for sale

-

( 8 )

-

-

Balances disposed of on sale of businesses

-

( 4 )

-

-

Set-off of deferred tax assets and deferred tax liabilities

( 171 )

8

( 20 )

53

Balance as at end of year

1,754

2,437

1,646

2,093

WESTPAC GROUP 2022 ANNUAL REPORT 23

Notes to the financial statements

Note 7. Income tax (continued)

Deferred tax liabilities

The balance comprises temporary differences attributable to:

Consolidated

Parent Entity

$m

2022

2021

2022

2021

Amounts recognised in the income statements and opening retained profits

Finance lease transactions

273

296

271

290

Property and equipment

506

610

445

541

All other assets

212

267

202

211

Total amounts recognised in the income statements and opening retained profits

991

1,173

918

1,042

Amounts recognised directly in OCI

Investment securities

136

214

136

211

Cash flow hedges

334

81

189

58

Defined benefit

88

-

88

-

Total amounts recognised directly in OCI

558

295

413

269

Gross deferred tax liabilities

1,549

1,468

1,331

1,311

Set-off of deferred tax assets and deferred tax liabilities

( 1,549 )

( 1,378 )

( 1,331 )

( 1,311 )

Net deferred tax liabilities

-

90

-

-

Movements

Balance as at beginning of year

90

126

-

-

Recognised in the income statements

( 182 )

( 235 )

( 124 )

( 262 )

Recognised in OCI

263

235

144

209

Balances reclassified to liabilities held for sale

-

( 44 )

-

-

Set-off of deferred tax assets and deferred tax liabilities

( 171 )

8

( 20 )

53

Balance as at end of year

-

90

-

-

Unrecognised deferred tax balances

The following potential deferred tax balances have not been recognised. The tax effect of the gross balances disclosed below would be based on the corporate tax rates applicable in the relevant jurisdictions, which range between 15 % and 30 % .

Consolidated

Parent Entity

$m

2022

2021

2022

2021

Deductible temporary differences

Tax losses on revenue account

621

470

607

454

Taxable temporary differences

Retained earnings of subsidiaries which the Parent Entity does not intend to distribute in the foreseeable future

369

55

-

-

24 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 8. Earnings per share

Accounting policy

Basic earnings per share (EPS) is calculated by dividing the net profit attributable to shareholders by the weighted average number of ordinary shares on issue during the year, adjusted for treasury shares. Diluted EPS is calculated by adjusting the basic EPS by assuming all dilutive potential ordinary shares are converted. Refer to Notes 15 and 32 for further information on the potential dilutive instruments.

2022

2021

2020

$m

Basic

Diluted

Basic

Diluted

Basic

Diluted

Net profit attributable to owners of WBC ($m)

5,694

5,694

5,458

5,458

2,290

2,290

Adjustment for RSP dividends ($m) 1

( 3 )

-

( 2 )

-

( 2 )

( 2 )

Adjustment for potential dilution:

Distributions to convertible loan capital holders ($m) 2

-

233

-

218

-

-

Adjusted net profit attributable to owners of WBC ($m)

5,691

5,927

5,456

5,676

2,288

2,288

Weighted average number of ordinary shares (millions)

Weighted average number of ordinary shares on issue

3,564

3,564

3,657

3,657

3,595

3,595

Treasury shares (including RSP share rights) 1

( 5 )

( 5 )

( 4 )

( 4 )

( 5 )

( 5 )

Adjustment for potential dilution:

Share-based payments

-

4

-

4

-

1

Convertible loan capital 2

-

326

-

461

-

-

Adjusted weighted average number of ordinary shares

3,559

3,889

3,653

4,118

3,590

3,591

Earnings per ordinary share (cents)

159.9

152.4

149.4

137.8

63.7

63.7

1.

RSP is explained in Note 32. Some shares under the RSP have not vested and are not outstanding ordinary shares but do receive dividends. These RSP dividends are deducted to show the profit attributable to ordinary shareholders. Shares under the RSP were dilutive in 2022 (2021: dilutive, 2020: antidilutive).

2.

The Group has issued convertible loan capital which may convert into ordinary shares in the future (refer to Note 15 for further details). These convertible loan capital instruments are potentially dilutive instruments, and diluted EPS is therefore calculated as if the instruments had been converted at the beginning of the year or, if later, the instruments’ issue dates. In 2022, all convertible loan capital instruments were dilutive (2021: dilutive, 2020: antidilutive).

WESTPAC GROUP 2022 ANNUAL REPORT 25

Notes to the financial statements

Note 9. Average balance sheet and interest rates

The daily average balances of the Group’s interest earning assets and interest bearing liabilities are shown below along with their interest income or expense.

2022

2021

2020

Average

Interest

Average

Average

Interest

Average

Average

Interest

Average

balance

income

rate

balance

income

rate

balance

income

rate

Consolidated

$m

$m

%

$m

$m

%

$m

$m

%

Assets

Interest earning assets

Cash and balances with central banks and other financial assets 1 :

Australia

82,102

446

0.5

37,729

12

-

26,019

98

0.4

New Zealand

9,769

150

1.5

6,579

16

0.2

3,637

17

0.5

Other overseas

17,238

157

0.9

9,105

20

0.2

14,180

112

0.8

Trading securities and financial assets measured at FVIS:

Australia

16,715

235

1.4

16,659

116

0.7

20,300

217

1.1

New Zealand

3,784

76

2.0

3,881

28

0.7

4,728

47

1.0

Other overseas

2,337

36

1.5

3,251

48

1.5

4,601

95

2.1

Investment securities:

Australia

70,804

985

1.4

81,665

1,104

1.4

71,402

1,347

1.9

New Zealand

4,950

85

1.7

4,492

74

1.6

3,921

96

2.4

Other overseas

2,027

56

2.8

1,552

22

1.4

2,858

78

2.7

Loans 1,2 :

Australia

582,456

17,614

3.0

558,435

17,854

3.2

573,179

21,273

3.7

New Zealand

88,002

3,206

3.6

85,525

2,731

3.2

81,920

3,223

3.9

Other overseas

6,362

199

3.1

6,440

125

1.9

14,973

444

3.0

Assets held for sale:

Australia

425

6

1.4

1,583

28

1.8

-

-

-

New Zealand

-

-

-

-

-

-

-

-

-

Other overseas

-

-

-

2,560

100

3.9

-

-

-

Total interest earning assets and interest income

886,971

23,251

2.6

819,456

22,278

2.7

821,718

27,047

3.3

Non-Interest earning assets

Derivative financial instruments

23,395

20,305

31,334

Life insurance assets

-

226

4,614

Assets held for sale

2,444

4,590

-

All other assets 3

61,953

61,478

62,414

Total non-interest earning assets

87,792

86,599

98,362

Total assets

974,763

906,055

920,080

1. In 2022, the presentation of certain average balance sheet line items has been revised:

a.

Cash and other financial assets, previously presented as part of “Loans and other receivables”, as well as collateral paid, previously presented separately, are now presented as “Cash and balances with central banks and other financial assets”;

b.

Loans, previously presented as part of “Loans and other receivables”, are now presented separately; and

c.

Collateral received, previously presented separately, is now included in “Other interest bearing liabilities”. The associated interest income and expense have also been revised. Comparatives have been revised.

2.

Loans are net of Stage 3 provision for expected credit losses (ECL), where interest income is determined based on their carrying value. Stages 1 and 2 provisions for ECL are not included in the average interest earning assets balance, as interest income is determined based on the gross value of loans. Interest income includes net ineffectiveness on qualifying hedges.

3.

Includes property and equipment, intangible assets, deferred tax assets, non-interest earning loans relating to mortgage offset accounts and all other non-interest earning assets .

26 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 9. Average balance sheet and interest rates (continued)

2022

2021

2020

Average

Interest

Average

Average

Interest

Average

Average

Interest

Average

balance

expense

rate

balance

expense

rate

balance

expense

rate

Consolidated

$m

$m

%

$m

$m

%

$m

$m

%

Liabilities

Interest bearing liabilities

Repurchase agreements:

Australia

35,136

109

0.3

32,600

54

0.2

16,120

73

0.5

New Zealand

2,543

39

1.5

986

2

0.2

380

1

0.3

Other overseas

100

2

2.0

-

-

-

-

-

-

Deposits and other borrowings:

Australia

493,993

2,249

0.5

457,675

1,400

0.3

435,877

3,745

0.9

New Zealand

60,786

765

1.3

60,066

418

0.7

57,096

882

1.5

Other overseas

21,175

195

0.9

13,610

50

0.4

25,660

427

1.7

Loan capital:

Australia

28,961

934

3.2

24,573

754

3.1

19,554

663

3.4

New Zealand

1,747

92

5.3

1,653

85

5.1

1,833

94

5.1

Other overseas

-

-

-

368

10

2.7

1,324

43

3.2

Other interest bearing liabilities 1,2 :

Australia

137,796

1,308

0.9

123,252

2,236

1.8

163,416

3,787

2.3

New Zealand

18,579

403

2.2

16,143

368

2.3

18,726

560

3.0

Other overseas

1,876

( 6 )

( 0.3 )

4,075

31

0.8

5,655

76

1.3

Liabilities held for sale:

Australia

-

-

-

-

-

-

-

-

-

New Zealand

-

-

-

-

-

-

-

-

-

Other overseas

-

-

-

1,335

12

0.9

-

-

-

Total interest bearing liabilities and interest expense

802,692

6,090

0.8

736,336

5,420

0.7

745,641

10,351

1.4

Non-interest bearing liabilities

Deposits and other borrowings:

Australia

54,178

49,592

45,231

New Zealand

14,031

12,426

8,760

Other overseas

1,038

7

901

Derivative financial instruments

24,750

20,612

33,249

Life insurance liabilities

-

253

2,999

Liabilities held for sale

682

2,728

-

All other liabilities 3

7,069

13,202

15,233

Total non-interest bearing liabilities

101,748

98,820

106,373

Total liabilities

904,440

835,156

852,014

Shareholders’ equity

70,268

70,849

68,014

NCI

55

50

52

Total equity

70,323

70,899

68,066

Total liabilities and equity

974,763

906,055

920,080

1.

In 2022, the presentation of certain average balance sheet line items has been revised:

a.

Cash and other financial assets, previously presented as part of “Loans and other receivables”, as well as collateral paid, previously presented separately, are now presented as “Cash and balances with central banks and other financial assets”;

b.

Loans, previously presented as part of “Loans and other receivables”, are now presented separately; and

c.

Collateral received, previously presented separately, is now included in “Other interest bearing liabilities”. The associated interest income and expense have also been revised. Comparatives have been revised.

2.

Includes net impact of Treasury balance sheet management activities and the Bank levy.

3.

Includes other financial liabilities, provisions, current and deferred tax liabilities and all other non-interest bearing liabilities.

Calculation of variances

Net interest income may vary from year to year due to changes in the volume of, and interest rates associated with, interest earning assets and interest bearing liabilities. The following table allocates the change in net interest income between changes in volume and interest rate for those assets and liabilities:

Volume changes are determined based on the movements in average asset and liability balances; and
interest rate changes are determined based on the change in interest rate associated with those assets and liabilities. Variances that arise due to a combination of volume and interest rate changes are allocated to interest rate changes.

WESTPAC GROUP 2022 ANNUAL REPORT 27

Notes to the financial statements

Note 9. Average balance sheet and interest rates (continued)

2022

2021

Consolidated

Change due to

Change due to

$m

Volume

Rate

Total

Volume

Rate

Total

Interest earning assets

Cash and balances with central banks and other financial assets 1 :

Australia

2

432

434

71

( 157 )

( 86 )

New Zealand

9

125

134

10

( 11 )

( 1 )

Other overseas

26

111

137

( 38 )

( 54 )

( 92 )

Trading securities and financial assets measured at FVIS:

Australia

6

113

119

( 34 )

( 67 )

( 101 )

New Zealand

( 1 )

49

48

( 9 )

( 10 )

( 19 )

Other overseas

( 13 )

1

( 12 )

( 28 )

( 19 )

( 47 )

Investment securities:

Australia

( 152 )

33

( 119 )

202

( 445 )

( 243 )

New Zealand

8

3

11

14

( 36 )

( 22 )

Other overseas 2

( 2 )

4

2

( 20 )

( 36 )

( 56 )

Loans 1 :

Australia

743

( 983 )

( 240 )

( 551 )

( 2,868 )

( 3,419 )

New Zealand

79

396

475

141

( 633 )

( 492 )

Other overseas 2

( 38 )

44

6

( 209 )

( 110 )

( 319 )

Assets held for sale:

Australia

( 22 )

-

( 22 )

14

14

28

New Zealand

-

-

-

-

-

-

Other overseas 2

-

-

-

62

38

100

Total change in interest income

645

328

973

( 375 )

( 4,394 )

( 4,769 )

Interest bearing liabilities

Repurchase agreements:

Australia

-

55

55

87

( 106 )

( 19 )

New Zealand

6

31

37

2

( 1 )

1

Other overseas

-

2

2

-

-

-

Deposits and other borrowings:

Australia

122

727

849

270

( 2,615 )

( 2,345 )

New Zealand

5

342

347

45

( 509 )

( 464 )

Other overseas 2

26

108

134

( 179 )

( 198 )

( 377 )

Loan capital:

Australia

136

44

180

176

( 85 )

91

New Zealand

5

2

7

( 9 )

-

( 9 )

Other overseas

( 10 )

-

( 10 )

( 31 )

( 2 )

( 33 )

Other interest bearing liabilities 1 :

Australia

127

( 1,055 )

( 928 )

( 719 )

( 832 )

( 1,551 )

New Zealand

30

5

35

( 29 )

( 163 )

( 192 )

Other overseas 2

( 1 )

( 37 )

( 38 )

( 21 )

( 24 )

( 45 )

Liabilities held for sale:

Australia

-

-

-

-

-

-

New Zealand

-

-

-

-

-

-

Other overseas 2

-

-

-

2

10

12

Total change in interest expense

446

224

670

( 406 )

( 4,525 )

( 4,931 )

Change in net interest income:

Australia

192

( 176 )

16

( 112 )

115

3

New Zealand

49

193

242

147

( 17 )

130

Other overseas

( 42 )

87

45

( 4 )

33

29

Total change in net interest income

199

104

303

31

131

162

1.

In 2022, the presentation of certain average balance sheet line items has been revised:

a.

Cash and other financial assets, previously presented as part of “Loans and other receivables”, as well as collateral paid, previously presented separately, are now presented as “Cash and balances with central banks and other financial assets”;

b.

Loans, previously presented as part of “Loans and other receivables”, are now presented separately; and

c.

Collateral received, previously presented separately, is now included in “Other interest bearing liabilities”.

The associated interest income and expense have also been revised. Comparatives have been revised.

2.

The change in interest income and interest expense for 30 September 2022 included amounts relating to other overseas assets and liabilities held for sale. These assets and liabilities held for sale related to Westpac Pacific which was classified as held for sale during 2021 but ceased to be classified as held for sale when the agreement to sell was terminated in September 2021. As a result the assets and liabilities held for sale were reclassified to their original balance sheet financial statement line. To appropriately attribute the change in interest income and expense on these assets and liabilities, the change in volume and rate for these assets is also reflected in the original balance sheet financial statement line in the table above.

28 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

FINANCIAL ASSETS AND FINANCIAL LIABILITIES

Accounting policy

Recognition

Purchases and sales by regular way of financial assets, except for loans and receivables, are recognised on trade-date, the date on which the Group commits to purchase or sell the asset. Loans and receivables are recognised on settlement date, when cash is advanced to the borrowers.

Financial liabilities are recognised when an obligation arises.

Derecognition

Financial assets are derecognised when the rights to receive cash flows from the asset have expired, or when the Group has either transferred its rights to receive cash flows from the asset or has assumed an obligation to pay the received cash flows in full under a ‘pass through’ arrangement and transferred substantially all the risks and rewards of ownership.

There may be situations where the Group has partially transferred the risks and rewards of ownership but has neither transferred nor retained substantially all the risks and rewards of ownership. In such situations, where the Group retains control of the transferred asset, it will continue to be recognised in the balance sheet to the extent of the Group’s continuing involvement in the asset.

Financial liabilities are derecognised when the obligation is discharged, cancelled or expires. Where an existing financial liability is replaced by another from the same lender on substantially different terms, or the terms of an existing liability are substantially modified, the exchange or modification is treated as a derecognition of the original liability and the recognition of a new liability, with the difference in the respective carrying amounts recognised in the income statement.

The terms are deemed to be substantially different if the discounted present value of the cash flows under the new terms (discounted using the original effective interest rate) is at least 10% different from the discounted present value of the remaining cash flows of the original financial liability. Qualitative factors such as a change in the currency the instrument is denominated in, a change in the interest rate from fixed to floating and conversion features are also considered.

Classification and measurement

Financial assets are grouped into the following classes: cash and balances with central banks, collateral paid, trading securities and financial assets measured at FVIS, derivative financial instruments, investment securities, loans, other financial assets and life insurance assets.

Financial assets

Financial assets are classified based on a) the business model within which the assets are managed, and b) whether the contractual cash flows of the instrument represent solely payment of principal and interest (SPPI).

The Group determines the business model at the level that reflects how groups of financial assets are managed. When assessing the business model the Group considers factors including how performance and risks are managed, evaluated and reported and the frequency and volume of, and reason for, sales in previous periods and expectations of sales in future periods.

When assessing whether contractual cash flows are SPPI, interest is defined as consideration primarily for the time value of money and the credit risk of the principal outstanding. The time value of money is defined as the element of interest that provides consideration only for the passage of time and not consideration for other risks or costs associated with holding the financial asset. Terms that could change the contractual cash flows so that they may not meet the SPPI criteria include contingent and leverage features, non-recourse arrangements, and features that could modify the time value of money.

Debt instruments

If the debt instruments have contractual cash flows which represent SPPI on the principal balance outstanding they are classified at:

amortised cost if they are held within a business model whose objective is achieved through holding the financial asset to collect these cash flows; or
FVOCI if they are held within a business model whose objective is achieved both through collecting these cash flows or selling the financial asset; or
FVIS if they are held within a business model whose objective is achieved through selling the financial asset.

Debt instruments are measured at FVIS where the contractual cash flows do not represent SPPI on the principal balance outstanding or where it is designated at FVIS to eliminate or reduce an accounting mismatch.

WESTPAC GROUP 2022 ANNUAL REPORT 29

Notes to the financial statements

FINANCIAL ASSETS AND FINANCIAL LIABILITIES (continued)

Accounting policy (continued)

Debt instruments at amortised cost are initially recognised at fair value and subsequently measured at amortised cost using the effective interest method. They are presented net of provision for ECL determined using the ECL model. Refer to Notes 6 and 11 for further details.

Debt instruments at FVOCI are measured at fair value with unrealised gains and losses recognised in OCI except for interest income, impairment charges and FX gains and losses, which are recognised in the income statement. Impairment on debt instruments at FVOCI is determined using the ECL model and is recognised in the income statement with a corresponding amount in OCI. There is no reduction of the carrying value of the debt security which remains at fair value.

The cumulative gain or loss recognised in OCI is subsequently recognised in the income statement when the instrument is derecognised.

Debt instruments at FVIS are measured at fair value with subsequent changes in fair value recognised in the income statement.

Equity securities

Equity securities are measured at FVOCI where they:

are not held for trading; and

an irrevocable election is made by the Group.

Otherwise, they are measured at FVIS.

Equity securities at FVOCI are measured at fair value with unrealised gains and losses recognised in OCI, except for dividend income which is recognised in the income statement. The cumulative gain or loss recognised in OCI is not subsequently recognised in the income statement when the instrument is disposed.

Equity securities at FVIS are measured at fair value with subsequent changes in fair value recognised in the income statement.

Financial liabilities

Financial liabilities are grouped into the following classes: collateral received, deposits and other borrowings, other financial liabilities, derivative financial instruments, debt issues and loan capital.

Financial liabilities are measured at amortised cost if they are not held for trading or designated at FVIS, otherwise they are measured at FVIS.

Financial assets and financial liabilities measured at FVIS are recognised initially at fair value. All other financial assets and financial liabilities are recognised initially at fair value plus or minus directly attributable transaction costs, respectively.

Further details of the accounting policy for each category of financial asset or financial liability mentioned above are set out in the note for the relevant item.

The Group’s policies for determining the fair value of financial assets and financial liabilities are set out in Note 23.

30 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Lending and credit risk

Note 10. Loans

Accounting policy

Loans are financial assets initially recognised at fair value plus directly attributable transaction costs and fees.

Loans are subsequently measured at amortised cost using the effective interest method where they have contractual cash flows which represent SPPI on the principal balance outstanding and they are held within a business model whose objective is achieved through holding the loans to collect these cash flows. They are presented net of any provision for ECL.

Loans are subsequently measured at FVIS where they do not have cash flows which represent SPPI, are held within a business model whose objective is achieved by selling the financial asset, or are designated at FVIS to eliminate or reduce an accounting mismatch.

Refer to Note 23 for balances which are measured at fair value and amortised cost.

Loan products that have both mortgage and deposit facilities are presented gross in the balance sheet, segregating the asset and liability component, because they do not meet the criteria to be offset. Interest earned on these products is presented on a net basis in the income statement as this reflects how the customer is charged.

The loan portfolio is disaggregated by location of booking office and product type, as follows.

Consolidated

Parent Entity

$m

2022

2021

2022

2021

Australia

Housing

467,382

455,604

467,379

455,599

Personal

12,832

14,737

12,821

14,694

Business

170,636

148,453

168,480

145,950

Total Australia

650,850

618,794

648,680

616,243

New Zealand

Housing

56,211

58,081

-

-

Personal

1,058

1,175

-

-

Business

28,855

29,991

489

384

Total New Zealand

86,124

89,247

489

384

Total other overseas

6,879

6,332

6,244

5,688

Total loans

743,853

714,373

655,413

622,315

Provision for ECL on loans (refer to Note 11)

( 4,206 )

( 4,589 )

( 3,696 )

( 3,902 )

Total net loans 1

739,647

709,784

651,717

618,413

1.

Total net loans included securitised loans of $ 4,747 million (2021: $ 4,829 million) for the Group and $ 5,750 million (2021: $ 6,002 million) for the Parent Entity. The level of securitised loans excludes loans where Westpac is the holder of related debt securities.

WESTPAC GROUP 2022 ANNUAL REPORT 31

Notes to the financial statements

Note 10. Loans (continued)

The following table shows the Group’s contractual maturity distribution of all loans as at 30 September 2022.

Over 1

Over 5

Consolidated

Up to

year to

years to

Over

$m

1 year

5 years

15 years

15 years

Total

Australia

Housing

6,577

1,717

19,248

439,840

467,382

Personal

6,478

5,419

935

-

12,832

Business

49,239

105,229

9,775

6,393

170,636

Total Australia

62,294

112,365

29,958

446,233

650,850

New Zealand

Housing

159

509

4,359

51,184

56,211

Personal

898

152

8

-

1,058

Business

19,942

8,896

16

1

28,855

Total New Zealand

20,999

9,557

4,383

51,185

86,124

Total other overseas

2,375

4,367

137

-

6,879

Total loans

85,668

126,289

34,478

497,418

743,853

The following table shows the Group’s interest rate segmentation of loans maturing after one year as at 30 September 2022.

Loans at

Loans at

variable

fixed

Consolidated

interest

interest

$m

rates

rates

Total

Interest rate segmentation of loans maturing after one year

Australia

Housing

290,957

169,848

460,805

Personal

2,321

4,033

6,354

Business

112,317

9,080

121,397

Total Australia

405,595

182,961

588,556

New Zealand

Housing

5,700

50,352

56,052

Personal

158

2

160

Business

662

8,251

8,913

Total New Zealand

6,520

58,605

65,125

Total other overseas

4,308

196

4,504

Total loans maturing after one year

416,423

241,762

658,185

32 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 11. Provisions for expected credit losses

Accounting policy

Note 6 provides details of impairment charges.

Impairment applies to all financial assets at amortised cost, lease receivables, debt securities measured at FVOCI, due from subsidiaries and credit commitments.

The ECL is recognised as follows:

Loans (including lease receivables), debt securities at amortised cost and due from subsidiaries: as a reduction of the carrying value of the financial asset through an offsetting provision account (refer to Notes 10 and 18);
Debt securities at FVOCI: in reserves in OCI with no reduction of the carrying value of the debt security itself (refer to Notes 18 and 27); and
Credit commitments: as a provision (refer to Note 26).

Measurement

The Group calculates the provision for ECL based on a three-stage approach. The provision for ECL is a probability-weighted estimate of the cash shortfalls expected to result from defaults over the relevant time frame. They are determined by evaluating a range of possible outcomes and taking into account the time value of money, past events, current conditions and forecasts of future economic conditions.

The models use three main components to determine the ECL (as well as the time value of money) including:

Probability of default (PD): the probability that a counter-party will default;
Loss given default (LGD): the loss that is expected to arise in the event of a default; and
Exposure at default (EAD): the estimated outstanding amount of credit exposure at the time of the default.

Model stages

The three stages are as follows:

Stage 1: 12 months ECL – performing

For financial assets where there has been no significant increase in credit risk since origination, a provision for 12 months ECL is recognised.

Stage 2: Lifetime ECL – performing

For financial assets where there has been a significant increase in credit risk since origination but where the asset is still performing, a provision for lifetime ECL is recognised. The indicators of a significant increase in credit risk are described on the following page.

Stage 3: Lifetime ECL – non-performing

Financial assets in Stage 3 are those that are in default. A default occurs when:

Westpac considers that the customer is unable to repay its credit obligations in full, irrespective of recourse by the Group to actions such as realising security. Indicators include a breach of contract with the Group such as a default on interest or principal payments, a borrower experiencing significant financial difficulties or observable economic conditions that correlate to defaults on an individual basis; or
the customer is more than 90 days past due on any material credit obligation.

A provision for lifetime ECL is recognised on these financial assets.

Collective and individual assessment

Financial assets that are in Stages 1 and 2 are assessed on a collective basis. This means that they are grouped in pools of similar assets with similar credit risk characteristics including the type of product and the customer risk grade. Financial assets in Stage 3 are assessed on an individual basis and calculated collectively for those below a specified threshold.

Expected life

In considering the lifetime time frame for ECL in Stages 2 and 3, the standard generally requires use of the remaining contractual life adjusted, where appropriate, for prepayments, extension and other options. For certain revolving credit facilities which include both a drawn and undrawn component (e.g. credit cards and revolving lines of credit), the Group’s contractual ability to demand repayment and cancel the undrawn commitment does not limit the exposure to credit losses to the contractual notice period. For these facilities, lifetime is based on historical behaviour.

WESTPAC GROUP 2022 ANNUAL REPORT 33

Notes to the financial statements

Note 11. Provisions for expected credit losses (continued)

Accounting policy (continued)

Movement between stages

Financial assets may move in both directions through the stages of the impairment model. Financial assets previously in Stage 2 may move back to Stage 1 if it is no longer considered that there has been a significant increase in credit risk. Similarly, financial assets in Stage 3 may move back to Stage 1 or Stage 2 if they are no longer assessed to be non-performing.

Critical accounting assumptions and estimates

Key judgements include when a significant increase in credit risk has occurred, the estimation of forward- looking macroeconomic information and overlays. Other factors which can impact the provision include the borrower’s financial situation, the realisable value of collateral, the Group’s position relative to other claimants, the reliability of customer information and the likely cost and duration of recovering the loan.

Significant increase in credit risk (SICR)

Determining when a financial asset has experienced a SICR since origination is a critical accounting judgement which is based on the change in the probability of default (PD) since origination. In determining whether a change in PD represents a significant increase in risk, relative changes in PD and absolute PD thresholds are both considered based on the portfolio of the exposure.

The Group does not rebut the presumption that instruments that are 30 days past due have experienced a SICR but this is used as a backstop rather than the primary indicator. In addition, the deferral of payments by customers in hardship arrangements is generally treated as an indication of a SICR.

Forward-looking macroeconomic information

The measurement of ECL for each stage and the assessment of significant increase in credit risk considers information about past events and current conditions as well as reasonable and supportable projections of future events and economic conditions. The estimation of forward-looking information is a critical accounting judgement. The Group considers three future macroeconomic scenarios including a base case scenario along with upside and downside scenarios.

The macroeconomic variables used in these scenarios, based on current economic forecasts, include (but are not limited to) employment to population rates, real gross domestic product growth rates and residential and commercial property price indices.

Base case scenario

This scenario utilises the internal Westpac economics forecast used for strategic decision making and forecasting.

Upside scenario

This scenario represents a modest improvement on the base case scenario.

Downside scenario

The downside scenario is a more severe scenario with ECL higher than those under the base case scenario. The more severe loss outcome for the downside is generated under a recession scenario in which the combination of negative GDP growth, declines in commercial and residential property prices and an increase in the unemployment rate simultaneously impact ECL across all portfolios from the reporting date.

The three macroeconomic scenarios are probability weighted and together represent the Group’s view of the forward looking distribution of potential loss outcomes. The weighting applied to each of the three macroeconomic scenarios takes into account historical frequency, current trends, and forward-looking conditions.

The macroeconomic variables and probability weightings of the three macroeconomic scenarios are subject to the approval of the Group Chief Financial Officer and Group Chief Risk Officer with oversight from the Board of Directors (and its Committees).

Overlays

Where appropriate, adjustments will be made to modelled outcomes to reflect reasonable and supportable information not already incorporated in the models.

Judgements can change with time as new information becomes available which could result in changes to the provision for ECL.

34 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 11. Provisions for expected credit losses (continued)

Loans and credit commitments

The following tables reconcile the provisions for ECL on loans and credit commitments by stage for the Group and Parent Entity.

2022

2021

Non-

Non-

Performing

performing

Performing

performing

$m

Stage 1

Stage 2

Stage 3

Total

Stage 1

Stage 2

Stage 3

Total

Consolidated

Provision for ECL on loans

Housing

137

1,082

415

1,634

154

735

607

1,496

Personal

78

220

123

421

124

314

173

611

Business

502

811

838

2,151

495

822

1,172

2,489

Total provision for ECL on loans

717

2,113

1,376

4,206

773

1,871

1,952

4,596

Provisions for ECL on credit commitments

Housing

6

13

-

19

6

6

-

12

Personal

21

30

-

51

29

41

1

71

Business

141

185

23

349

128

173

19

320

Total provision for ECL on credit commitments

168

228

23

419

163

220

20

403

Total provisions for ECL on loans and credit commitments

885

2,341

1,399

4,625

936

2,091

1,972

4,999

Presented as provision for ECL on:

Loans (Note 10)

717

2,113

1,376

4,206

766

1,871

1,952

4,589

Loans included in assets held for sale (Note 38)

-

-

-

-

7

-

-

7

Credit commitments (Note 26)

168

228

23

419

161

220

20

401

Credit commitments included in liabilities held for sale (Note 38)

-

-

-

-

2

-

-

2

Total provisions for ECL on loans and credit commitments

885

2,341

1,399

4,625

936

2,091

1,972

4,999

Of which:

Individually assessed provisions

-

-

452

452

-

-

832

832

Collectively assessed provisions

885

2,341

947

4,173

936

2,091

1,140

4,167

Total provisions for ECL on loans and credit commitments

885

2,341

1,399

4,625

936

2,091

1,972

4,999

Gross loans 1

614,762

121,845

7,246

743,853

636,551

69,348

9,496

715,395

Credit commitments

184,535

15,217

347

200,099

192,219

7,598

274

200,091

Gross loans and credit commitments

799,297

137,062

7,593

943,952

828,770

76,946

9,770

915,486

Coverage ratio on loans (%)

0.12

1.73

18.99

0.57

0.12

2.70

20.56

0.64

Coverage ratio on loans and credit commitments (%)

0.11

1.71

18.42

0.49

0.11

2.72

20.18

0.55

1.

Includes nil (2021: $ 1,022 million) gross loans classified as held for sale.

WESTPAC GROUP 2022 ANNUAL REPORT 35

Notes to the financial statements

Note 11. Provisions for expected credit losses (continued)

2022

2021

Non-

Non-

Performing

performing

Performing

performing

$m

Stage 1

Stage 2

Stage 3

Total

Stage 1

Stage 2

Stage 3

Total

Parent Entity

Provision for ECL on loans

Housing

102

1,005

369

1,476

114

669

552

1,335

Personal

69

194

112

375

111

270

151

532

Business

453

656

736

1,845

409

607

1,026

2,042

Total provision for ECL on loans

624

1,855

1,217

3,696

634

1,546

1,729

3,909

Provision for ECL on credit commitments

Housing

4

11

-

15

4

5

-

9

Personal

16

24

-

40

23

34

-

57

Business

133

173

23

329

119

150

19

288

Total provision for ECL on credit commitments

153

208

23

384

146

189

19

354

Total provisions for ECL on loans and credit commitments

777

2,063

1,240

4,080

780

1,735

1,748

4,263

Presented as provision for ECL on:

Loans (Note 10)

624

1,855

1,217

3,696

627

1,546

1,729

3,902

Loans included in assets held for sale (Note 38)

-

-

-

-

7

-

-

7

Credit commitments (Note 26)

153

208

23

384

144

189

19

352

Credit commitments included in liabilities held for sale (Note 38)

-

-

-

-

2

-

-

2

Total provisions for ECL on loans and credit commitments

777

2,063

1,240

4,080

780

1,735

1,748

4,263

Of which:

Individually assessed provisions

-

-

388

388

-

-

724

724

Collectively assessed provisions

777

2,063

852

3,692

780

1,735

1,024

3,539

Total provisions for ECL on loans and credit commitments

777

2,063

1,240

4,080

780

1,735

1,748

4,263

Gross loans 1

537,339

111,450

6,624

655,413

552,793

61,814

8,730

623,337

Credit commitments

162,950

13,353

329

176,632

167,866

6,365

250

174,481

Gross loans and credit commitments

700,289

124,803

6,953

832,045

720,659

68,179

8,980

797,818

Coverage ratio on loans (%)

0.12

1.66

18.37

0.56

0.11

2.50

19.81

0.63

Coverage ratio on loans and credit commitments (%)

0.11

1.65

17.83

0.49

0.11

2.54

19.47

0.53

1.

Includes nil (2021: $ 1,022 million) gross loans classified as held for sale.

Movement in provisions for ECL on loans and credit commitments

The reconciliation of the provision for ECL tables for loans and credit commitments has been determined by an aggregation of monthly movements over the year. The key line items in the reconciliation represent the following:

“Transfers between stages” lines represent transfers between Stage 1, Stage 2 and Stage 3 prior to remeasurement of the provision for ECL;
“Business activity during the year” line represents new accounts originated during the year net of those that were de-recognised due to final repayments during the year;
“Net remeasurement of provision for ECL” line represents the impact on the provision for ECL due to changes in credit quality during the year (including transfers between stages), changes in portfolio overlays, changes due to forward-looking economic scenarios and partial repayments and additional draw-downs on existing facilities over the year; and
“Write-offs” represent a reduction in the provision for ECL as a result of de-recognition of exposures where there is no reasonable expectation of full recovery.

36 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 11. Provisions for expected credit losses (continued)

Consolidated

Parent Entity

Non-

Non-

Performing

performing

Performing

performing

$m

Stage 1

Stage 2

Stage 3

Total

Stage 1

Stage 2

Stage 3

Total

Balance as at 30 September 2020

1,084

2,875

2,173

6,132

913

2,390

1,869

5,172

Transfers to Stage 1

1,246

( 1,128 )

( 118 )

-

1,058

( 960 )

( 98 )

-

Transfers to Stage 2

( 200 )

1,290

( 1,090 )

-

( 173 )

1,094

( 921 )

-

Transfers to Stage 3

( 8 )

( 507 )

515

-

( 7 )

( 449 )

456

-

Business activity during the year

122

( 223 )

( 343 )

( 444 )

110

( 199 )

( 298 )

( 387 )

Net remeasurement of provision for ECL

( 1,284 )

( 200 )

1,603

119

( 1,121 )

( 140 )

1,424

163

Write-offs

-

-

( 836 )

( 836 )

-

-

( 739 )

( 739 )

Exchange rate and other adjustments

( 24 )

( 16 )

68

28

-

( 1 )

55

54

Balance as at 30 September 2021

936

2,091

1,972

4,999

780

1,735

1,748

4,263

Transfers to Stage 1

912

( 792 )

( 120 )

-

748

( 646 )

( 102 )

-

Transfers to Stage 2

( 235 )

1,002

( 767 )

-

( 198 )

900

( 702 )

-

Transfers to Stage 3

( 14 )

( 383 )

397

-

( 12 )

( 343 )

355

-

Business activity during the year

354

( 244 )

( 340 )

( 230 )

328

( 234 )

( 320 )

( 226 )

Net remeasurement of provision for ECL

( 1,066 )

689

1,129

752

( 875 )

651

1,055

831

Write-offs

-

-

( 934 )

( 934 )

-

-

( 851 )

( 851 )

Exchange rate and other adjustments

( 2 )

( 22 )

62

38

6

-

57

63

Balance as at 30 September 2022

885

2,341

1,399

4,625

777

2,063

1,240

4,080

The provisions for ECL on loans and credit commitments can be further disaggregated into the following classes:

Consolidated

Parent Entity

Non-

Non-

Performing

performing

Performing

performing

$m

Stage 1

Stage 2

Stage 3

Total

Stage 1

Stage 2

Stage 3

Total

Housing

Balance as at 30 September 2020

192

747

977

1,916

149

635

904

1,688

Transfers to Stage 1

283

( 265 )

( 18 )

-

246

( 237 )

( 9 )

-

Transfers to Stage 2

( 36 )

677

( 641 )

-

( 32 )

624

( 592 )

-

Transfers to Stage 3

-

( 120 )

120

-

-

( 115 )

115

-

Business activity during the year

42

( 49 )

( 180 )

( 187 )

39

( 43 )

( 165 )

( 169 )

Net remeasurement of provision for ECL

( 322 )

( 253 )

387

( 188 )

( 284 )

( 190 )

328

( 146 )

Write-offs

-

-

( 76 )

( 76 )

-

-

( 63 )

( 63 )

Exchange rate and other adjustments

1

4

38

43

-

-

34

34

Balance as at 30 September 2021

160

741

607

1,508

118

674

552

1,344

Transfers to Stage 1

206

( 191 )

( 15 )

-

166

( 158 )

( 8 )

-

Transfers to Stage 2

( 32 )

508

( 476 )

-

( 29 )

481

( 452 )

-

Transfers to Stage 3

-

( 90 )

90

-

-

( 87 )

87

-

Business activity during the year

41

( 58 )

( 166 )

( 183 )

38

( 55 )

( 155 )

( 172 )

Net remeasurement of provision for ECL

( 229 )

191

404

366

( 187 )

161

363

337

Write-offs

-

-

( 45 )

( 45 )

-

-

( 35 )

( 35 )

Exchange rate and other adjustments

( 3 )

( 6 )

16

7

-

-

17

17

Balance as at 30 September 2022

143

1,095

415

1,653

106

1,016

369

1,491

WESTPAC GROUP 2022 ANNUAL REPORT 37

Notes to the financial statements

Note 11. Provisions for expected credit losses (continued)

Consolidated

Parent Entity

Non-

Non-

Performing

performing

Performing

performing

$m

Stage 1

Stage 2

Stage 3

Total

Stage 1

Stage 2

Stage 3

Total

Personal

Balance as at 30 September 2020

216

408

232

856

190

332

193

715

Transfers to Stage 1

476

( 469 )

( 7 )

-

403

( 401 )

( 2 )

-

Transfers to Stage 2

( 98 )

281

( 183 )

-

( 92 )

251

( 159 )

-

Transfers to Stage 3

( 1 )

( 202 )

203

-

( 1 )

( 182 )

183

-

Business activity during the year

27

( 25 )

( 35 )

( 33 )

28

( 20 )

( 30 )

( 22 )

Net remeasurement of provision for ECL

( 468 )

360

402

294

( 394 )

324

386

316

Write-offs

-

-

( 461 )

( 461 )

-

-

( 438 )

( 438 )

Exchange rate and other adjustments

1

2

23

26

-

-

18

18

Balance as at 30 September 2021

153

355

174

682

134

304

151

589

Transfers to Stage 1

353

( 345 )

( 8 )

-

281

( 280 )

( 1 )

-

Transfers to Stage 2

( 86 )

208

( 122 )

-

( 81 )

193

( 112 )

-

Transfers to Stage 3

-

( 145 )

145

-

-

( 133 )

133

-

Business activity during the year

18

( 16 )

( 19 )

( 17 )

17

( 14 )

( 16 )

( 13 )

Net remeasurement of provision for ECL

( 337 )

195

286

144

( 266 )

148

279

161

Write-offs

-

-

( 350 )

( 350 )

-

-

( 337 )

( 337 )

Exchange rate and other adjustments

( 2 )

( 2 )

17

13

-

-

15

15

Balance as at 30 September 2022

99

250

123

472

85

218

112

415

Consolidated

Parent Entity

Non-

Non-

Performing

performing

Performing

performing

$m

Stage 1

Stage 2

Stage 3

Total

Stage 1

Stage 2

Stage 3

Total

Business

Balance as at 30 September 2020

676

1,720

964

3,360

574

1,423

772

2,769

Transfers to Stage 1

487

( 394 )

( 93 )

-

409

( 322 )

( 87 )

-

Transfers to Stage 2

( 66 )

332

( 266 )

-

( 49 )

219

( 170 )

-

Transfers to Stage 3

( 7 )

( 185 )

192

-

( 6 )

( 152 )

158

-

Business activity during the year

53

( 149 )

( 128 )

( 224 )

43

( 136 )

( 103 )

( 196 )

Net remeasurement of provision for ECL

( 494 )

( 307 )

814

13

( 443 )

( 274 )

710

( 7 )

Write-offs

-

-

( 299 )

( 299 )

-

-

( 238 )

( 238 )

Exchange rate and other adjustments

( 26 )

( 22 )

7

( 41 )

-

( 1 )

3

2

Balance as at 30 September 2021

623

995

1,191

2,809

528

757

1,045

2,330

Transfers to Stage 1

353

( 256 )

( 97 )

-

301

( 208 )

( 93 )

-

Transfers to Stage 2

( 117 )

286

( 169 )

-

( 88 )

226

( 138 )

-

Transfers to Stage 3

( 14 )

( 148 )

162

-

( 12 )

( 123 )

135

-

Business activity during the year

295

( 170 )

( 155 )

( 30 )

273

( 165 )

( 149 )

( 41 )

Net remeasurement of provision for ECL

( 500 )

303

439

242

( 422 )

342

413

333

Write-offs

-

-

( 539 )

( 539 )

-

-

( 479 )

( 479 )

Exchange rate and other adjustments

3

( 14 )

29

18

6

-

25

31

Balance as at 30 September 2022

643

996

861

2,500

586

829

759

2,174

38 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 11. Provisions for expected credit losses (continued)

Reconciliation of impairment charges

Consolidated

Parent Entity

$m

2022

2021

2022

2021

Loans and credit commitments:

Business activity during the year

( 230 )

( 444 )

( 226 )

( 387 )

Net remeasurement of provision for ECL

752

119

831

163

Impairment charges for debt securities at amortised cost

4

( 25 )

1

-

Impairment charges for debt securities at FVOCI

( 2 )

2

( 2 )

2

Impairment on due from subsidiaries

-

-

25

-

Recoveries

( 189 )

( 242 )

( 180 )

( 225 )

Impairment charges/(benefits) (Note 6)

335

( 590 )

449

( 447 )

Total write-offs net of recoveries to average loans

Consolidated

%

2022

2021

Write-offs net of recoveries to average loans

Housing

0.01

0.01

Personal

1.28

1.46

Business

0.27

0.15

Total write-offs net of recoveries to average loans

0.10

0.08

Write-offs still under enforcement activity

The amount of current year write-offs which remain subject to enforcement activity was $ 864 million (2021: $ 786 million) for the Group and $ 781 million (2021: $ 689 million) for the Parent Entity.

Impact of overlays on the provision for ECL

The following table attributes the provision for ECL between modelled ECL and portfolio overlays.

Portfolio overlays are used to capture risk of increased uncertainty relating to forward-looking economic conditions, or areas of potential risk and uncertainty in the portfolio, that are not captured in the underlying modelled ECL.

Consolidated

Parent Entity

$m

2022

2021

2022

2021

Modelled provision for ECL

3,925

4,352

3,504

3,712

Overlays

700

647

576

551

Total provision for ECL

4,625

4,999

4,080

4,263

Details of changes related to forward-looking economic inputs and portfolio overlays, based on reasonable and supportable information up to the date of this report, are provided below.

Modelled provision for ECL

The modelled provision for ECL is a probability weighted estimate based on three scenarios which together represent the Group’s view of the forward-looking distribution of potential loss outcomes. The change in provisions as a result of changes in modelled ECL are reflected through the “net remeasurement of provision for ECL” line item. Portfolio overlays are used to capture potential risk and uncertainty in the portfolio, that are not captured in the underlying modelled ECL.

The base case scenario uses Westpac Economic forecasts which forecast further interest rate rises and residential/ commercial price reductions due to the current high inflationary environment.

WESTPAC GROUP 2022 ANNUAL REPORT 39

Notes to the financial statements

Note 11. Provisions for expected credit losses (continued)

Westpac Economics forecasts used for the different reporting periods are as follows:

Key macroeconomic assumptions for base case scenario

30 September 2022

30 September 2021

Annual GDP:

Australia

Forecast growth of 3.4 % for calendar year 2022 and 1.0 % for calendar year 2023

Forecast growth of 0.1 % for calendar year 2021 and 7.4 % for calendar year 2022

New Zealand

Forecast growth of 1.9 % for calendar year 2022 and 1.6 % for calendar year 2023

Forecast growth of 5.6 % for calendar year 2021 and 2.3 % for calendar year 2022

Commercial property index

Forecast price contraction of 4.7 % for calendar year 2022 and 3.0 % for calendar year 2023

Forecast price contraction of 0.7 % for calendar year 2021 and 4.7 % for calendar year 2022

Residential property prices:

Australia

Forecast price contraction of 6.5 % for calendar year 2022 and 7.8 % for calendar year 2023

Forecast price appreciation of 11.8 % for calendar year 2021 and 5.0 % for calendar year 2022

New Zealand

Forecast price contraction of 10 % for calendar year 2022 and 5.0 % for calendar year 2023

Forecast price appreciation of 20 % for calendar year 2021 and 0 % for calendar year 2022

Cash rate

Forecast cash rate of 3.35 % at December 2022 and 3.6 % at December 2023

Forecast to remain at 10bps over calendar years 2021 and 2022

Unemployment rate:

Australia

Forecast rate of 3.1 % at December 2022 and 4.4 % at December 2023

Forecast rate of 5.4 % at December 2021 and 4 % at December 2022

New Zealand

Forecast rate of 3.4 % at December 2022 and 3.8 % at December 2023

Forecast rate of 4.2 % at December 2021 and 3.5 % at December 2022

The downside scenario is a more severe scenario with expected credit losses higher than the base case. The more severe loss outcome for the downside is generated under a recession in which the combination of negative GDP growth, declines in commercial and residential property prices and an increase in the unemployment rate simultaneously impact expected credit losses across all portfolios from the reporting date. In the prior year, the Group updated its Significant Increase in Credit Risk (SICR) criteria to be based on a change in the probability of default (PD) since origination. The thresholds applied for accounts to move to Stage 2 were also updated. In the current year, the Group increased the severity of the downside economic scenario for the housing and business segments, and as a result an increased number of performing accounts which are currently not in arrears have reached the SICR thresholds and moved to Stage 2, reducing overall Stage 2 coverage rates.

The following sensitivity table shows the reported provision for ECL based on the probability weighted scenarios and what the provisions for ECL would be assuming a 100% weighting to the base case scenario and to the downside scenario (with all other assumptions, held constant).

Consolidated

Parent Entity

$m

2022

2021

2022

2021

Reported probability-weighted ECL

4,625

4,999

4,080

4,263

100% base case ECL

2,983

3,411

2,582

2,877

100% downside ECL

6,680

7,399

5,947

6,354

If 1 % of the Stage 1 gross exposure from loans and credit commitments (calculated on a 12 month ECL) was reflected in Stage 2 (calculated on a lifetime ECL) the provision for ECL would increase by $ 113 million (2021: $ 252 million) for the Group and $ 103 million (2021: $ 200 million) for the Parent Entity based on applying the average provision coverage ratios by stage to the movement in the gross exposure by stage.

The following table indicates the weightings applied by the Group and Parent Entity:

Macroeconomic scenario weightings (%)

2022

2021

Upside

5

5

Base

50

55

Downside

45

40

The increase in weighting to the downside reflects an elevated level of uncertainty in potential credit losses driven by new geopolitical and economic headwinds, supply chain disruptions, capacity constraints and rising inflation.

40 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 11. Provisions for expected credit losses (continued)

Portfolio overlays

Portfolio overlays are used to address areas of risk, including significant uncertainties that are not captured in the underlying modelled ECL. Determination of portfolio overlays requires expert judgement and is thoroughly documented and subject to comprehensive internal governance and oversight. Overlays are continually reassessed and if the risk is judged to have changed (increased or decreased), or is subsequently captured in the modelled ECL, the overlay will be released or remeasured.

The total portfolio overlays as at 30 September 2022 were $ 700 million (2021: $ 647 million) for the Group and $ 576 million (2021: $ 551 million) for the Parent Entity and comprises:

$ 480 million (2021: $ 90 million) for the Group and $ 399 million (2021: $ 90 million) for the Parent Entity for consumers reflecting potential high consumer stress from rising interest rates, higher inflation and higher unemployment;
$ 150 million (2021: nil ) for the Group and $ 123 million (2021: nil ) for the Parent Entity relating to certain industries reflecting potential supply chain disruptions and labour shortages;
$ 70 million (2021: nil ) for the Group and $ 70 million (2021: nil ) for the Parent Entity for extreme weather events including the expected impact on customers of recent flooding; and
$ 0 million (2021: $ 557 million) for the Group and $ 0 million (2021: $ 461 million) for the Parent Entity relating to COVID-19 impacts. Overlay has been completely removed as modelled outcomes now capture the risks.

The change in provisions as a result of changes in portfolio overlays are reflected through the “net remeasurement of provision for ECL” line in Movement in provisions for ECL table.

Impact of changes in credit exposures on the provision for ECL

Stage 1 exposures had a net decrease of $ 29.4 billion (2021: net increase of $ 16.3 billion) for the Group and $ 20.2 billion (2021: net increase of $ 8.3 billion) for the Parent Entity primarily driven by decreases in the housing segment due to increase in downside scenario severity which resulted in additional TCE being transferred to Stage 2. Stage 1 ECL has decreased mainly from revisions to portfolio overlays.
Stage 2 credit exposures increased by $ 60.1 billion (2021: increased by $ 5.1 billion) for the Group and $ 56.5 billion (2021: increased by $ 6.4 billion) for the Parent Entity mainly driven by increases from the housing and business segments due to additional TCE transferred to Stage 2 to account for increase in downside scenario severity and overlays. Stage 2 ECL increased which has been driven by the increases in overlay and impacts from revised downside severities.
Stage 3 credit exposures had a net decrease of $ 2.2 billion (2021: decreased by $ 1.5 billion) for the Group and $ 2.0 billion (2021: decreased by $ 1.3 billion) for the Parent Entity driven by reductions in 90 days past due exposures in the housing portfolio and write offs from the business segment. Stage 3 ECL has decreased in line with the decrease in Stage 3 exposures.

WESTPAC GROUP 2022 ANNUAL REPORT 41

Notes to the financial statements

Note 12. Credit risk management

Note

Index

Note name

number

Credit risk

Credit risk management framework

12.1

The risk of financial loss where a customer or

Credit risk ratings system

12.2

counterparty fails to meet their financial obligations to Westpac.

Credit concentrations and maximum exposure to credit risk

12.3

Credit quality of financial assets

12.4

Credit risk mitigation, collateral and other credit enhancements

12.5

12.1 Credit risk management framework

Please refer to Note 22.1 for details of the Group’s overall risk management framework.

The Group maintains a Credit Risk Management Framework, a Credit Risk Management Strategy, and a Credit Risk Appetite Statement, and a number of supporting policies and appetite statements that define roles and responsibilities, acceptable practices, limits and key controls.
The Credit Risk Management Framework describes the principles, methodologies, systems, roles and responsibilities, reports and key controls for managing credit risk.
The BRiskC, Westpac Group Executive Risk Committee (RISKCO) and Westpac Group Credit Risk Committee (CREDCO) monitor the risk profile, performance and management of the Group’s credit portfolio and the development and review of key credit risk policies.
The Credit Risk Rating System Policy describes the credit risk rating system philosophy, design, key features and uses of rating outcomes.
All models materially impacting the risk rating process are periodically reviewed in accordance with Westpac’s model risk policies.
An annual review is performed of the Credit Risk Rating System by the BRiskC and CREDCO.
Specific credit risk estimates (including PD, LGD and EAD levels) are overseen and reviewed annually in line with the Group’s Credit Model Risk Policy. Models are approved under delegated authority from the Chief Risk Officer. Model Risk is overseen by the Group’s Model Risk Committee.
In determining the provision for ECL, the forward-looking economic inputs and the probability weightings of the forward-looking scenarios as well as any adjustments made to the modelled outcomes are subject to the approval of the Chief Financial Officer and the Chief Risk Officer with oversight from the Board of Directors (and its Committees).
Policies for the delegation of credit approval authorities and formal limits for the extension of credit are established throughout the Group.
Credit manuals are established and maintained throughout the Group including policies governing the origination, evaluation, approval, documentation, settlement and ongoing management of credit risks.
Climate change related credit risks are considered in line with our Climate Change Position Statement and Action Plan. Climate change risks are managed in accordance with the Group’s risk framework which is supported by the Sustainability Risk Management Framework (SRMF), Group Environmental, Social and Governance (ESG) Credit Risk Policy and Board Risk Appetite Statements (RAS). Where appropriate, these are applied at the portfolio, customer and transaction level.
The Climate Change Financial Risk Committee oversees work to identify and manage the potential impact on credit exposures from climate change-related transition and physical risks across the Group and reports to CREDCO.
The Group’s ESG Credit Risk Policy details the Group’s overall approach to managing ESG risks in the credit risk process for applicable transactions.
Sector policies guide credit extension where industry-specific guidelines are considered necessary (e.g. acceptable financial ratios or permitted collateral).
The Related Entity Risk Management Policy and supporting policies govern credit exposures to related entities, to minimise the spread of credit risk between Group entities and to comply with prudential requirements prescribed by APRA.

42 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 12. Credit risk management (continued)

12.2 Credit risk ratings system

The principal objective of the credit risk rating system is to assess the credit risk to which the Group is exposed. The Group has two main approaches to this assessment.

Transaction-managed customers

Transaction managed customers are generally customers with business lending exposures. They are individually assigned a Customer Risk Grade (CRG), corresponding to their expected PD. Each facility is assigned an LGD. The Group’s risk rating system has a tiered scale of risk grades for both non-defaulted customers and defaulted customers. Non-defaulted CRGs are mapped to Moody’s and S&P Global Ratings (S&P) external senior unsecured ratings.

The table below shows Westpac’s high level CRGs for transaction-managed portfolios mapped to the Group’s credit quality disclosure categories and to their corresponding external rating.

Transaction-managed

Financial statement disclosure

Westpac CRG

Moody’s Rating

S&P Rating

Strong

A

Aaa – Aa3

AAA – AA–

B

A1 – A3

A+ – A–

C

Baa1 – Baa3

BBB+ – BBB–

Good/satisfactory

D

Ba1 – B1

BB+ – B+

Westpac Rating

Weak

E

Watchlist

F

Special Mention

Weak/default/non-performing

G

Substandard/Default

H

Default

Program-managed portfolio

The program-managed portfolio generally includes retail products including mortgages, personal lending (including credit cards) as well as certain SME lending. These customers are grouped into pools of similar risk. Pools are created by analysing similar risk characteristics that have historically predicted that an account is likely to go into default. Customers grouped according to these predictive characteristics are assigned a PD and LGD relative to their pool. The credit quality of these pools is based on a combination of behavioural factors, delinquency trends, PD estimates and loan to valuation ratio (housing loans only).

12.3 Credit risk concentrations and maximum exposure to credit risk

Credit risk concentrations

Credit risk is concentrated when a number of counterparties are engaged in similar activities, have similar economic characteristics and thus may be similarly affected by changes in economic or other conditions.

The Group monitors its credit portfolio to manage risk concentrations and rebalance the portfolio.

Individual customers or groups of related customers

The Group has large exposure limits governing the aggregate size of credit exposure normally acceptable to individual customers and groups of related customers. These limits are tiered by customer risk grade.

Specific industries

Exposures to businesses, governments and other financial institutions are classified into a number of industry clusters based on related Australian and New Zealand Standard Industrial Classification (ANZSIC) codes and are monitored against the Group’s industry risk appetite limits.

Individual countries

The Group has limits governing risks related to individual countries, such as political situations, government policies and economic conditions that may adversely affect either a customer’s ability to meet its obligations to the Group, or the Group’s ability to realise its assets in a particular country.

WESTPAC GROUP 2022 ANNUAL REPORT 43

Notes to the financial statements

Note 12. Credit risk management (continued)

Maximum exposure to credit risk

The maximum exposure to credit risk (excluding collateral received) is represented by the carrying amount of on-balance sheet financial assets (which comprise cash and balances with central banks, collateral paid, trading securities and financial assets measured at FVIS, derivative financial instruments, investment securities, loans, other financial assets and certain balances included in assets held for sale) and undrawn credit commitments.

The following tables set out the credit risk concentrations to which the Group and the Parent Entity are exposed for on-balance sheet financial assets and for undrawn credit commitments.

Life insurance assets are excluded as primarily the credit risk is passed on to the policyholder and backed by the policyholder liabilities.

The balances for trading securities and financial assets measured at FVIS and investment securities exclude equity securities as the primary financial risk is not credit risk.

The credit concentrations for each significant class of financial asset are:

Trading securities and financial assets measured at FVIS (Note 17)

61 % (2021: 42 % ) were issued by financial institutions for the Group;

63 % (2021: 44 % ) for the Parent Entity.

33 % (2021: 53 % ) were issued by government or semi-government authorities for the Group;

32 % (2021: 52 % ) for the Parent Entity.

76 % (2021: 67 % ) were held in Australia by the Group;

82 % (2021: 74 % ) by the Parent Entity.

Investment securities (Note 18)

17 % (2021: 18 % ) were issued by financial institutions for the Group;

18 % (2021: 19 % ) for the Parent Entity.

82 % (2021: 81 % ) were issued by government or semi-government authorities for both the Group and the Parent Entity.
91 % (2021: 92 % ) were held in Australia by the Group;

98 % (2021: 99 % ) by the Parent Entity.

Loans (Note 10)

The table below provides a detailed breakdown of loans by industry and geographic classification.

Derivative financial instruments (Note 21)

84 % (2021: 78 % ) were issued by financial institutions for both the Group and the Parent Entity.
79 % (2021: 80 % ) were held in Australia by the Group;

80 % (2021: 81 % ) by the Parent Entity.

44 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 12. Credit risk management (continued)

2022

2021

Total all

Undrawn

Total all

Undrawn

other on

credit

other on

credit

Consolidated

balance

commit-

balance

commit-

$m

Loans

sheet

ments

Total

Loans

sheet

ments

Total

Australia

Accommodation, cafes and restaurants

7,984

12

1,682

9,678

7,658

13

1,294

8,965

Agriculture, forestry and fishing

11,291

62

2,661

14,014

10,501

32

2,367

12,900

Construction

6,608

82

3,830

10,520

6,214

16

3,718

9,948

Finance and insurance

22,877

133,790

11,403

168,070

16,026

86,412

9,664

112,102

Government, administration and defence

653

63,965

1,479

66,097

957

72,343

1,327

74,627

Manufacturing

9,425

1,539

6,063

17,027

8,067

570

6,351

14,988

Mining

2,819

446

3,610

6,875

3,003

158

3,527

6,688

Property

53,104

588

12,238

65,930

45,645

435

12,792

58,872

Property services and business services

12,959

126

6,653

19,738

11,248

100

6,544

17,892

Services

11,171

88

8,954

20,213

9,918

437

8,058

18,413

Trade

14,046

522

7,578

22,146

13,165

1,171

9,535

23,871

Transport and storage

8,738

819

5,610

15,167

7,681

777

5,734

14,192

Utilities

6,381

798

4,320

11,499

5,445

937

5,206

11,588

Retail lending

477,314

659

87,417

565,390

467,218

481

86,570

554,269

Other

5,480

952

1,970

8,402

6,048

821

2,160

9,029

Total Australia

650,850

204,448

165,468

1,020,766

618,794

164,703

164,847

948,344

New Zealand

Accommodation, cafes and restaurants

309

1

79

389

389

1

49

439

Agriculture, forestry and fishing

8,555

25

614

9,194

9,371

29

724

10,124

Construction

423

1

390

814

438

2

481

921

Finance and insurance

3,727

17,608

1,643

22,978

3,344

13,787

1,984

19,115

Government, administration and defence

138

6,066

665

6,869

145

6,919

767

7,831

Manufacturing

1,783

1,512

1,243

4,538

1,608

80

1,525

3,213

Mining

191

9

82

282

202

3

53

258

Property

6,530

569

1,244

8,343

6,840

625

1,239

8,704

Property services and business services

873

216

614

1,703

1,052

40

578

1,670

Services

1,356

16

1,195

2,567

1,683

24

1,105

2,812

Trade

2,515

47

1,178

3,740

2,172

32

1,368

3,572

Transport and storage

981

77

609

1,667

1,129

129

919

2,177

Utilities

1,243

495

1,205

2,943

1,341

435

1,599

3,375

Retail lending

57,344

62

12,733

70,139

59,341

53

13,249

72,643

Other

156

70

148

374

192

45

179

416

Total New Zealand

86,124

26,774

23,642

136,540

89,247

22,204

25,819

137,270

Other overseas

Accommodation, cafes and restaurants

116

-

10

126

116

-

9

125

Agriculture, forestry and fishing

1

-

1

2

10

-

2

12

Construction

34

-

122

156

51

-

111

162

Finance and insurance

2,508

23,940

3,703

30,151

1,402

16,106

2,192

19,700

Government, administration and defence

1

3,465

-

3,466

1

3,316

-

3,317

Manufacturing

523

1

2,524

3,048

580

-

2,745

3,325

Mining

74

-

693

767

339

-

805

1,144

Property

397

1

30

428

363

-

29

392

Property services and business services

728

27

536

1,291

946

41

497

1,484

Services

100

-

672

772

40

1

756

797

Trade

1,257

2

2,380

3,639

1,130

1

1,911

3,042

Transport and storage

468

1

209

678

504

11

237

752

Utilities

232

-

33

265

413

-

74

487

Retail lending

393

3

33

429

407

2

29

438

Other

47

146

43

236

30

129

28

187

Total other overseas

6,879

27,586

10,989

45,454

6,332

19,607

9,425

35,364

Total gross credit risk

743,853

258,808

200,099

1,202,760

714,373

206,514

200,091

1,120,978

WESTPAC GROUP 2022 ANNUAL REPORT 45

Notes to the financial statements

Note 12. Credit risk management (continued)

2022

2021

Total all

Undrawn

Total all

Undrawn

other on

credit

other on

credit

Parent Entity

balance

commit-

balance

commit-

$m

Loans

sheet

ments

Total

Loans

sheet

ments

Total

Australia

Accommodation, cafes and restaurants

7,950

12

1,682

9,644

7,613

13

1,294

8,920

Agriculture, forestry and fishing

11,245

62

2,661

13,968

10,446

32

2,367

12,845

Construction

6,181

82

3,830

10,093

5,757

16

3,718

9,491

Finance and insurance 1

22,830

181,688

11,403

215,921

15,969

126,936

9,664

152,569

Government, administration and defence

651

63,965

1,479

66,095

954

72,343

1,327

74,624

Manufacturing

9,284

1,538

6,063

16,885

7,913

570

6,351

14,834

Mining

2,796

446

3,610

6,852

2,979

157

3,527

6,663

Property

53,052

588

12,238

65,878

45,598

435

12,792

58,825

Property services and business services

12,631

125

6,653

19,409

10,815

100

6,544

17,459

Services

10,974

88

8,954

20,016

9,677

437

8,058

18,172

Trade

13,897

522

7,578

21,997

12,997

1,171

9,535

23,703

Transport and storage

8,508

819

5,610

14,937

7,394

775

5,734

13,903

Utilities

6,359

797

4,320

11,476

5,422

937

5,206

11,565

Retail lending

477,288

656

87,414

565,358

467,153

478

86,558

554,189

Other

5,034

789

1,964

7,787

5,556

595

2,157

8,308

Total Australia 1

648,680

252,177

165,459

1,066,316

616,243

204,995

164,832

986,070

New Zealand

Accommodation, cafes and restaurants

-

-

-

-

-

-

-

-

Agriculture, forestry and fishing

7

3

3

13

6

16

4

26

Construction

3

-

34

37

2

1

34

37

Finance and insurance

-

11,765

100

11,865

-

8,413

105

8,518

Government, administration and defence

-

1,165

2

1,167

-

1,605

7

1,612

Manufacturing

45

1,285

59

1,389

67

80

64

211

Mining

-

8

-

8

-

3

-

3

Property

-

120

1

121

-

112

-

112

Property services and business services

11

214

15

240

10

39

16

65

Services

-

12

4

16

-

22

1

23

Trade

422

44

193

659

298

30

159

487

Transport and storage

1

10

21

32

1

26

53

80

Utilities

-

292

62

354

-

305

80

385

Retail lending

-

1

-

1

-

1

-

1

Other

-

-

1

1

-

1

1

2

Total New Zealand

489

14,919

495

15,903

384

10,654

524

11,562

Other overseas

Accommodation, cafes and restaurants

70

-

10

80

74

-

9

83

Agriculture, forestry and fishing

1

-

1

2

2

-

1

3

Construction

27

-

115

142

45

-

110

155

Finance and insurance

2,501

23,888

3,688

30,077

1,399

17,145

2,171

20,715

Government, administration and defence

-

2,357

-

2,357

1

2,464

-

2,465

Manufacturing

519

1

2,470

2,990

576

-

2,687

3,263

Mining

43

-

690

733

319

-

802

1,121

Property

191

-

11

202

180

-

11

191

Property services and business services

705

27

532

1,264

886

41

495

1,422

Services

82

-

671

753

19

-

754

773

Trade

1,142

2

2,228

3,372

1,016

1

1,761

2,778

Transport and storage

406

1

201

608

436

11

230

677

Utilities

210

-

14

224

390

-

53

443

Retail lending

312

-

30

342

324

-

28

352

Other

35

145

17

197

21

128

13

162

Total other overseas

6,244

26,421

10,678

43,343

5,688

19,790

9,125

34,603

Total gross credit risk 1

655,413

293,517

176,632

1,125,562

622,315

235,439

174,481

1,032,235

1 .

Comparative has been restated due to a change in accounting policy. Refer to Note 1(a)(iii) for further details.

46 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 12. Credit risk management (continued)

12.4 Credit quality of financial assets

Credit quality disclosures

The following tables show the credit quality of gross credit risk exposures measured at amortised cost or at FVOCI to which the impairment requirements apply. The credit quality is determined by reference to the credit risk ratings system (refer to Note 12.2) and expectations of future economic conditions under multiple scenarios.

Consolidated

2022

2021

$m

Stage 1

Stage 2

Stage 3

Total 1

Stage 1

Stage 2

Stage 3

Total 1

Loans - housing

Strong

393,754

41,790

-

435,544

398,043

21,165

-

419,208

Good/satisfactory

36,862

35,581

-

72,443

55,631

17,851

-

73,482

Weak

1,916

10,133

3,916

15,965

3,245

12,659

5,461

21,365

Total loans - housing

432,532

87,504

3,916

523,952

456,919

51,675

5,461

514,055

Loans - personal

Strong

4,961

99

-

5,060

4,608

69

-

4,677

Good/satisfactory

6,903

1,056

-

7,959

8,780

1,327

-

10,107

Weak

232

433

213

878

310

539

286

1,135

Total loans - personal

12,096

1,588

213

13,897

13,698

1,935

286

15,919

Loans - business

Strong

82,280

5,704

-

87,984

71,336

446

-

71,782

Good/satisfactory

87,770

23,018

-

110,788

93,457

10,674

-

104,131

Weak

84

4,031

3,117

7,232

175

4,562

3,749

8,486

Total loans - business

170,134

32,753

3,117

206,004

164,968

15,682

3,749

184,399

Debt securities

Strong

75,230

-

-

75,230

82,536

-

-

82,536

Good/satisfactory

-

77

-

77

-

48

-

48

Weak

-

774

-

774

-

559

-

559

Total debt securities 2

75,230

851

-

76,081

82,536

607

-

83,143

Assets held for sale

Strong

20

-

-

20

206

-

-

206

Good/satisfactory

-

-

-

-

786

56

-

842

Weak

-

-

-

-

-

-

-

-

Total assets held for sale

20

-

-

20

992

56

-

1,048

All other financial assets

Strong

116,466

-

-

116,466

81,563

-

-

81,563

Good/satisfactory

596

-

-

596

386

-

-

386

Weak

37

-

-

37

30

-

-

30

Total all other financial assets

117,099

-

-

117,099

81,979

-

-

81,979

Undrawn credit commitments

Strong

150,424

7,235

-

157,659

153,712

1,546

-

155,258

Good/satisfactory

34,011

6,946

-

40,957

38,377

5,119

-

43,496

Weak

100

1,036

347

1,483

130

933

274

1,337

Total undrawn credit commitments 3

184,535

15,217

347

200,099

192,219

7,598

274

200,091

Total strong

823,135

54,828

-

877,963

792,004

23,226

-

815,230

Total good/satisfactory

166,142

66,678

-

232,820

197,417

35,075

-

232,492

Total weak

2,369

16,407

7,593

26,369

3,890

19,252

9,770

32,912

Total on and off-balance sheet

991,646

137,913

7,593

1,137,152

993,311

77,553

9,770

1,080,634

1. This credit quality disclosure differs to that of credit risk concentration as it relates only to financial assets measured at amortised cost or at FVOCI and therefore excludes trading securities and financial assets measured at FVIS, and derivative financial instruments.
2. Debt securities included $ 1,187 million (2021: $ 938 million) at amortised cost. $ 336 million (2021: $ 331 million) of these are classified as strong, $ 77 million (2021: $ 48 million) are classified as good/satisfactory and $ 774 million (2021: $ 559 million) are classified as weak.
3. There is nil credit commitment on held for sale assets (2021: $ 828 million).

Details of collateral held in support of these balances are provided in Note 12.5.

WESTPAC GROUP 2022 ANNUAL REPORT 47

Notes to the financial statements

Note 12. Credit risk management (continued)

Parent Entity

2022

2021

$m

Stage 1

Stage 2

Stage 3

Total 1

Stage 1

Stage 2

Stage 3

Total 1

Loans - housing

Strong

349,025

40,448

-

389,473

352,163

19,540

-

371,703

Good/satisfactory

30,966

32,458

-

63,424

47,301

16,725

-

64,026

Weak

1,646

9,545

3,587

14,778

2,925

12,186

5,064

20,175

Total loans - housing

381,637

82,451

3,587

467,675

402,389

48,451

5,064

455,904

Loans - personal

Strong

4,506

77

-

4,583

4,204

42

-

4,246

Good/satisfactory

6,582

950

-

7,532

8,386

1,178

-

9,564

Weak

178

334

198

710

231

400

258

889

Total loans - personal

11,266

1,361

198

12,825

12,821

1,620

258

14,699

Loans - business

Strong

70,028

5,284

-

75,312

59,224

393

-

59,617

Good/satisfactory

74,339

19,112

-

93,451

77,251

7,798

-

85,049

Weak

69

3,242

2,839

6,150

142

3,496

3,408

7,046

Total loans - business

144,436

27,638

2,839

174,913

136,617

11,687

3,408

151,712

Debt securities

Strong

69,944

-

-

69,944

77,741

-

-

77,741

Good/satisfactory

-

77

-

77

-

48

-

48

Weak

-

-

-

-

-

-

-

-

Total debt securities 2

69,944

77

-

70,021

77,741

48

-

77,789

Assets held for sale

Strong

-

-

-

-

180

-

-

180

Good/satisfactory

-

-

-

-

786

56

-

842

Weak

-

-

-

-

-

-

-

-

Total assets held for sale

-

-

-

-

966

56

-

1,022

All other financial assets

Strong 3

157,534

-

-

157,534

118,449

-

-

118,449

Good/satisfactory

427

-

-

427

273

-

-

273

Weak

31

-

-

31

26

-

-

26

Total all other financial assets 3

157,992

-

-

157,992

118,748

-

-

118,748

Undrawn credit commitments

Strong

131,918

6,594

-

138,512

133,404

1,327

-

134,731

Good/satisfactory

30,953

5,814

-

36,767

34,365

4,242

-

38,607

Weak

79

945

329

1,353

97

796

250

1,143

Total undrawn credit commitments 4

162,950

13,353

329

176,632

167,866

6,365

250

174,481

Total strong 3

782,955

52,403

-

835,358

745,365

21,302

-

766,667

Total good/satisfactory

143,267

58,411

-

201,678

168,362

30,047

-

198,409

Total weak

2,003

14,066

6,953

23,022

3,421

16,878

8,980

29,279

Total on and off-balance sheet 3

928,225

124,880

6,953

1,060,058

917,148

68,227

8,980

994,355

1. This credit quality disclosure differs to that of credit risk concentration as it relates only to financial assets measured at amortised cost or at FVOCI and therefore excludes trading securities and financial assets measured at FVIS, and derivative financial instruments.
2. Debt securities included $ 79 million (2021: $ 50 million) at amortised cost. $ 2 million (2021: $ 2 million) of these are classified as strong, $ 77 million (2021: $ 48 million) are classified as good/satisfactory.
3. Comparative has been restated due to a change in accounting policy. Refer to Note 1(a)(iii) for further details.
4. There is nil credit commitment on held for sale assets (2021: $ 828 million).

Details of collateral held in support of these balances are provided in Note 12.5.

48 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 12. Credit risk management (continued)

12.5 Credit risk mitigation, collateral and other credit enhancements

Westpac uses a variety of techniques to reduce the credit risk arising from its lending activities. This includes the Group establishing that it has direct, irrevocable and unconditional recourse to collateral and other credit enhancements through obtaining legally enforceable documentation.

Collateral

The table below describes the nature of collateral or security held for each relevant class of financial asset.

Loans – housing and personal 1

Housing loans are secured by a mortgage over property and additional security may take the form of guarantees and deposits.

Personal lending (including credit cards and overdrafts) is predominantly unsecured. Where security is taken, it is restricted to eligible motor vehicles, caravans, campers, motor homes and boats. Personal lending also includes margin lending which is secured primarily by shares or managed funds.

Loans – business 1

Business loans may be secured, partially secured or unsecured. Security is typically taken by way of a mortgage over property and/or a general security agreement over business assets or other assets.

Other security such as guarantees, standby letters of credit or derivative protection may also be taken as collateral, if appropriate.

Trading securities, financial assets measured at FVIS and derivatives

These exposures are carried at fair value which reflects the credit risk.

For trading securities, no collateral is sought directly from the issuer or counterparty; however this may be implicit in the terms of the instrument (such as an asset-backed security). The terms of debt securities may include collateralisation.

For derivatives, master netting agreements are typically used to enable the effects of derivative assets and liabilities with the same counterparty to be offset when measuring these exposures. Additionally, collateralisation agreements are also typically entered into with major institutional counterparties to avoid the potential build-up of excessive mark-to-market positions. Derivative transactions are increasingly being cleared through central clearers.

Management of risk mitigation

The Group mitigates credit risk through controls covering:

Collateral and valuation management

The estimated realisable value of collateral held in support of loans is based on a combination of:

formal valuations currently held for such collateral; and
management’s assessment of the estimated realisable value of all collateral held.

This analysis also takes into consideration any other relevant knowledge available to management at the time. Updated valuations are obtained when appropriate.

The Group revalues collateral related to financial markets positions on a daily basis and has formal processes in place to promptly call for collateral top-ups, if required. These processes include margining for non-centrally cleared customer derivatives as regulated by Australian Prudential Standard CPS226. The collateralisation arrangements are documented via the Credit Support Annex of the ISDA dealing agreements and Global Master Repurchase Agreements (GMRA) for repurchase transactions.

In relation to financial markets positions, Westpac only recognises collateral which is:

cash, primarily in Australian dollars (AUD), New Zealand dollars (NZD), US dollars (USD), Canadian dollars (CAD), British pounds (GBP) or European Union euro (EUR);
bonds issued by Australian Commonwealth, State and Territory governments or their Public Sector Enterprises, provided these attract a zero risk-weighting under Australian Prudential Standard (APS) 112;
securities issued by other sovereign governments and supranationals as approved by an authorised credit officer; or
protection bought via credit-linked notes (provided the proceeds are invested in cash or other eligible collateral).

1.

This includes collateral held in relation to associated credit commitments.

WESTPAC GROUP 2022 ANNUAL REPORT 49

Notes to the financial statements

Note 12. Credit risk management (continued)

Other credit enhancements

The Group only recognises guarantees, standby letters of credit, or credit derivative protection from entities meeting minimum eligibility requirements (provided they are not related to the entity with which Westpac has a credit exposure ) including but not limited to:

Sovereign;
Australia and New Zealand public sector;
ADIs and overseas banks with a minimum risk grade equivalent of A3 / A–; and
Others with a minimum risk grade equivalent of A3 / A–.

Credit Portfolio Management (CPM) manages the Group’s corporate, sovereign and bank credit portfolios through monitoring the exposure and any offsetting hedge positions.

CPM purchases credit protection from entities that meet minimum eligibility requirements.

Offsetting

Creditworthy customers domiciled in Australia and New Zealand may enter into formal agreements with the Group, permitting the Group to set-off gross credit and debit balances in their nominated accounts. Cross-border set-offs are not permitted.

Close-out netting is undertaken with counterparties with whom the Group has entered into a legally enforceable master netting agreement for their off-balance sheet financial market transactions in the event of default.

Further details of offsetting are provided in Note 24.

Central clearing

The Group executes derivative transactions through central clearing counterparties. Central clearing counterparties mitigate risk through stringent membership requirements, the collection of margin against all trades placed, the default fund, and an explicitly defined order of priority of payments in the event of default.

Collateral held against loans

The Group analyses the coverage of the loan portfolio which is secured by the collateral that it holds. Coverage is measured as follows:

Coverage

Secured loan to collateral value ratio

Fully secured

Less than or equal to 100%

Partially secured

Greater than 100% but not more than 150%

Unsecured

Greater than 150%, or no security held (e.g. can include credit cards, personal loans, and exposure to highly rated corporate entities)

50 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 12. Credit risk management (continued)

The Group and the Parent Entity’s loan portfolio have the following coverage from collateral held:

2022

2021

Housing

Personal

Business

Assets held

Housing

Personal

Business

Assets held

%

loans 1

loans

loans

for sale

Total

loans 1

loans

loans

for sale

Total

Performing loans

Consolidated

Fully secured

100.0

10.0

66.0

-

88.9

100.0

9.9

66.2

5.9

89.2

Partially secured

-

24.0

14.6

-

4.5

-

31.2

15.6

92.5

4.8

Unsecured

-

66.0

19.4

-

6.6

-

58.9

18.2

1.6

6.0

Total

100.0

100.0

100.0

-

100.0

100.0

100.0

100.0

100.0

100.0

Parent Entity

Fully secured

100.0

10.8

65.9

-

89.2

100.0

10.6

66.6

5.9

89.7

Partially secured

-

25.9

14.4

-

4.3

-

33.5

14.8

92.5

4.5

Unsecured

-

63.3

19.7

-

6.5

-

55.9

18.6

1.6

5.8

Total

100.0

100.0

100.0

-

100.0

100.0

100.0

100.0

100.0

100.0

Non-performing

loans

Consolidated

Fully secured

93.2

-

54.1

-

73.7

94.6

-

44.9

-

72.2

Partially secured

6.8

42.7

22.7

-

14.7

5.4

45.7

21.9

-

13.1

Unsecured

-

57.3

23.2

-

11.6

-

54.3

33.2

-

14.7

Total

100.0

100.0

100.0

-

100.0

100.0

100.0

100.0

-

100.0

Parent Entity

Fully secured

93.2

-

56.7

-

74.8

94.7

-

47.1

-

73.3

Partially secured

6.8

44.4

22.2

-

14.5

5.3

47.8

21.2

-

12.8

Unsecured

-

55.6

21.1

-

10.7

-

52.2

31.7

-

13.9

Total

100.0

100.0

100.0

-

100.0

100.0

100.0

100.0

-

100.0

1. For the purpose of collateral classification, housing loans are classified as fully secured, unless they are non-performing in which case they may be classified as partially secured.

Details of the carrying value and associated provision for ECL are disclosed in Notes 10 and 11 respectively. The credit quality of loans is disclosed in Note 12.4.

Collateral held against financial assets other than loans

Consolidated

Parent Entity

$m

2022

2021

2022

2021

Cash, primarily for derivatives

6,372

2,370

6,300

2,191

Securities under reverse repurchase agreements 2

8,838

2,916

8,838

2,744

Securities under derivatives and stock borrowing 2

58

9

58

9

Total other collateral held

15,268

5,295

15,196

4,944

2. Securities received as collateral are not recognised in the Group and Parent Entity’s balance sheet.

WESTPAC GROUP 2022 ANNUAL REPORT 51

Notes to the financial statements

Deposits and other funding arrangements

Note 13. Deposits and other borrowings 1

Accounting policy

Deposits and other borrowings are initially recognised at fair value and subsequently either measured at amortised cost using the effective interest method or at fair value.

Deposits and other borrowings are designated at fair value if they are managed on a fair value basis, reduce or eliminate an accounting mismatch or contain an embedded derivative.

Where they are measured at fair value, any changes in fair value (except those due to changes in credit risk) are recognised as non-interest income. The change in the fair value that is due to changes in credit risk is recognised in OCI except where it would create an accounting mismatch, in which case it is also recognised in the income statement.

Refer to Note 23 for balances measured at fair value and amortised cost.

Interest expense incurred is recognised in net interest income using the effective interest method.

Consolidated

Parent Entity

$m

2022

2021

2022

2021

Australia

Certificates of deposit

30,507

31,506

30,507

31,506

Non-interest bearing, repayable at call

55,180

52,819

55,180

52,819

Other interest bearing at call

352,544

345,416

352,544

345,416

Other interest bearing term

127,921

102,775

127,921

102,775

Total Australia

566,152

532,516

566,152

532,516

New Zealand

Certificates of deposit

2,588

3,293

-

-

Non-interest bearing, repayable at call

12,674

14,066

-

-

Other interest bearing at call

27,517

31,354

-

-

Other interest bearing term

28,423

27,042

-

-

Total New Zealand

71,202

75,755

-

-

Other overseas

Certificates of deposit

13,200

11,839

13,200

11,839

Non-interest bearing, repayable at call

1,178

919

473

357

Other interest bearing at call

1,883

1,751

1,569

1,446

Other interest bearing term

5,514

4,175

5,351

4,029

Total other overseas

21,775

18,684

20,593

17,671

Total deposits and other borrowings

659,129

626,955

586,745

550,187

The following table shows average balances and average rates in each of the past two years for major categories of deposits.

2022

2021

Average

Average

Average

Average

balance

rate

balance

rate

Consolidated

$m

%

$m

%

Australia

Non-interest bearing, repayable at call

54,178

49,592

Certificates of deposit

29,839

0.7

28,242

0.1

Other interest bearing at call

359,080

0.4

322,333

0.2

Other interest bearing term

105,074

0.7

107,100

0.6

Total Australia

548,171

507,267

Overseas

Non-interest bearing, repayable at call

15,069

12,433

Certificates of deposit

17,469

1.1

11,035

0.4

Other interest bearing at call

31,485

0.7

30,231

0.2

Other interest bearing term

33,007

1.7

32,410

1.1

Total overseas

97,030

86,109

1. Non-interest bearing relates to instruments which do not carry a rate of interest.

52 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 13. Deposits and other borrowings (continued)

Certificates of deposit and term deposits

Uninsured deposits refer to deposits that are in excess of, or ineligible for, a government based deposit insurance scheme in their relevant country of domicile. For the Group, this primarily relates to deposit in excess of, or ineligible for, the Australian Government’s Financial Claims Scheme (FCS) limit. The table below shows the balances of uninsured certificates of deposits and term deposits by remaining maturity:

Over

Over

Consolidated

Up to

3 months to

6 months to

Over

$m

3 months

6 months

1 year

1 year

Total

Certificates of deposit in excess of insured amounts

Australia

23,825

6,076

587

19

30,507

New Zealand

2,083

474

31

-

2,588

Other overseas

4,188

6,729

2,283

-

13,200

Total certificates of deposit in excess of insured amounts

30,096

13,279

2,901

19

46,295

Term deposits in excess of insured amounts

Australia

46,781

20,060

21,444

4,795

93,080

New Zealand

12,256

8,317

6,472

1,378

28,423

Other overseas

4,635

247

473

158

5,513

Total term deposits in excess of insured amounts

63,672

28,624

28,389

6,331

127,016

Interbank term deposits in excess of insured amounts 1

Australia

3,264

555

9

-

3,828

New Zealand

25

-

-

-

25

Other overseas

-

-

-

30

30

Total interbank term deposits in excess of insured amounts

3,289

555

9

30

3,883

1. Interbank term deposits are included in Note 20. .

WESTPAC GROUP 2022 ANNUAL REPORT 53

Notes to the financial statements

Note 14. Debt issues

Accounting policy

Debt issues are bonds, notes, commercial paper and debentures that have been issued by entities in the Group.

Debt issues are initially measured at fair value and subsequently either measured at amortised cost using the effective interest method or at fair value.

Debt issues are designated at fair value if they reduce or eliminate an accounting mismatch or contain an embedded derivative.

The change in the fair value that is due to credit risk is recognised in OCI except where it would create an accounting mismatch, in which case it is also recognised in non-interest income.

Refer to Note 23 for balances measured at fair value and amortised cost.

Interest expense incurred is recognised within net interest income using the effective interest method.

In the following table, the distinction between short-term (12 months or less) and long-term (greater than 12 months) debt is based on the original maturity of the underlying security.

Consolidated

Parent Entity

$m

2022

2021

2022

2021

Short-term debt

Own issuances

30,332

19,595

25,498

16,752

Total short-term debt

30,332

19,595

25,498

16,752

Long-term debt

Covered bonds

31,802

31,374

28,664

27,234

Senior

77,219

72,804

67,635

64,224

Securitisation

4,973

5,000

-

-

Structured notes

-

6

-

-

Subordinated perpetual notes 1

542

-

542

-

Total long-term debt

114,536

109,184

96,841

91,458

Total debt issues

144,868

128,779

122,339

108,210

Movement reconciliation ($m)

Balance as at beginning of year

128,779

150,325

108,210

127,666

Issuances

73,309

46,799

58,657

37,868

Maturities, repayments, buy-backs and reductions

( 55,899 )

( 65,272 )

( 44,222 )

( 54,425 )

Total cash movements

17,410

( 18,473 )

14,435

( 16,557 )

FX translation impact

6,118

( 1,428 )

6,188

( 1,311 )

Fair value adjustments

( 566 )

( 115 )

( 557 )

( 115 )

Fair value hedge accounting adjustments

( 7,561 )

( 1,674 )

( 6,583 )

( 1,607 )

Other 1

688

144

646

134

Total non-cash movements

( 1,321 )

( 3,073 )

( 306 )

( 2,899 )

Balance as at end of year

144,868

128,779

122,339

108,210

1. In 2022, subordinated perpetual notes of $ 542 million were reclassified from loan capital to debt issues as these notes no longer qualify as Tier 2 capital under APRA's capital adequacy framework.

54 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 14. Debt issues (continued)

Consolidated

$m

2022

2021

Short-term debt

Own issuances:

US commercial paper

29,252

19,595

Senior Debt:

GBP

770

-

USD

154

-

Other

156

-

Total short-term debt

30,332

19,595

Long-term debt (by currency):

AUD

30,758

27,634

CHF

3,261

3,052

EUR

26,002

31,380

GBP

3,092

3,049

JPY

913

1,141

NZD

2,966

3,522

USD

45,471

36,031

Other

2,073

3,375

Total long-term debt

114,536

109,184

The Group manages FX exposure from debt issuances as part of its hedging activities. Further details of the Group’s hedge accounting are in Note 21.

Note 15. Loan capital

Accounting policy

Loan capital are instruments issued by the Group which qualify for inclusion as regulatory capital under the standards issued by the prudential regulator in the relevant jurisdiction. Loan capital is initially measured at fair value and subsequently measured at amortised cost using the effective interest method. Interest expense incurred is recognised in net interest income.

Consolidated

Parent Entity

$m

2022

2021

2022

2021

Additional Tier 1 (AT1) loan capital

Westpac capital notes

8,046

8,403

8,046

8,403

USD AT1 securities

1,749

1,813

1,749

1,813

Total AT1 loan capital

9,795

10,216

9,795

10,216

Tier 2 loan capital

Subordinated notes

21,459

18,362

20,939

18,362

Subordinated perpetual notes 1

-

489

-

489

Total Tier 2 loan capital

21,459

18,851

20,939

18,851

Total loan capital

31,254

29,067

30,734

29,067

Movement reconciliation ($m)

Balance as at beginning of year

29,067

23,949

29,067

23,949

Issuances

6,527

7,628

6,007

7,628

Maturities, repayments, buy-backs and reductions

( 2,344 )

( 1,548 )

( 2,344 )

( 1,548 )

Total cash movements

4,183

6,080

3,663

6,080

FX translation impact

1,723

( 86 )

1,723

( 86 )

Fair value hedge accounting adjustments

( 3,254 )

( 902 )

( 3,254 )

( 902 )

Other 1

( 465 )

26

( 465 )

26

Total non-cash movements

( 1,996 )

( 962 )

( 1,996 )

( 962 )

Balance as at end of year

31,254

29,067

30,734

29,067

1. In 2022, subordinated perpetual notes of $ 542 million were reclassified from loan capital to debt issues as these notes no longer qualify as Tier 2 capital under APRA's capital adequacy framework.

WESTPAC GROUP 2022 ANNUAL REPORT 55

Notes to the financial statements

Note 15. Loan capital (continued)

Additional Tier 1 loan capital

A summary of the key terms and common features of AT1 instruments is provided below 1 .

Consolidated and Parent Entity

Potential scheduled

Optional

$m

Distribution or interest rate

conversion date 2

redemption date 3

2022

2021

Westpac capital notes (WCN)

AUD 1,311 million WCN2

(3-month BBSW rate + 3.05 % p.a.)

23 September 2024

23 September 2022 4

-

1,309

x (1 - Australian corporate tax rate)

AUD 1,702 million WCN4

(3-month BBSW rate + 4.90 % p.a.)

20 December 2023

20 December 2021 5

-

549

x (1 - Australian corporate tax rate)

AUD 1,690 million WCN5

(3-month BBSW rate + 3.20 % p.a.)

22 September 2027

22 September 2025

1,684

1,682

x (1 - Australian corporate tax rate)

AUD 1,423 million WCN6

(3-month BBSW rate + 3.70 % p.a.)

31 July 2026

31 July 2024

1,419

1,417

x (1 - Australian corporate tax rate)

AUD 1,723 million WCN7

(3-month BBSW rate + 3.40 % p.a.)

22 March 2029

22 March 2027

1,711

1,709

x (1 - Australian corporate tax rate)

AUD 1,750 million WCN8

(3-month BBSW rate + 2.90 % p.a.)

21 June 2032

21 September 2029

1,738

1,737

x (1 - Australian corporate tax rate)

AUD 1,509 million WCN9

(3-month BBSW rate + 3.40 % p.a.)

22 June 2031

22 September 2028

1,494

-

x (1 - Australian corporate tax rate)

Total WCN

8,046

8,403

USD AT1 securities

USD 1,250 million USD AT1 securities

5.00 % p.a. until but excluding 21

n/a

21 September 2027

1,749

1,813

September 2027 (first reset date). If

not redeemed, converted or written-

off earlier, from, and including, each

reset date 6 to, but excluding, the

next succeeding reset date, at a

fixed rate p.a. equal to the prevailing

5-year USD mid-market swap rate

plus 2.89 % p.a.

Total USD AT1 securities

1,749

1,813

1.

AUD unless otherwise noted.

2.

Conversion is subject to the satisfaction of the scheduled conversion conditions. If the conversion conditions are not satisfied on the relevant scheduled conversion date, conversion will not occur until the next distribution payment date on which the scheduled conversion conditions are satisfied, if ever.

3.

Certain AT1 securities may have more than one optional redemption date and for the purposes of the table above the first optional redemption date is shown. Westpac may elect to redeem the relevant AT1 instrument on the optional redemption date or dates, subject to APRA’s prior written approval.

4.

On 20 July 2022, AUD 689 million of WCN2 were transferred to the WCN2 nominated party for AUD 100 each pursuant to the WCN9 reinvestment offer. Those WCN2 were subsequently redeemed and cancelled by Westpac. On 23 September 2022, the outstanding AUD 622 million of WCN2 were redeemed and cancelled by Westpac for AUD 100 each.

5.

On 15 September 2021, AUD 1,152 million of WCN4 were transferred to the WCN4 nominated party for AUD 100 each pursuant to the WCN8 reinvestment offer. Those WCN4 were subsequently redeemed and cancelled by Westpac. On 20 December 2021, the outstanding AUD 550 million of WCN4 were redeemed and cancelled by Westpac for AUD 100 each.

6.

Every fifth anniversary after the first reset date is a reset date.

Common features of AT1 instruments issued by Westpac Banking Corporation

Payment conditions

Quarterly distributions on the Westpac capital notes and semi-annual interest payments on the USD AT1 securities are discretionary and will only be paid if the payment conditions are satisfied, including that the payment will not result in a breach of Westpac’s capital requirements under APRA’s prudential standards; not result in Westpac becoming, or being likely to become, insolvent; and if APRA does not object to the payment.

Broadly, if for any reason a distribution or interest payment has not been paid in full on the relevant payment date, Westpac must not determine or pay any dividends on Westpac ordinary shares or undertake a discretionary buy-back or capital reduction of Westpac ordinary shares, unless the unpaid amount is paid in full within 20 business days of the relevant payment date or in certain other circumstances.

56 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 15. Loan capital (continued)

The AT1 instruments convert into Westpac ordinary shares in the following circumstances:

Scheduled Conversion

On the scheduled conversion date, provided certain conversion conditions are satisfied, it is expected that the relevant AT1 instrument 1 will be converted and holders will receive a variable number of Westpac ordinary shares calculated using the formula described in the terms of the relevant AT1 instrument, subject to a maximum conversion number. The conversion number of Westpac ordinary shares will be calculated using the face value of the relevant AT1 instrument and the Westpac ordinary share price determined over the 20 business day period prior to the scheduled conversion date, including a 1 % discount.

Capital Trigger Event or Non-Viability Trigger Event

Westpac will be required to convert some or all AT1 instruments into a variable number of Westpac ordinary shares upon the occurrence of a capital trigger event or non-viability trigger event. No conversion conditions apply in these circumstances.

A capital trigger event occurs when Westpac determines, or APRA notifies Westpac in writing that it believes, Westpac’s Common Equity Tier 1 Capital ratio is equal to or less than 5.125 % (on a Level 1 or Level 2 basis 2 ).

A non-viability trigger event will occur when APRA notifies Westpac in writing that it believes conversion of AT1 instruments (or conversion, write-off or write-down of relevant capital instruments of the Westpac Group), or public sector injection of capital (or equivalent support), in each case is necessary because without it, Westpac would become non-viable.

For each AT1 instrument converted, holders will receive a variable number of Westpac ordinary shares calculated using the formula described in the terms of the relevant AT1 instrument, subject to a maximum conversion number. The conversion number of Westpac ordinary shares is calculated using the face value or outstanding principal amount of the relevant AT1 instrument and the Westpac ordinary share price determined over the five business day period prior to the capital trigger event date or non-viability trigger event date and includes a 1 % discount. For each AT1 instrument, the maximum conversion number is set using a Westpac ordinary share price which is broadly equivalent to 20 % of the Westpac ordinary share price at the time of issue.

Following the occurrence of a capital trigger event or non-viability trigger event, if conversion of an AT1 instrument does not occur within five business days, holders’ rights in relation to the relevant AT1 instrument will be immediately and irrevocably terminated.

C onversion in other circumstances

Westpac is able to elect to convert 3 , or may be required to convert 3 , AT1 instruments early in certain circumstances. The terms of conversion and the conversion conditions are broadly similar to scheduled conversion, however the share price floor in the maximum conversion number will depend on the conversion event.

Early Redemption

Westpac is able to elect to redeem the relevant AT1 instrument on the optional redemption dates or for certain taxation or regulatory reasons , subject to APRA’s prior written approval.

1. Scheduled conversion does not apply to USD AT1 securities.
2. Level 1 comprises Westpac Banking Corporation and its subsidiary entities that have been approved by APRA as being part of a single ‘Extended Licensed Entity’ for the purpose of measuring capital adequacy. Level 2 is the consolidation of Westpac Banking Corporation and all its subsidiary entities except those entities specifically excluded by APRA regulations. The head of the Level 2 group is Westpac Banking Corporation.
3. Excludes USD AT1 securities.

WESTPAC GROUP 2022 ANNUAL REPORT 57

Notes to the financial statements

Note 15. Loan capital (continued)

Tier 2 loan capital

A summary of the key terms and common features of the Group’s Tier 2 instruments is provided below 1 :

Optional

$m

Interest rate 2

Maturity date

redemption date 3

2022

2021

Subordinated notes issued by Westpac Banking Corporation

AUD 350 million

4.50 % p.a. until but excluding 11 March 2022.

11 March 2027

11 March 2022 4

-

351

subordinated notes

Thereafter, if not redeemed, a fixed rate p.a.

equal to the five-year AUD semi-quarterly mid-swap

reference rate plus 1.95 % p.a., the sum of which will

be annualised.

SGD 325 million

4.00 % p.a. until but excluding 12 August 2022.

12 August 2027

12 August 2022 4

-

337

subordinated notes

Thereafter, if not redeemed, a fixed rate p.a.

equal to the five-year SGD swap offer rate plus 1.54 %

p.a.

AUD 175 million

4.80 % p.a. until but excluding 14 June 2023.

14 June 2028

14 June 2023

172

181

subordinated notes

Thereafter, if not redeemed, a fixed rate p.a.

equal to the five-year AUD semi-quarterly mid-swap

reference rate plus 2.65 % p.a., each of which will be

annualised.

USD 100 million

Fixed 5.00 % p.a.

23 February 2046

n/a

121

148

subordinated notes

JPY 20,000 million

Fixed 1.16 % p.a.

19 May 2026

n/a

212

249

subordinated notes

JPY 10,200 million

Fixed 1.16 % p.a.

2 June 2026

n/a

108

127

subordinated notes

JPY 10,000 million

Fixed 0.76 % p.a.

9 June 2026

n/a

106

124

subordinated notes

JPY 8,000 million

0.9225 % p.a. until but excluding 7 October 2021.

7 October 2026

7 October 2021 4

-

99

subordinated notes

Thereafter, if not redeemed, a fixed rate p.a.

equal to the five-year JPY mid-swap rate plus

1.0005 % p.a.

USD 1,500 million

4.322 % p.a. until but excluding 23 November 2026.

23 November 2031

23 November 2026

2,134

2,181

subordinated notes

Thereafter, if not redeemed, a fixed rate p.a.

equal to the five-year USD mid-swap rate plus 2.236 %

p.a.

JPY 12,000 million

0.87 % p.a. until but excluding 6 July 2022. Thereafter,

6 July 2027

6 July 2022 4

-

149

subordinated notes

if not redeemed, a fixed rate p.a. equal to the

five-year JPY mid-swap rate plus 0.78 % p.a.

JPY 13,500 million

0.868 % p.a. until but excluding 6 July 2022.

6 July 2027

6 July 2022 4

-

168

subordinated notes

Thereafter, if not redeemed, a fixed rate p.a.

equal to the five-year JPY mid-swap rate plus 0.778 %

p.a.

HKD 600 million

3.15 % p.a. until but excluding 14 July 2022. Thereafter,

14 July 2027

14 July 2022 4

-

108

subordinated notes

if not redeemed, a fixed rate p.a. equal to the

five-year HKD mid-swap rate plus 1.34 % p.a.

AUD 350 million

4.334 % p.a. until but excluding 16 August 2024.

16 August 2029

16 August 2024

350

350

subordinated notes

Thereafter, if not redeemed, a fixed rate p.a.

equal to the five-year AUD semi-quarterly mid-swap

reference rate plus 1.83 % p.a., each of which will be

annualised.

AUD 185 million

Fixed 5.00 % p.a.

24 January 2048

n/a

184

185

subordinated notes

AUD 250 million

3-month BBSW rate + 1.40 % p.a.

16 February 2028

16 February 2023

248

250

subordinated notes

AUD 130 million

Fixed 5.00 % p.a.

2 March 2048

n/a

130

130

subordinated notes

AUD 725 million

3-month BBSW rate + 1.80 % p.a.

22 June 2028

22 June 2023

722

724

subordinated notes

USD 1,000 million

Fixed 4.421 % p.a.

24 July 2039

n/a

1,257

1,481

subordinated notes

1.

Excludes subordinated perpetual notes.

2.

Interest payments are made periodically as set out in the terms of the subordinated notes.

3.

Certain Tier 2 instruments may have more than one optional redemption date and for the purposes of the table above the first optional redemption date is shown. Westpac Banking Corporation may elect to redeem the relevant Tier 2 instrument on the optional redemption date or dates, subject to APRA’s prior written approval.

4.

The subordinated notes were redeemed in full on the optional redemption date.

58 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 15. Loan capital (continued)

Tier 2 loan capital (continued)

A summary of the key terms and common features of the Group’s Tier 2 instruments is continued below 1 :

Optional

$m

Interest rate 2

Maturity date

redemption date 3

2022

2021

Subordinated notes issued by Westpac Banking Corporation

USD 1,250 million

4.110 % p.a. until but excluding 24 July 2029.

24 July 2034

24 July 2029

1,708

1,813

subordinated notes

Thereafter, if not redeemed a fixed rate p.a. equal to

the five-year USD treasury rate plus 2 % p.a.

AUD 1,000 million

3-month BBSW rate + 1.98 % p.a.

27 August 2029

27 August 2024

998

999

subordinated notes

USD 1,500 million

2.894 % p.a. until but excluding 4 February

4 February 2030

4 February 2025

2,166

2,133

subordinated notes

2025. Thereafter, if not redeemed, a fixed rate p.a.

equal to the five-year USD treasury rate plus

1.350 % p.a.

USD 1,500 million

2.668 % p.a. until but excluding 15 November 2030.

15 November 2035

15 November 2030

1,835

1,970

subordinated notes

Thereafter, if not redeemed, a fixed rate p.a. equal to

the five-year USD treasury rate plus 1.750 % p.a.

USD 1,000 million

Fixed 2.963 % p.a.

16 November 2040

n/a

1,054

1,264

subordinated notes

AUD 1,250 million

3-month BBSW rate + 1.55 % p.a.

29 January 2031

29 January 2026

1,239

1,237

subordinated notes

EUR 1,000 million

0.766 % p.a. until but excluding 13 May 2026.

13 May 2031

13 May 2026

1,342

1,604

subordinated notes

Thereafter, if not redeemed, a fixed rate p.a. equal to

the prevailing 5-year EUR mid-market swap rate plus 1.05 % p.a.

USD 1,000 million

Fixed 3.133 % p.a.

18 November 2041

n/a

1,118

-

subordinated notes

USD 1,250 million

3.020 % p.a. until but excluding 18 November 2031.

18 November 2036

18 November 2031

1,579

-

subordinated notes

Thereafter, if not redeemed, a fixed rate p.a. equal to

the five-year USD treasury rate plus 1.53 % p.a.

JPY 26,000 million

1.25 % p.a. until but excluding 8 June 2027. Thereafter,

8 June 2032

8 June 2027

275

-

subordinated notes

if not redeemed, a fixed rate p.a. equal to the five-

year Japanese government bond rate plus 1.25 % p.a.

USD 1,000 million

5.405 % p.a. until but excluding 10 August 2032.

10 August 2033

10 August 2032

1,411

-

subordinated notes

Thereafter, if not redeemed, a fixed rate p.a. equal to

the one-year USD treasury rate plus 2.68 % p.a.

SGD 450 million

4.65 % p.a. until but excluding 7 September 2027.

7 September 2032

7 September 2027

470

-

subordinated notes

Thereafter, if not redeemed, a fixed rate p.a. equal

to the prevailing five-year SORA Overnight Indexed Swap rate plus

1.751 % p.a.

Total subordinated notes issued by Westpac Banking Corporation

20,939

18,362

Subordinated notes issued by Westpac New Zealand Limited 4

NZD 600 million

Fixed 6.19 % until but excluding 16 September 2027.

16 September 2032

16 September 2027

520

-

subordinated notes

Thereafter, if not redeemed a fixed rate p.a. equal to

and every interest

the prevailing New Zealand 3-month Bank bill rate +

payment date

2.10 % p.a.

thereafter

Total subordinated notes issued by Westpac New Zealand

520

-

Total subordinated notes

21,459

18,362

1.

Excludes subordinated perpetual notes.

2.

Interest payments are made periodically as set out in the terms of the subordinated notes.

3.

Certain Tier 2 instruments issued by Westpac Banking Corporation may have more than one optional redemption date and for the purposes of the table above the first optional redemption date is shown. Westpac Banking Corporation may elect to redeem the relevant Tier 2 instrument on the optional redemption date or dates, subject to APRA's prior written approval.

4.

For subordinated notes issued by Westpac New Zealand Limited, it may elect to redeem all or some of the Tier 2 instruments for their face value together with accrued interest (if any) on the optional redemption date or any interest payment date thereafter, subject to RBNZ’s prior written approval. Early redemption of all of the Tier 2 instruments for certain tax or regulatory reasons is permitted on an interest payment date subject to the RBNZ’s prior written approval.

Common features of subordinated notes

Issued by Westpac Banking Corporation

Interest payments are subject to Westpac being solvent at the time of, and immediately following, the interest payment. These subordinated notes contain non-viability loss absorption requirements.

Non-viability trigger event

Westpac will be required to convert some or all subordinated notes into a variable number of Westpac ordinary shares upon the occurrence of a non-viability trigger event. A non-viability trigger event will occur on similar terms as described under AT1 loan capital.

WESTPAC GROUP 2022 ANNUAL REPORT 59

Notes to the financial statements

Note 15. Loan capital (continued)

Tier 2 loan capital (continued)

For each subordinated note converted, holders will receive a variable number of Westpac ordinary shares calculated using the formula described in the terms of the relevant Tier 2 instrument, subject to a maximum conversion number. The conversion number of Westpac ordinary shares will be calculated in a manner similar to that described under AT1 loan capital for a non-viability trigger event. For each Tier 2 instrument, the maximum conversion number is set using a Westpac ordinary share price which is broadly equivalent to 20 % of the Westpac ordinary share price at the time of issue.

Following the occurrence of a non-viability trigger event, if conversion of a Tier 2 instrument does not occur within five business days, holders’ rights in relation to the relevant Tier 2 instrument will be immediately and irrevocably terminated.

Issued by Westpac New Zealand Limited

Interest payments are subject to Westpac New Zealand Limited being solvent at the time of, and immediately following, the interest payment.

Non-viability trigger event

Tier 2 instruments issued by Westpac New Zealand Limited do not have a non-viability trigger event. These instruments qualify as Tier 2 capital under the RBNZ capital adequacy framework but not under APRA’s capital adequacy framework.

Subordinated perpetual notes issued by Westpac Banking Corporation

These notes have no final maturity but Westpac can choose to redeem them at par on any interest payment date falling on or after September 1991, subject to APRA approval and certain other conditions. Interest is cumulative and payable on the notes semi-annually at a rate of 6-month US$ LIBOR plus 0.15 % p.a., subject to Westpac being solvent immediately after making the payment and having paid any dividend on any class of share capital of Westpac within the prior 12 -month period.

The rights of the noteholders and coupon holders are subordinated to the claims of all creditors (including depositors) of Westpac other than creditors whose claims against Westpac rank equally with, or junior to, these notes.

In 2022, these instruments were reclassified from loan capital to debt issues as they no longer qualify as Tier 2 capital under APRA's capital adequacy framework.

Note 16. Securitisation , covered bonds and other transferred assets

The Group enters into transactions in the normal course of business by which financial assets are transferred to counterparties or structured entities. Depending on the circumstances, these transfers may result in derecognition of the assets in their entirety, partial derecognition or no derecognition of the assets subject to the transfer. For the Group’s accounting policy on derecognition of financial assets refer to the notes to the financial statements section before Note 10 titled ‘Financial assets and financial liabilities’. Refer to Note 1 for accounting policy changes in internal securitisation.

Securitisation

Securitisation is the transferring of assets (or an interest in either the assets or the cash flows arising from the assets) to a structured entity which then issues the majority of interest bearing debt securities to third party investors for funding deals and to Westpac for liquidity deals.

Securitisation of its own assets is used by Westpac as a funding and liquidity tool.

For securitisation structured entities which Westpac controls, as defined in Note 31, the structured entities are classified as subsidiaries and consolidated. When assessing whether Westpac controls a structured entity, it considers its exposure to and ability to affect variable returns. Westpac may have variable returns from a structured entity through ongoing exposures to the risks and rewards associated with the assets, the provision of derivatives, liquidity facilities, trust management and operational services.

Undrawn funding and liquidity facilities of $ 406 million (2021 : $ 435 million) were provided by Westpac for the securitisation of its own assets.

Covered bonds

The Group has two covered bond programs relating to Australian residential mortgages (Australian Program) and New Zealand residential mortgages (New Zealand Program). Under these programs, selected pools of residential mortgages are assigned to bankruptcy remote structured entities which provide guarantees on the payments to bondholders. Through the guarantees and derivatives with the structured entities, Westpac has variable returns from these structured entities and consolidates them.

60 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 16. Securitisation, covered bonds and other transferred assets (continued)

Repurchase agreements

Where securities are sold subject to an agreement to repurchase at a predetermined price, they remain recognised in the balance sheet in their original category (i.e. Trading securities or Investment securities) .

The cash consideration received is recognised as a liability (Repurchase agreements). Refer to Note 20 for further details.

The following tables present Westpac’s assets transferred and their associated liabilities.

For those liabilities that only have

recourse to the transferred assets:

Carrying

Carrying

Fair

Fair

amount of

amount of

value of

value of

Net fair

transferred

associated

transferred

associated

value

$m

assets

liabilities

assets

liabilities

position

Consolidated

2022

Securitisation 1

5,001

4,973

4,955

4,932

23

Covered bonds 2

45,809

31,802

n/a

n/a

n/a

Repurchase agreements

57,934

41,257

n/a

n/a

n/a

Total

108,744

78,032

4,955

4,932

23

2021

Securitisation 1

5,016

5,000

5,035

5,044

( 9 )

Covered bonds 2

35,287

31,374

n/a

n/a

n/a

Repurchase agreements

52,213

35,899

n/a

n/a

n/a

Total

92,516

72,273

5,035

5,044

( 9 )

Parent Entity

2022

Securitisation 1

6,004

5,961

5,948

5,919

29

Covered bonds 2

39,179

28,664

n/a

n/a

n/a

Repurchase agreements

53,512

37,764

n/a

n/a

n/a

Total

98,695

72,389

5,948

5,919

29

2021

Securitisation 1,3

6,189

6,172

6,212

6,193

19

Covered bonds 2

28,109

27,234

n/a

n/a

n/a

Repurchase agreements

49,262

33,346

n/a

n/a

n/a

Total 3

83,560

66,752

6,212

6,193

19

1.

The carrying amount of assets securitised exceeds the amount of notes issued primarily because the carrying amount includes both principal and income received from the transferred assets.

2.

The difference between the carrying values of covered bonds and the assets pledged reflects the over-collateralisation required to maintain the ratings of the covered bonds and also additional assets to allow immediate issuance of additional covered bonds if required. These additional assets can be repurchased by Westpac at its discretion, subject to the conditions set out in the transaction documents.

3.

Comparative has been restated due to a change in accounting policy. Refer to Note 1(a)(iii) for further details.

WESTPAC GROUP 2022 ANNUAL REPORT 61

Notes to the financial statements

Other financial instrument disclosures

Note 17. Trading securities and financial assets measured at FVIS

Accounting policy

Trading securities

Trading securities include actively traded debt (government and other) and equity instruments and those acquired for sale in the near term.

As part of its trading activities, the Group also lends and borrows securities on a collateralised basis. Securities lent remain on the Group’s balance sheet and securities borrowed are not reflected on the Group’s balance sheet, as the risks and rewards of ownership remain with the initial holder. Where cash is provided as collateral, the amount advanced to or received from third parties is recognised as a receivable in collateral paid or as a borrowing in collateral received respectively.

Reverse repurchase agreements

Securities purchased under these agreements are not recognised in the balance sheet, as Westpac has not obtained the risks and rewards of ownership. The cash consideration paid is recognised as a reverse repurchase agreement, which forms part of a trading portfolio that is measured at fair value.

Other financial assets measured at FVIS

Other financial assets measured at FVIS include:

non-trading securities managed on a fair value basis;
non-trading debt securities that do not have contractual cash flows that represent SPPI on the principal balance outstanding; or
non-trading equity securities for which we have not made irrevocable designation to be measured at FVOCI.

Gains and losses on these financial assets are recognised in the income statement. Interest earned from debt securities is recognised in interest income (Note 3) while dividends on equity securities are recognised in non-interest income (Note 4).

Consolidated

Parent Entity

$m

2022

2021

2022

2021

Trading securities

Government and semi-government securities

7,026

11,432

6,159

9,535

Other debt securities

5,173

3,064

4,175

2,960

Equity securities

-

3

-

3

Other

747

520

747

520

Total trading securities

12,946

15,019

11,081

13,018

Reverse repurchase agreements

8,988

2,937

8,988

2,763

Other financial assets measured at FVIS

Other debt securities

2,391

3,038

2,342

2,975

Equity securities

7

107

6

23

Total other financial assets measured at FVIS

2,398

3,145

2,348

2,998

Total trading securities and financial assets measured at FVIS

24,332

21,101

22,417

18,779

62 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 18. Investment securities

Accounting policy

Investment securities include debt securities (government and other) and equity securities. It includes debt and equity securities that are measured at FVOCI and debt securities measured at amortised cost. These instruments are classified based on the criteria disclosed under the heading “Financial assets and financial liabilities” prior to Note 10.

Debt securities measured at FVOCI

Includes debt instruments that have contractual cash flows which represent SPPI on the principal balance outstanding and they are held within a business model whose objective is achieved both through collecting these cash flows or selling the financial asset.

These securities are measured at fair value with gains and losses recognised in OCI except for interest income, impairment charges, FX gains and losses and fair value hedge adjustments which are recognised in the income statement.

Impairment is measured using the same ECL model applied to financial assets measured at amortised cost. Impairment is recognised in the income statement with a corresponding amount in OCI with no reduction of the carrying value of the debt security which remains at fair value. Refer to Note 11 for further details.

The cumulative gain or loss recognised in OCI is subsequently recognised in the income statement when the instrument is disposed.

Debt securities measured at amortised cost

Include debt instruments that have contractual cash flows which represent SPPI on the principal balance outstanding and are held within a business model whose objective is achieved through holding the financial asset to collect these cash flows.

These securities are initially recognised at fair value plus directly attributable transaction costs. They are subsequently measured at amortised cost using the effective interest method and are presented net of any provision for ECL.

Equity securities

Equity securities are measured at FVOCI where they are not held for trading, the Group does not have control or significant influence over the investee and where an irrevocable election is made to measure them at FVOCI.

These securities are measured at fair value with unrealised gains and losses recognised in OCI except for dividend income which is recognised in the income statement. The cumulative gain or loss recognised in OCI is not subsequently recognised in the income statement when the instrument is disposed.

Consolidated

Parent Entity

$m

2022

2021

2022

2021

Investment securities

Investments securities measured at FVOCI

Government and semi-government debt securities

60,427

66,421

57,233

63,057

Other debt securities

14,467

15,784

12,709

14,682

Equity securities

390

277

157

75

Total investment securities measured at FVOCI 1

75,284

82,482

70,099

77,814

Investment securities measured at amortised cost

Government and semi-government debt securities

1,185

900

77

48

Other debt securities

2

38

2

2

Total investment securities measured at amortised cost

1,187

938

79

50

Provision for ECL on debt securities at amortised cost

( 6 )

( 3 )

( 2 )

( 1 )

Total net investment securities measured at amortised cost

1,181

935

77

49

Total investment securities

76,465

83,417

70,176

77,863

1.

Impairment is recognised in the income statement with a corresponding amount in OCI (refer to Note 27). There is no reduction of the carrying value of the debt securities which remains at fair value.

WESTPAC GROUP 2022 ANNUAL REPORT 63

Notes to the financial statements

Note 18 Investment securities (continued)

The following table shows the maturities and the weighted average yield of the Group’s outstanding investment securities as at 30 September 2022. There are no tax-exempt securities.

Over 1

Over 5

Up to

year to 5

years to

Over

No specific

Weighted

1 year

years

10 years

10 years

maturity

Total

average

2022

$m

%

$m

%

$m

%

$m

%

$m

%

$m

%

Carrying Amount

Government and semi-government securities

17,052

1.5

28,932

1.2

13,679

1.6

1,943

1.6

-

-

61,606

1.3

Other debt securities

3,609

1.4

10,816

1.6

44

5.0

-

-

-

-

14,469

1.5

Equity securities

-

-

-

-

-

-

-

-

390

-

390

-

Total by maturity

20,661

39,748

13,723

1,943

390

76,465

The maturity profile is determined based upon contractual terms for investment securities.

Note 19. Other financial assets

Consolidated

Parent Entity

$m

2022

2021

2022

2021

Accrued interest receivable

1,266

720

1,123

624

Securities sold not delivered

2,521

3,542

2,521

3,542

Trade debtors

619

574

503

397

Interbank lending

223

592

218

73

Clearing and settlement balances

477

564

447

524

Accrued fees and commissions

369

264

265

187

Other

151

138

151

139

Total other financial assets

5,626

6,394

5,228

5,486

64 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 20. Other financial liabilities

Accounting policy

Other financial liabilities include liabilities measured at amortised cost as well as liabilities which are measured at FVIS. Financial liabilities measured at FVIS include:

trading liabilities (i.e. securities sold short); and

liabilities designated at FVIS (i.e. certain repurchase agreements).

Refer to Note 23 for balances measured at fair value and amortised cost.

Repurchase agreements

Where securities are sold subject to an agreement to repurchase at a predetermined price, they remain recognised in the balance sheet in their original category (i.e. ‘Trading securities’ or ‘Investment securities’).

The cash consideration received is recognised as a liability (‘Repurchase agreements’). Repurchase agreements are designated at fair value where they are managed as part of a trading portfolio, otherwise they are measured on an amortised cost basis.

Where a repurchase agreement is designated at fair value, subsequent to initial recognition, these liabilities are measured at fair value with changes in fair value (except credit risk) recognised through the income statement as they arise. The change in fair value that is attributable to credit risk is recognised in OCI except where it would create an accounting mismatch, in which case it is also recognised through the income statement.

Consolidated

Parent Entity

$m

2022

2021

2022

2021

Repurchase agreements

41,257

35,899

37,764

33,346

Interbank placements

4,893

4,080

4,888

4,079

Accrued interest payable

1,738

944

1,474

829

Securities purchased not delivered

1,880

3,286

1,880

3,286

Trade creditors and other accrued expenses

1,045

1,392

893

1,124

Settlement and clearing balances

729

708

718

695

Securities sold short

3,345

2,331

3,345

2,331

Other

1,473

1,669

1,390

1,573

Total other financial liabilities

56,360

50,309

52,352

47,263

WESTPAC GROUP 2022 ANNUAL REPORT 65

Notes to the financial statements

Note 21. Derivative financial instruments

Accounting policy

Derivative financial instruments are instruments whose values are derived from the value of an underlying asset, reference rate or index and include forwards, futures, swaps and options.

The Group uses derivative financial instruments for meeting customers’ needs, our Asset and Liability Management (ALM) activities, and undertaking market making and positioning activities.

Trading derivatives

Derivatives which are used in our ALM activities but are not designated into a hedge accounting relationship are considered economic hedges, and are adjusted for cash earnings purposes due to the accounting mismatch between the fair value of the derivatives and the accounting treatment of the underlying exposure (refer to Note 2 for further details). These derivatives, along with derivatives used for meeting customers’ needs and undertaking market making and positioning activities, are measured at FVIS and are disclosed as trading derivatives.

Hedging derivatives

Hedging derivatives are those which are used in our ALM activities and have also been designated into one of three hedge accounting relationships: fair value hedge; cash flow hedge; or hedge of a net investment in a foreign operation. These derivatives are measured at fair value. These hedge designations and the associated accounting treatment are detailed below.

For more details regarding the Group’s ALM activities, refer to Note 22.

Fair value hedges

Fair value hedges are used to hedge the exposure to changes in the fair value of an asset or liability.

Changes in the fair value of derivatives and the hedged asset or liability in fair value hedges are recognised in interest income. The carrying value of the hedged asset or liability is adjusted for the changes in fair value related to the hedged risk.

If a hedge is discontinued, any fair value adjustments to the carrying value of the asset or liability are amortised to net interest income over the period to maturity. If the asset or liability is sold, any unamortised adjustment is immediately recognised in net interest income.

Cash flow hedges

Cash flow hedges are used to hedge the exposure to variability of cash flows attributable to an asset, liability or future forecast transaction.

For effective hedges, changes in the fair value of derivatives are recognised in the cash flow hedge reserve through OCI and subsequently recognised in interest income when the cash flows attributable to the asset or liability that was hedged impact the income statement.

For hedges with some ineffectiveness, the changes in the fair value of the derivatives relating to the ineffective portion are immediately recognised in interest income.

If a hedge is discontinued, any cumulative gain or loss remains in OCI. It is amortised to net interest income over the period in which the asset or liability that was hedged also impacts the income statement.

If a hedge of a forecast transaction is no longer expected to occur, any cumulative gain or loss in OCI is immediately recognised in net interest income.

Net investment hedges

Net investment hedges are used to hedge FX risks arising from a net investment of a foreign operation.

For effective hedges, changes in the fair value of derivatives are recognised in the foreign currency translation reserve through OCI.

For hedges with some ineffectiveness, the changes in the fair value of the derivatives relating to the ineffective portion are immediately recognised in non-interest income.

If a foreign operation is disposed of, any cumulative gain or loss in OCI is immediately recognised in non-interest income.

66 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 21. Derivative financial instruments (continued)

Total derivatives

The carrying values of derivative instruments are set out in the tables below.

Total derivatives

Consolidated

Trading

Hedging

carrying value

$m

Assets

Liabilities

Assets

Liabilities

Assets

Liabilities

2022

Interest rate contracts 1

Forward rate agreements

-

-

-

-

-

-

Swap agreements

62,828

( 65,231 )

6,171

( 10,002 )

68,999

( 75,233 )

Options

335

( 379 )

-

-

335

( 379 )

Total interest rate contracts

63,163

( 65,610 )

6,171

( 10,002 )

69,334

( 75,612 )

FX contracts

Spot and forward contracts

18,609

( 17,633 )

28

( 55 )

18,637

( 17,688 )

Cross currency swap agreements

18,194

( 14,412 )

486

( 787 )

18,680

( 15,199 )

Options

392

( 374 )

-

-

392

( 374 )

Total FX contracts

37,195

( 32,419 )

514

( 842 )

37,709

( 33,261 )

Credit default swaps

Credit protection bought

32

( 3 )

-

-

32

( 3 )

Credit protection sold

3

( 29 )

-

-

3

( 29 )

Total credit default swaps

35

( 32 )

-

-

35

( 32 )

Commodity contracts

116

( 402 )

-

-

116

( 402 )

Equities

1

-

-

-

1

-

Total of gross derivatives

100,510

( 98,463 )

6,685

( 10,844 )

107,195

( 109,307 )

Impact of netting arrangements

( 59,813 )

59,806

( 6,099 )

9,933

( 65,912 )

69,739

Total of net derivatives

40,697

( 38,657 )

586

( 911 )

41,283

( 39,568 )

2021

Interest rate contracts 1

Forward rate agreements

1

( 1 )

-

-

1

( 1 )

Swap agreements

30,491

( 29,630 )

3,530

( 5,437 )

34,021

( 35,067 )

Options

115

( 121 )

-

-

115

( 121 )

Total interest rate contracts

30,607

( 29,752 )

3,530

( 5,437 )

34,137

( 35,189 )

FX contracts

Spot and forward contracts

5,896

( 5,554 )

38

( 51 )

5,934

( 5,605 )

Cross currency swap agreements

6,433

( 6,912 )

749

( 175 )

7,182

( 7,087 )

Options

198

( 173 )

-

-

198

( 173 )

Total FX contracts

12,527

( 12,639 )

787

( 226 )

13,314

( 12,865 )

Credit default swaps

Credit protection bought

-

( 15 )

-

-

-

( 15 )

Credit protection sold

13

-

-

-

13

-

Total credit default swaps

13

( 15 )

-

-

13

( 15 )

Commodity contracts

227

( 360 )

-

-

227

( 360 )

Equities

2

-

-

-

2

-

Total of gross derivatives

43,376

( 42,766 )

4,317

( 5,663 )

47,693

( 48,429 )

Impact of netting arrangements

( 25,010 )

25,240

( 3,330 )

5,130

( 28,340 )

30,370

Total of net derivatives

18,366

( 17,526 )

987

( 533 )

19,353

( 18,059 )

1.

The fair value of futures contracts is settled daily with the exchange, and therefore have been excluded from this table.

WESTPAC GROUP 2022 ANNUAL REPORT 67

Notes to the financial statements

Note 21. Derivative financial instruments (continued)

Total derivatives

Parent Entity

Trading

Hedging

carrying value

$m

Assets

Liabilities

Assets

Liabilities

Assets

Liabilities

2022

Interest rate contracts 1

Forward rate agreements

-

-

-

-

-

-

Swap agreements

63,939

( 65,541 )

5,025

( 9,683 )

68,964

( 75,224 )

Options

335

( 379 )

-

-

335

( 379 )

Total interest rate contracts

64,274

( 65,920 )

5,025

( 9,683 )

69,299

( 75,603 )

FX contracts

Spot and forward contracts

18,621

( 17,633 )

15

( 55 )

18,636

( 17,688 )

Cross currency swap agreements

18,414

( 14,921 )

146

( 177 )

18,560

( 15,098 )

Options

392

( 374 )

-

-

392

( 374 )

Total FX contracts

37,427

( 32,928 )

161

( 232 )

37,588

( 33,160 )

Credit default swaps

Credit protection bought

32

( 3 )

-

-

32

( 3 )

Credit protection sold

3

( 29 )

-

-

3

( 29 )

Total credit default swaps

35

( 32 )

-

-

35

( 32 )

Commodity contracts

116

( 402 )

-

-

116

( 402 )

Equities

1

-

-

-

1

-

Total of gross derivatives

101,853

( 99,282 )

5,186

( 9,915 )

107,039

( 109,197 )

Impact of netting arrangements

( 60,925 )

60,121

( 4,987 )

9,618

( 65,912 )

69,739

Total of net derivatives

40,928

( 39,161 )

199

( 297 )

41,127

( 39,458 )

2021

Interest rate contracts 1

Forward rate agreements

1

( 1 )

-

-

1

( 1 )

Swap agreements

30,779

( 29,764 )

3,228

( 5,261 )

34,007

( 35,025 )

Options

115

( 121 )

-

-

115

( 121 )

Total interest rate contracts

30,895

( 29,886 )

3,228

( 5,261 )

34,123

( 35,147 )

FX contracts

Spot and forward contracts

5,929

( 5,603 )

5

( 2 )

5,934

( 5,605 )

Cross currency swap agreements

6,452

( 6,925 )

519

( 34 )

6,971

( 6,959 )

Options

198

( 173 )

-

-

198

( 173 )

Total FX contracts

12,579

( 12,701 )

524

( 36 )

13,103

( 12,737 )

Credit default swaps

Credit protection bought

-

( 15 )

-

-

-

( 15 )

Credit protection sold

13

-

-

-

13

-

Total credit default swaps

13

( 15 )

-

-

13

( 15 )

Commodity contracts

227

( 360 )

-

-

227

( 360 )

Equities

1

-

-

-

1

-

Total of gross derivatives

43,715

( 42,962 )

3,752

( 5,297 )

47,467

( 48,259 )

Impact of netting arrangements

( 25,299 )

25,365

( 3,041 )

5,005

( 28,340 )

30,370

Total of net derivatives

18,416

( 17,597 )

711

( 292 )

19,127

( 17,889 )

1. The fair value of futures contracts is settled daily with the exchange, and therefore have been excluded from this table.

68 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 21. Derivative financial instruments (continued)

Hedge accounting

The Group designates derivatives into hedge accounting relationships in order to manage the volatility in earnings and capital that would otherwise arise from interest rate and FX risks that may result from differences in the accounting treatment of derivatives and underlying exposures. These hedge accounting relationships and the risks they are used to hedge are described below.

The Group enters into one-to-one hedge relationships to manage specific exposures where the terms of the hedged item significantly match the terms of the hedging instrument. The Group also uses dynamic hedge accounting where the hedged items are part of a portfolio of assets and/or liabilities that frequently change. In this hedging strategy, the exposure being hedged and the hedging instruments may change frequently rather than there being a one-to-one hedge accounting relationship for a specific exposure.

Fair value hedges

Interest rate risk

The Group hedges its interest rate risk to reduce exposure to changes in fair value due to interest rate fluctuations over the hedging period. Interest rate risk arising from fixed rate debt issuances and fixed rate bonds classified as investment securities at FVOCI is hedged with single currency fixed to floating interest rate derivatives. The Group also hedges its benchmark interest rate risk from fixed rate foreign currency denominated debt issuances using cross currency swaps. In applying fair value hedge accounting, the Group primarily uses one-to-one hedge accounting to manage specific exposures.

The Group also uses a dynamic hedge accounting strategy for fair value portfolio hedge accounting of some fixed rate mortgages to reduce exposure to changes in fair value due to interest rate fluctuations over the hedging period. These fixed rate mortgages are allocated to time buckets based on their expected repricing dates and the fixed-to-floating interest rate derivatives are designated accordingly to the capacity in the relevant time buckets.

The Group hedges the benchmark interest rate which generally represents the most significant component of the changes in fair value. The benchmark interest rate is a component of interest rate risk that is observable in the relevant financial markets, for example, BBSW for AUD interest rates, LIBOR for USD interest rates and BKBM for NZD interest rates. Ineffectiveness may arise from timing or discounting differences on repricing between the hedged item and the derivative. For the portfolio hedge accounting ineffectiveness also arises from prepayment risk (i.e. the difference between actual and expected prepayment of loans). In order to manage the ineffectiveness from early repayments and accommodate new originations the portfolio hedges are de-designated and redesignated periodically.

Cash flow hedges

Interest rate risk

The Group’s exposure to the volatility of interest cash flows from customer deposits and loans is hedged with interest rate derivatives using a dynamic hedge accounting strategy called macro cash flow hedges. Customer deposits and loans are allocated to time buckets based on their expected repricing dates. The interest rate derivatives are designated accordingly to the gross asset or gross liability positions for the relevant time buckets. The Group hedges the benchmark interest rate which generally represents the most significant component of the changes in fair value. The benchmark interest rate is a component of interest rate risk that is observable in the relevant financial markets, for example, BBSW for AUD interest rates, LIBOR for USD interest rates and BKBM for NZD interest rates. Ineffectiveness may arise from timing or discounting differences on repricing between the hedged item and the interest rate derivative. Ineffectiveness also arises if the notional values of the interest rate derivatives exceed the capacity for the relevant time buckets. The hedge accounting relationship is reviewed on a monthly basis and the hedging relationships are de-designated and redesignated if necessary.

FX risk

The Group’s exposure to foreign currency principal and credit margin cash flows from fixed rate foreign currency debt issuances is hedged through the use of cross currency derivatives in a one-to-one hedging relationship to manage the changes between the foreign currency and AUD. In addition, for floating rate foreign currency debt issuances, the Group hedges from foreign floating to primarily AUD or NZD floating interest rates. These exposures represent the most significant components of fair value. Ineffectiveness may arise from timing or discounting differences on repricing between the hedged item and the cross currency derivative.

WESTPAC GROUP 2022 ANNUAL REPORT 69

Notes to the financial statements

Note 21. Derivative financial instruments (continued)

Net investment hedges

FX risk

Structural FX risk results from Westpac’s capital deployed in offshore branches and subsidiaries, where it is denominated in currencies other than Australian dollars. As exchange rates move, the Australian dollar equivalent of offshore capital is subject to change that could introduce significant variability to the Group’s reported financial results and capital ratios.

The Group uses FX forward contracts when hedging the currency translation risk arising from net investments in foreign operations. The Group currently applies hedge accounting, predominantly to its net investment in New Zealand operations which is the most material offshore operation and therefore the hedged risk is the movement of the NZD against the AUD. Ineffectiveness only arises if the notional values of the FX forward contracts exceed the net investment.

Economic hedges

As part of the Group’s ALM activities, economic hedges may be entered into to hedge New Zealand future earnings and long-term funding transactions. These hedges do not qualify for hedge accounting and the impact on the income statement of these hedges is treated as a cash earnings adjustment. This is due to the accounting mismatch between the fair value accounting of the derivatives used in the economic hedges when compared to the recognition of the New Zealand future earnings as they are earned and the amortised cost accounting of the borrowing respectively. Refer to Note 2 for further details.

Interest Rate Benchmark Reform

The Group's hedging relationships include hedged items and hedging instruments that are impacted by IBOR reform. Refer to Note 22 for further details of the Group’s exposure to IBOR reform.

Hedging instruments

The following tables show the carrying value of hedging instruments and a maturity analysis of the notional amounts of the hedging instruments in one-to-one hedge relationships categorised by the types of hedge relationships and the hedged risk.

Notional amounts

Over

Consolidated

Within

1 year to

Over

Carrying value

$m

Hedging instrument

Hedged risk

1 year

5 years

5 years

Total

Assets

Liabilities

2022

One-to-one hedge relationships

Fair value hedges

Interest rate swap

Interest rate risk

11,263

73,774

39,836

124,873

2,504

( 8,073 )

Cross currency swap

Interest rate risk

1,100

9,775

2,442

13,317

( 189 )

( 867 )

Cash flow hedges

Cross currency swap

FX risk

1,100

9,775

2,442

13,317

675

80

Net investment hedges

Forward contracts

FX risk

2,803

-

-

2,803

28

( 55 )

Total one-to-one hedge relationships

16,266

93,324

44,720

154,310

3,018

( 8,915 )

Macro hedge relationships

Portfolio fair value hedges

Interest rate swap

Interest rate risk

n/a

n/a

n/a

22,328

417

( 12 )

Macro cash flow hedges

Interest rate swap

Interest rate risk

n/a

n/a

n/a

213,756

3,250

( 1,917 )

Total macro hedge relationships

n/a

n/a

n/a

236,084

3,667

( 1,929 )

Total of gross hedging derivatives

n/a

n/a

n/a

390,394

6,685

( 10,844 )

Impact of netting arrangements

n/a

n/a

n/a

n/a

( 6,099 )

9,933

Total of net hedging derivatives

n/a

n/a

n/a

n/a

586

( 911 )

70 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 21. Derivative financial instruments (continued)

Notional amounts

Over

Consolidated

Within

1 year to

Over

Carrying value

$m

Hedging instrument

Hedged risk

1 year

5 years

5 years

Total

Assets

Liabilities

2021

One-to-one hedge relationships

Fair value hedges

Interest rate swap

Interest rate risk

11,674

59,022

54,250

124,946

2,402

( 4,889 )

Cross currency swap

Interest rate risk

4,717

5,251

3,604

13,572

227

-

Cash flow hedges

Cross currency swap

FX risk

5,905

5,251

3,604

14,760

522

( 175 )

Net investment hedges

Forward contracts

FX risk

6,574

-

-

6,574

38

( 51 )

Total one-to-one hedge relationships

28,870

69,524

61,458

159,852

3,189

( 5,115 )

Macro hedge relationships

Portfolio fair value hedges

Interest rate swap

Interest rate risk

n/a

n/a

n/a

28,258

60

( 24 )

Macro cash flow hedges

Interest rate swap

Interest rate risk

n/a

n/a

n/a

201,339

1,068

( 524 )

Total macro hedge relationships

n/a

n/a

n/a

229,597

1,128

( 548 )

Total of gross hedging derivatives

n/a

n/a

n/a

389,449

4,317

( 5,663 )

Impact of netting arrangements

n/a

n/a

n/a

n/a

( 3,330 )

5,130

Total of net hedging derivatives

n/a

n/a

n/a

n/a

987

( 533 )

Notional amounts

Over

Parent Entity

Within

1 year to

Over

Carrying value

$m

Hedging instrument

Hedged risk

1 year

5 years

5 years

Total

Assets

Liabilities

2022

One-to-one hedge relationships

Fair value hedges

Interest rate swap

Interest rate risk

10,957

72,890

39,836

123,683

2,470

( 8,070 )

Cross currency swap

Interest rate risk

863

1,064

759

2,686

( 16 )

( 94 )

Cash flow hedges

Cross currency swap

FX risk

863

1,064

759

2,686

162

( 83 )

Net investment hedges

Forward contracts

FX risk

1,792

-

-

1,792

15

( 55 )

Total one-to-one hedge relationships

14,475

75,018

41,354

130,847

2,631

( 8,302 )

Macro hedge relationships

Portfolio fair value hedges

Interest rate swap

Interest rate risk

n/a

n/a

n/a

2,632

119

( 1 )

Macro cash flow hedges

Interest rate swap

Interest rate risk

n/a

n/a

n/a

192,136

2,436

( 1,612 )

Total macro hedge relationships

n/a

n/a

n/a

194,768

2,555

( 1,613 )

Total of gross hedging derivatives

n/a

n/a

n/a

325,615

5,186

( 9,915 )

Impact of netting arrangements

n/a

n/a

n/a

n/a

( 4,987 )

9,618

Total of net hedging derivatives

n/a

n/a

n/a

n/a

199

( 297 )

2021

One-to-one hedge relationships

Fair value hedges

Interest rate swap

Interest rate risk

11,283

57,732

54,250

123,265

2,400

( 4,837 )

Cross currency swap

Interest rate risk

3,108

1,682

707

5,497

165

-

Cash flow hedges

Cross currency swap

FX risk

3,108

1,682

707

5,497

354

( 34 )

Net investment hedges

Forward contracts

FX risk

1,263

-

-

1,263

5

( 2 )

Total one-to-one hedge relationships

18,762

61,096

55,664

135,522

2,924

( 4,873 )

Macro hedge relationships

Portfolio fair value hedges

Interest rate swap

Interest rate risk

n/a

n/a

n/a

2,872

7

( 1 )

Macro cash flow hedges

Interest rate swap

Interest rate risk

n/a

n/a

n/a

180,533

821

( 423 )

Total macro hedge relationships

n/a

n/a

n/a

183,405

828

( 424 )

Total of gross hedging derivatives

n/a

n/a

n/a

318,927

3,752

( 5,297 )

Impact of netting arrangements

n/a

n/a

n/a

n/a

( 3,041 )

5,005

Total of net hedging derivatives

n/a

n/a

n/a

n/a

711

( 292 )

WESTPAC GROUP 2022 ANNUAL REPORT 71

Notes to the financial statements

Note 21. Derivative financial instruments (continued)

The following tables show the weighted average FX rate related to significant hedging instruments in one-to-one hedge relationships.

Weighted average rate

Hedging instrument

Hedged risk

Currency pair

2022

2021

Consolidated

Cash flow hedges

Cross currency swap

FX risk

EUR:AUD

not material

0.6823

EUR:NZD

0.5965

0.6086

USD:NZD

0.6949

not material

Net investment hedges

Forward contracts

FX risk

NZD:AUD

1.1200

1.0505

USD:AUD

0.6926

n/a

Parent Entity

Cash flow hedges

Cross currency swap

FX risk

EUR:AUD

0.6650

0.6823

JPY:AUD

79.6448

79.6302

CHF:AUD

0.7350

0.7679

CNH:AUD

4.8253

4.9359

HKD:AUD

5.5373

not material

Net investment hedges

Forward contracts

FX risk

NZD:AUD

1.1171

1.0460

USD:AUD

0.6926

n/a

Impact of hedge accounting in the balance sheets and reserves

The following tables show the carrying amount of hedged items in a fair value hedge relationship and the component of the carrying amount related to accumulated fair value hedge accounting adjustments (FVHA).

2022

2021

FVHA

FVHA

Carrying amount of

included in carrying

Carrying amount of

included in carrying

$m

hedged item

amount

hedged item

amount

Consolidated

Interest rate risk

Investment securities

39,355

( 4,469 )

60,657

117

Loans

21,798

( 532 )

28,340

( 59 )

Debt issues and loan capital

( 88,112 )

8,832

( 84,776 )

( 1,983 )

Parent Entity

Interest rate risk

Investment securities

38,188

( 4,419 )

59,008

101

Loans

2,441

( 192 )

3,009

( 5 )

Debt issues and loan capital

( 78,448 )

7,907

( 76,634 )

( 1,931 )

There were losses of $ 3 million (2021: nil ) FVHA included in the above carrying amounts relating to hedged items that have ceased to be adjusted for hedging gains and losses .

The pre-tax impact of cash flow and net investment hedges on reserves is detailed below:

2022

2021

Interest

FX

Interest

FX

$m

rate risk

risk

Total

rate risk

risk

Total

Consolidated

Cash flow hedge reserve

Balance as at beginning of year

394

( 118 )

276

73

( 132 )

( 59 )

Net gains/(losses) from changes in fair value

1,224

80

1,304

352

( 56 )

296

Transferred to interest income

( 471 )

37

( 434 )

( 31 )

70

39

Balance as at end of year

1,147

( 1 )

1,146

394

( 118 )

276

Parent Entity

Cash flow hedge reserve

Balance as at beginning of year

243

( 49 )

194

83

( 53 )

30

Net gains/(losses) from changes in fair value

846

35

881

201

( 24 )

177

Transferred to interest income

( 460 )

15

( 445 )

( 41 )

28

( 13 )

Balance as at end of year

629

1

630

243

( 49 )

194

72 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 21. Derivative financial instruments (continued)

There were losses of $ 18 million (2021: $ 176 million) remaining in the cash flow hedge reserve relating to hedge relationships for which hedge accounting is no longer applied for the Group and Parent Entity .

As disclosed in Note 27, the net gains from changes in the fair value of net investment hedges were $ 236 million (2021: net loss $ 198 million) for the Group and $ 15 million (2021: net loss $ 41 million) for the Parent Entity. Included in the foreign currency translation reserve is a loss of $ 146 million (2021: $ 210 million) for the Group and $ 149 million (2021: $ 214 million) for the Parent Entity relating to discontinued hedges of our net investment in USD operations. This would only be transferred to the income statement on disposal of the related USD operations.

Hedge effectiveness

Hedge effectiveness is tested prospectively at inception and during the lifetime of hedge relationships. For one-to-one hedge relationships this testing uses a qualitative assessment of matched terms where the critical terms of the derivatives used as the hedging instrument match the terms of the hedged item. In addition, a quantitative effectiveness test is performed for all hedges which could include regression analysis, dollar offset and/or sensitivity analysis.

Retrospective testing is also performed to determine whether the hedge relationship remains highly effective so that hedge accounting can continue to be applied and also to determine any ineffectiveness. These tests are performed using regression analysis and the dollar offset method.

The following tables provide information regarding the determination of hedge effectiveness:

Change in

fair value

Change in

of hedging

value of the

Hedge

instrument

hedged item

Hedge

ineffectiveness

used for

used for

ineffectiveness

recognised in

Consolidated

calculating

calculating

recognised in

non-interest

$m

Hedging instrument

Hedged risk

ineffectiveness

ineffectiveness

interest income

income

Consolidated

2022

Fair value hedges

Interest rate swap

Interest rate risk

( 4,540 )

4,548

8

n/a

Cross currency swap

Interest rate risk

( 1,210 )

1,208

( 2 )

n/a

Cash flow hedges

Interest rate swap

Interest rate risk

670

( 753 )

( 83 )

n/a

Cross currency swap

FX risk

117

( 117 )

-

n/a

Net investment hedges

Forward contracts

FX risk

236

( 236 )

n/a

-

Total

( 4,727 )

4,650

( 77 )

-

2021

Fair value hedges

Interest rate swap

Interest rate risk

957

( 959 )

( 2 )

n/a

Cross currency swap

Interest rate risk

( 171 )

168

( 3 )

n/a

Cash flow hedges

Interest rate swap

Interest rate risk

280

( 321 )

( 41 )

n/a

Cross currency swap

FX risk

14

( 14 )

-

n/a

Net investment hedges

Forward contracts

FX risk

( 199 )

198

n/a

( 1 )

Total

881

( 928 )

( 46 )

( 1 )

Parent Entity

2022

Fair value hedges

Interest rate swap

Interest rate risk

( 4,886 )

4,901

15

n/a

Cross currency swap

Interest rate risk

( 233 )

230

( 3 )

n/a

Cash flow hedges

Interest rate swap

Interest rate risk

294

( 386 )

( 92 )

n/a

Cross currency swap

FX risk

50

( 50 )

-

n/a

Net investment hedges

Forward contracts

FX risk

15

( 15 )

n/a

-

Total

( 4,760 )

4,680

( 80 )

-

2021

Fair value hedges

Interest rate swap

Interest rate risk

683

( 683 )

-

n/a

Cross currency swap

Interest rate risk

( 107 )

105

( 2 )

n/a

Cash flow hedges

Interest rate swap

Interest rate risk

120

( 160 )

( 40 )

n/a

Cross currency swap

FX risk

4

( 4 )

-

n/a

Net investment hedges

Forward contracts

FX risk

( 41 )

41

n/a

-

Total

659

( 701 )

( 42 )

-

WESTPAC GROUP 2022 ANNUAL REPORT 73

Notes to the financial statements

Note 22. Risk management, funding and liquidity risk and market risk

Financial instruments are fundamental to the Group’s business of providing banking and financial services. The associated financial risks (including credit risk, funding and liquidity risk and market risk) are a significant proportion of the total risks faced by the Group.

This note details the financial risk management policies, practices and quantitative information of the Group’s principal financial risk exposure s.

Note

Index

Note name

number

Overview

Risk management frameworks

22.1

Credit risk

Refer to Note 12 Credit risk management

12

Funding and liquidity risk

Liquidity modelling

22.2.1

The risk that Westpac cannot meet its payment obligations or that it does not have the appropriate amount, tenor and composition of funding and liquidity to support its assets.

Sources of funding

Assets pledged as collateral

Contractual maturity of financial liabilities

Expected maturity

22.2.2

22.2.3

22.2.4

22.2.5

Market risk

Value-at-Risk (VaR)

22.3.1

The risk of an adverse impact on earnings resulting from changes in market factors, such as foreign exchange rates, interest rates, commodity prices or equity price.

Traded market risk

Non-traded market risk

22.3.2

22.3.3

IBOR reform

Interest rate benchmark reform

22.4

22.1 Risk management frameworks

The Board is responsible for approving the Westpac Group Risk Management Framework, Westpac Group Risk Management Strategy and Westpac Board Risk Appetite Statement and for monitoring the effectiveness of risk management by the Westpac Group. The Board has delegated to the Board Risk Committee (BRiskC) responsibility to:

review and recommend the Westpac Group Risk Management Framework, Westpac Group Risk Management Strategy and Westpac Board Risk Appetite Statement to the Board for approval;
review and monitor the risk profile and controls of the Group consistent with Westpac Group’s Risk Appetite Statement;
approve frameworks, policies and processes for managing risk (consistent with the Westpac Group Risk Management Framework and Westpac Board Risk Appetite Statement); and
review and, where appropriate, approve risks beyond the approval discretion provided to management.

74 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 22 Risk management, funding and liquidity risk and market risk (continued)

For each of its primary financial risks, the Group maintains risk management frameworks and a number of supporting policies that define roles and responsibilities, acceptable practices, limits and key controls:

Risk

Risk management framework and controls

Funding and
liquidity risk

Funding and liquidity risk is measured and managed in accordance with the policies and processes defined in the Board-approved Liquidity Risk Management Framework which is part of the Westpac Board-approved Risk Management Strategy.

Responsibility for managing Westpac’s liquidity and funding positions in accordance with the Liquidity Risk Management Framework is delegated to Treasury, under the oversight of Group ALCO and Treasury Risk.

Westpac’s Liquidity Risk Management Framework sets out Westpac’s funding and liquidity risk appetite, roles and responsibilities of key people managing funding and liquidity risk within Westpac, risk reporting and control processes and limits and targets used to manage Westpac’s balance sheet.

Treasury undertakes an annual funding review that outlines Westpac’s balance sheet funding strategy over a three year period. This review encompasses trends in global markets, peer analysis, wholesale funding capacity, expected funding requirements and a funding risk analysis. This strategy is continuously reviewed to take account of changing market conditions, investor sentiment and estimations of asset and liability growth rates.

Westpac monitors the composition and stability of its funding so that it remains within Westpac’s funding risk appetite. This includes compliance with both the Liquidity Coverage Ratio (LCR) and Net Stable Funding Ratio (NSFR).

Westpac holds a portfolio of liquid assets for several purposes, including as a buffer against unforeseen funding requirements. The level of liquid assets held takes into account the liquidity requirements of Westpac’s balance sheet under normal and stress conditions.

Treasury maintains a contingent funding plan that outlines the steps that should be taken by Westpac in the event of an emerging ‘funding crisis’. The plan is aligned with Westpac’s broader Liquidity Crisis Management Policy which is approved annually by the Board.

Daily liquidity risk reports are reviewed by the Group’s Treasury and Treasury Risk teams. Liquidity reports are presented to Group ALCO monthly and to the Board quarterly.

Market risk

The Market Risk Framework describes the Group’s approach to managing traded and non- traded market risk.

Traded market risk includes interest rate, FX, commodity, equity price, credit spread and volatility risks. Non-traded market risk includes interest rate and credit spread risks.

Market risk is managed using VaR and Stressed VaR (SVaR) limits, Net interest income at risk (NaR) and structural risk limits (including credit spread and interest rate basis point value limits) as well as scenario analysis and stress testing.

The BRiskC approves the risk appetite for traded and non-traded risks through the use of VaR, SVaR, NaR and specific structural risk limits. This includes separate VaR sub-limits for the trading activities of Financial Markets and Treasury and for non-traded ALM activities.

Market risk limits are assigned to business management based upon the Bank’s risk appetite and business strategies in addition to the consideration of market liquidity and concentration.

Market risk positions are managed by the trading desks and ALM unit consistent with their delegated authorities and the nature and scale of the market risks involved.

Daily monitoring of current exposure and limit utilisation is conducted independently by the Market Risk and Treasury Risk units, which monitor market risk exposures against VaR and structural risk limits. Daily VaR position reports are produced by risk type, by product lines and by geographic region. Quarterly reports are produced for the Westpac Group Market Risk Committee (MARCO), RISKCO and the BRiskC.

Daily stress testing and backtesting of VaR results are performed to support model integrity and to analyse extreme or unexpected movements, and the Head of Market and Treasury risk has ratified an approved stress escalation framework.

The BRiskC has approved a framework for profit or loss escalation which considers both single day and 20 day cumulative results.

Treasury’s ALM unit is responsible for managing the non-traded interest rate risk including risk mitigation through hedging using derivatives. This is overseen by the Treasury Risk unit and reviewed by Banking Book Risk Committee (BBRC), MARCO, RISKCO and BRiskC. The Group Asset and Liability Committee (ALCO) provides additional oversight of market risk and alignment with Group strategy in reviewing NaR governance and the durations of capital and non-rate sensitive deposit hedges.

WESTPAC GROUP 2022 ANNUAL REPORT 75

Notes to the financial statements

Note 22 Risk management, funding and liquidity risk and market risk (continued)

22.2    Funding and liquidity risk

22.2.1 Liquidity modelling

In managing liquidity for Westpac, Treasury utilises balance sheet forecasts and the maturity profile of Westpac’s wholesale funding portfolio to project liquidity outcomes. Local liquidity limits are also used by Westpac in applicable jurisdictions to ensure liquidity is managed efficiently and prudently.

In addition, Westpac conducts regular stress testing to assess its ability to meet cash flow obligations under a range of market conditions and scenarios. These scenarios inform liquidity limits and strategic planning.

22.2.2 Sources of funding

Sources of funding are regularly reviewed to maintain a wide diversification by currency, geography, product and term. Sources include, but are not limited to:

deposits;
debt issues;
proceeds from sale of marketable securities;
repurchase agreements with central banks;
principal repayments on loans;
interest income; and
fee income.

Liquid assets

Treasury holds a portfolio of high-quality liquid assets as a buffer against unforeseen funding requirements. These assets are held in cash, or are otherwise eligible for repurchase agreements with the Reserve Bank of Australia or another central bank and include Government, State Government and highly rated investment grade securities. The level of liquid asset holdings is reviewed frequently and is consistent with both the requirements of the balance sheet and market conditions.

A summary of the Group’s liquid asset holdings is as follows:

Consolidated

Parent Entity

2022

2021

2022

2021

$m

Actual

Average

Actual

Average

Actual

Average

Actual

Average

Cash

104,954

102,520

70,381

42,862

94,992

92,273

61,881

36,134

Trading securities and financial assets measured at FVIS

12,806

13,867

6,940

10,436

10,941

11,859

5,332

8,703

Investment securities

76,075

76,006

83,032

90,248

70,019

70,308

77,673

84,765

Other financial assets

223

121

590

282

218

74

75

196

Assets held for sale

-

10

-

-

-

-

-

-

Total on-balance sheet liquid assets

194,058

192,524

160,943

143,828

176,170

174,514

144,961

129,798

Loans 1

63,712

63,287

66,610

65,558

58,399

57,195

58,476

56,275

Available liquid assets

257,770

255,811

227,553

209,386

234,569

231,709

203,437

186,073

1. Loans are self-originated AAA rated mortgage backed securities which are eligible for repurchase with the RBA and Reserve Bank of New Zealand under certain circumstances.

Group’s funding composition

The Group monitors the composition and stability of its funding so that it remains within the Group's funding risk appetite. This includes compliance with both the LCR and NSFR.

%

2022

2021

Customer deposits

65.1

65.0

Wholesale term funding with residual maturity greater than 12 months

14.5

15.6

Wholesale funding with a residual maturity less than 12 months

12.5

10.8

Securitisation

0.5

0.6

Equity

7.4

8.0

Group's total funding

100.0

100.0

76 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 22 Risk management, funding and liquidity risk and market risk (continued)

Movements in the Group’s funding composition in 2022 included:

Customer deposits accounted for 65.1 % of the Group’s total funding (including equity) at 30 September 2022. Over the year, customer deposits increased by $ 32.5 billion and fully funded the bank’s new lending growth. As a result, the Group’s customer deposit to loan ratio increased to 82.9 % from 81.6 % at 30 September 2021;
Long-term funding with a residual maturity greater than 12 months accounted for 14.5 % of the Group’s total funding at 30 September 2022. Funding from securitisation accounted for a further 0.5% of total funding. The Group raised $ 43.4 billion of long-term wholesale funding over the year, including $ 4 billion of pre-funding for the 2023 Financial Year. The Group benefited from the diversity of its wholesale funding franchise, with new issuance comprising approximately half senior unsecured bonds, a quarter covered bonds and the remainder across Tier 2 capital securities, Additional Tier 1 capital securities and securitisation. The Group issued across a range of tenors and currencies, including USD, AUD, EUR, GBP, NZD, SGD, JPY and others. The Group also drew down on the RBNZ’s Funding for Lending Programme through its New Zealand subsidiary.
Wholesale funding with a residual maturity less than 12 months accounted for 12.5 % of the Group’s total funding at 30 September 2022. This portfolio, including long-term to short-term scroll, had a weighted average maturity of 104 days ;
Funding from equity decreased by $ 1.6 billion over the year and made up 7.4 % of total funding at 30 September 2022.

Borrowings and outstanding issuances from existing debt programs at 30 September 2022 can be found in Notes 13, 14, 15 and 20.

Funding for Lending Programme (FLP)

On 11 November 2020, Reserve Bank of New Zealand (RBNZ) announced a stimulus through FLP commencing in December 2020. The FLP provides funding to New Zealand banks at the prevailing OCR for a term of three years which must be secured by high quality collateral. The size of the funding available under the FLP includes an initial allocation of 4 % of each bank’s eligible loans. A conditional additional allocation of up to 2 % of eligible loans is also available, subject to growth in eligible loans, for a total size of up to 6 % of eligible loans, which equates to $ 4.6 billion for Westpac New Zealand Limited. The Group has drawn down $ 3.6 billion in total to 30 September 2022.

The programme started on 7 December 2020 and ran until 6 June 2022 for the initial allocations, and will run until 6 December 2022 for the additional allocations.

Credit ratings

As at 30 September 2022 the Parent Entity’s credit ratings were:

2022

Short-term

Long-term

Outlook

Fitch Ratings

F1

A+

Stable

Moody’s Investors Service

P-1

Aa3

Stable

S&P Global Ratings

A-1+

AA-

Stable

WESTPAC GROUP 2022 ANNUAL REPORT 77

Notes to the financial statements

Note 22 Risk management, funding and liquidity risk and market risk (continued)

22.2.3 Assets pledged as collateral

The Group and Parent Entity are required to provide collateral (predominantly to other financial institutions), as part of standard terms, to secure liabilities. In addition to assets supporting securitisation and covered bond programs disclosed in Note 16, the carrying value of these financial assets pledged as collateral is:

Consolidated

Parent Entity

$m

2022

2021

2022

2021

Cash

6,215

4,229

6,178

4,052

Cash deposit on stock borrowed

1

3

1

3

Securities (including certificates of deposit)

2,572

1,800

2,572

1,800

Securities pledged under repurchase agreements

57,902

52,213

53,480

49,262

Total amount pledged to secure liabilities

66,690

58,245

62,231

55,117

22.2.4 Contractual maturity of financial liabilities

The following tables present cash flows associated with financial liabilities, payable at the balance sheet date, by remaining contractual maturity. The amounts disclosed in the table are the future contractual undiscounted cash flows, whereas the Group manages inherent liquidity risk based on expected cash flows.

Cash flows associated with financial liabilities include both principal payments as well as fixed or variable interest payments incorporated into the relevant coupon period. Principal payments reflect the earliest contractual maturity date. Derivative liabilities designated for hedging purposes are expected to be held for their remaining contractual lives, and reflect gross cash flows over the remaining contractual term.

Derivatives held for trading and certain liabilities classified in “Other financial liabilities” which are measured at FVIS are not managed for liquidity purposes on the basis of their contractual maturity, and accordingly these liabilities are presented in the up to 1 month column. Only the liabilities that the Group manages based on their contractual maturity are presented on a contractual undiscounted basis in the following tables.

78 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 22 Risk management, funding and liquidity risk and market risk (continued)

Consolidated

Up to

Over 1 month

Over 3 months

Over 1 year

Over

$m

1 month

to 3 months

to 1 year

to 5 years

5 years

Total

2022

Financial liabilities

Collateral received

6,377

1

-

-

-

6,378

Deposits and other borrowings

488,854

71,531

95,092

6,772

55

662,304

Other financial liabilities

15,330

5,443

18,698

15,726

-

55,197

Derivative financial instruments:

Held for trading

38,657

-

-

-

-

38,657

Held for hedging purposes (net settled)

( 27 )

22

8

16

32

51

Held for hedging purposes (gross settled):

Cash outflow

912

60

367

7,885

2,449

11,673

Cash inflow

( 823 )

( 12 )

( 48 )

( 6,785 )

( 2,293 )

( 9,961 )

Debt issues

7,390

9,007

37,599

86,499

23,085

163,580

Liabilities held for sale

31

-

-

-

-

31

Total financial liabilities excluding loan capital

556,701

86,052

151,716

110,113

23,328

927,910

Loan capital

12

191

705

7,789

36,382

45,079

Total undiscounted financial liabilities

556,713

86,243

152,421

117,902

59,710

972,989

Total contingent liabilities and commitments

Letters of credit and guarantees

11,868

-

-

-

-

11,868

Commitments to extend credit

188,183

-

-

-

-

188,183

Other

48

-

-

-

-

48

Total undiscounted contingent liabilities and commitments

200,099

-

-

-

-

200,099

2021

Financial liabilities

Collateral received

2,368

-

-

-

-

2,368

Deposits and other borrowings

482,084

58,731

80,350

6,369

67

627,601

Other financial liabilities

14,621

1,243

1,803

31,870

-

49,537

Derivative financial instruments:

Held for trading

17,526

-

-

-

-

17,526

Held for hedging purposes (net settled)

24

23

119

128

14

308

Held for hedging purposes (gross settled):

Cash outflow

2,933

88

1,361

2,572

2,669

9,623

Cash inflow

( 2,874 )

( 76 )

( 1,201 )

( 2,148 )

( 2,577 )

( 8,876 )

Debt issues

2,370

3,661

38,821

65,465

25,828

136,145

Liabilities held for sale

28

-

-

-

-

28

Total financial liabilities excluding loan capital

519,080

63,670

121,253

104,256

26,001

834,260

Loan capital

6

105

1,034

6,517

30,623

38,285

Total undiscounted financial liabilities

519,086

63,775

122,287

110,773

56,624

872,545

Total contingent liabilities and commitments

Letters of credit and guarantees

11,323

-

-

-

-

11,323

Commitments to extend credit

188,768

-

-

-

-

188,768

Total undiscounted contingent liabilities and commitments

200,091

-

-

-

-

200,091

WESTPAC GROUP 2022 ANNUAL REPORT 79

Notes to the financial statements

Note 22 Risk management, funding and liquidity risk and market risk (continued)

Parent Entity

Up to

Over 1 month

Over 3 months

Over 1 year

Over

$m

1 month

to 3 months

to 1 year

to 5 years

5 years

Total

2022

Financial liabilities

Collateral received

6,305

1

-

-

-

6,306

Deposits and other borrowings

443,462

61,097

79,411

5,313

55

589,338

Other financial liabilities

15,080

5,443

18,613

11,943

-

51,079

Derivative financial instruments:

Held for trading

39,161

-

-

-

-

39,161

Held for hedging purposes (net settled)

( 18 )

9

8

18

31

48

Held for hedging purposes (gross settled):

Cash outflow

883

7

51

838

792

2,571

Cash inflow

( 823 )

( 2 )

( 17 )

( 599 )

( 684 )

( 2,125 )

Debt issues

6,655

6,431

33,390

71,850

20,813

139,139

Due to subsidiaries

20,139

548

2,301

8,877

40,801

72,666

Liabilities held for sale

-

-

-

-

-

-

Total financial liabilities excluding loan capital

530,844

73,534

133,757

98,240

61,808

898,183

Loan capital

12

183

680

7,130

36,382

44,387

Total undiscounted financial liabilities

530,856

73,717

134,437

105,370

98,190

942,570

Total contingent liabilities and commitments

Letters of credit and guarantees

11,324

-

-

-

-

11,324

Commitments to extend credit

165,260

-

-

-

-

165,260

Other

48

-

-

-

-

48

Total undiscounted contingent liabilities and commitments

176,632

-

-

-

-

176,632

2021

Financial liabilities

Collateral received

2,189

-

-

-

-

2,189

Deposits and other borrowings

430,949

48,187

66,438

4,966

67

550,607

Other financial liabilities

13,689

1,243

1,712

29,961

-

46,605

Derivative financial instruments:

Held for trading

17,597

-

-

-

-

17,597

Held for hedging purposes (net settled)

17

17

106

104

14

258

Held for hedging purposes (gross settled):

Cash outflow

105

67

11

577

-

760

Cash inflow

( 103 )

( 65 )

( 3 )

( 520 )

-

( 691 )

Debt issues

1,543

2,593

32,270

55,824

22,900

115,130

Due to subsidiaries 1

22,974

538

1,798

5,585

24,553

55,448

Liabilities held for sale

3

-

-

-

-

3

Total financial liabilities excluding loan capital 1

488,963

52,580

102,332

96,497

47,534

787,906

Loan capital

6

105

1,034

6,517

30,623

38,285

Total undiscounted financial liabilities 1

488,969

52,685

103,366

103,014

78,157

826,191

Total contingent liabilities and commitments

Letters of credit and guarantees

10,796

-

-

-

-

10,796

Commitments to extend credit

163,685

-

-

-

-

163,685

Total undiscounted contingent liabilities and commitments

174,481

-

-

-

-

174,481

1. Comparative has been restated due to a change in accounting policy. Refer to Note 1(a)(iii) for further details.

80 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 22 Risk management, funding and liquidity risk and market risk (continued)

22.2.5 Expected maturity

The following tables present the balance sheet based on expected maturity dates. The liability balances in the following tables will not agree to the contractual maturity tables (Note 22.2.4) due to the analysis below being based on expected rather than contractual maturities, the impact of discounting and the exclusion of interest accruals beyond the reporting period. Included in the following tables are equity securities classified as trading securities, investment securities and life insurance assets that have no specific maturity. These assets have been classified based on the expected period of disposal. Deposits are presented in the following table on a contractual basis, however as part of our normal banking operations, the Group would expect a large proportion of these balances to be retained.

2022

2021

Consolidated

Due within

Greater than

Due within

Greater than

$m

12 months

12 months

Total

12 months

12 months

Total

Assets

Cash and balances with central banks

105,257

-

105,257

71,353

-

71,353

Collateral paid

6,216

-

6,216

4,232

-

4,232

Trading securities and financial assets measured at FVIS

18,421

5,911

24,332

14,010

7,091

21,101

Derivative financial instruments

22,977

18,306

41,283

9,955

9,398

19,353

Investment securities

21,023

55,442

76,465

8,064

75,353

83,417

Loans (net of provisions)

84,450

655,197

739,647

84,187

625,597

709,784

Other financial assets

5,626

-

5,626

6,394

-

6,394

Investment in associates

-

37

37

-

58

58

Assets held for sale

75

-

75

4,188

-

4,188

All other assets

588

14,672

15,260

1,367

14,630

15,997

Total assets

264,633

749,565

1,014,198

203,750

732,127

935,877

Liabilities

Collateral received

6,371

-

6,371

2,368

-

2,368

Deposits and other borrowings

652,582

6,547

659,129

622,505

4,450

626,955

Other financial liabilities

41,038

15,322

56,360

18,610

31,699

50,309

Derivative financial instruments

21,546

18,022

39,568

9,990

8,069

18,059

Debt issues

50,926

93,942

144,868

43,356

85,423

128,779

Liabilities held for sale

32

-

32

837

-

837

All other liabilities

2,513

3,594

6,107

3,502

3,909

7,411

Total liabilities excluding loan capital

775,008

137,427

912,435

701,168

133,550

834,718

Loan capital

1,143

30,111

31,254

3,070

25,997

29,067

Total liabilities

776,151

167,538

943,689

704,238

159,547

863,785

Net assets/(liabilities)

( 511,518 )

582,027

70,509

( 500,488 )

572,580

72,092

WESTPAC GROUP 2022 ANNUAL REPORT 81

Notes to the financial statements

Note 22 Risk management, funding and liquidity risk and market risk (continued)

2022

2021

Parent Entity

Due within

Greater than

Due within

Greater than

$m

12 months

12 months

Total

12 months

12 months

Total

Assets

Cash and balances with central banks

95,182

-

95,182

62,754

-

62,754

Collateral paid

6,179

-

6,179

4,055

-

4,055

Trading securities and financial assets measured at FVIS

17,234

5,183

22,417

11,853

6,926

18,779

Derivative financial instruments

21,987

19,140

41,127

9,545

9,582

19,127

Investment securities

19,199

50,977

70,176

6,677

71,186

77,863

Loans (net of provisions)

63,526

588,191

651,717

63,725

554,688

618,413

Other financial assets

5,228

-

5,228

5,486

-

5,486

Due from subsidiaries 1

14,477

39,708

54,185

10,407

36,855

47,262

Investment in subsidiaries

-

9,790

9,790

-

6,287

6,287

Investment in associates

-

33

33

-

34

34

Assets held for sale

-

-

-

1,015

-

1,015

All other assets

535

12,692

13,227

596

12,934

13,530

Total assets 1

243,547

725,714

969,261

176,113

698,492

874,605

Liabilities

Collateral received

6,299

-

6,299

2,189

-

2,189

Deposits and other borrowings

581,577

5,168

586,745

547,101

3,086

550,187

Other financial liabilities

40,439

11,913

52,352

17,473

29,790

47,263

Derivative financial instruments

21,258

18,200

39,458

9,804

8,085

17,889

Debt issues

43,742

78,597

122,339

35,084

73,126

108,210

Due to subsidiaries 1

21,525

36,818

58,343

24,832

25,900

50,732

Liabilities held for sale

-

-

-

10

-

10

All other liabilities

1,983

3,225

5,208

2,897

3,362

6,259

Total liabilities excluding loan capital 1

716,823

153,921

870,744

639,390

143,349

782,739

Loan capital

1,143

29,591

30,734

3,070

25,997

29,067

Total liabilities 1

717,966

183,512

901,478

642,460

169,346

811,806

Net assets/(liabilities)

( 474,419 )

542,202

67,783

( 466,347 )

529,146

62,799

1. Comparative has been restated due to a change in accounting policy. Refer to Note 1(a)(iii) for further details.

22.3     Market risk

22.3.1  Value-at-Risk

The Group uses VaR as one of the mechanisms for controlling both traded and non-traded market risk.

VaR is a statistical estimate of the potential loss in earnings over a specified period of time and to a given level of confidence based on historical market movements. The confidence level indicates the probability that the loss will not exceed the VaR estimate on any given day.

VaR seeks to take account of all material market variables that may cause a change in the value of the portfolio, including interest rates, FX rates, price changes, volatility and the correlations between these variables. Daily monitoring of current exposure and limit utilisation is conducted independently by the Market Risk and Treasury Risk units which monitor market risk exposures against VaR and structural concentration limits. These are supplemented by escalation triggers for material profits or losses and stress testing of risks beyond the 99 % confidence interval.

The key parameters of VaR are:

Holding period

1 day

Confidence level

99 %

Period of historical data used

1 year

82 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 22 Risk management, funding and liquidity risk and market risk (continued)

22.3.2 Traded market risk

The following table depicts the aggregate VaR, by risk type:

Consolidated and Parent Entity

2022

2021

2020

$m

High

Low

Average

High

Low

Average

High

Low

Average

Interest rate risk

20.2

5.0

9.2

28.7

5.1

12.9

25.5

7.0

14.6

FX risk

8.3

0.3

2.5

8.7

0.6

2.0

11.7

0.5

4.0

Equity risk

0.1

0.0

0.0

3.2

0.0

0.2

0.7

0.0

0.2

Commodity risk 1

4.0

1.5

2.5

7.9

0.4

1.2

3.4

0.6

1.9

Other market risks 2

6.5

1.4

2.9

23.8

1.6

10.3

32.9

2.4

14.6

Diversification effect

n/a

n/a

( 6.5 )

n/a

n/a

( 8.7 )

n/a

n/a

( 14.9 )

Net market risk

21.2

5.4

10.6

41.5

5.9

17.9

42.0

7.1

20.4

1.

Includes electricity risk. Closure of the electricity business was completed in 2020.

2.

Includes prepayment risk and credit spread risk (exposure to movements in generic credit rating bands).

22.3.3 Non-traded market risk

Non-traded market risk includes Interest Rate Risk in the Banking Book (IRRBB) – the risk to net interest income or the economic value on banking book items as interest rates change.

Net interest income (NII) sensitivity is managed in terms of the NaR. A simulation model is used to calculate Westpac’s potential NaR. This combines the underlying balance sheet data with assumptions about run-off and new business, expected repricing behaviour and changes in wholesale market interest rates. To provide a series of potential future NII outcomes, simulations use a range of interest rate scenarios over one to three year time horizons. This includes 100 and 200 basis point shifts up and down from the current market yield curves in Australia and New Zealand. Additional stressed interest rate scenarios are also considered and modelled.

A comparison between the NII outcomes from these modelled scenarios indicates the sensitivity to interest rate changes.

Net interest income-at-Risk (NaR)

The following table depicts potential NII outcomes assuming a worst case 100 basis point rate shock (up and down) with a 12 month time horizon (expressed as a percentage of reported NII):

2022 3

2021

Maximum

Minimum

Average

Maximum

Minimum

Average

% (increase)/decrease in NII

As at

exposure

exposure

exposure

As at

exposure

exposure

exposure

Consolidated

1.40

1.67

( 1.90 )

( 1.01 )

3.35

3.35

( 0.12 )

1.04

Parent Entity

1.27

1.53

( 2.03 )

( 0.71 )

2.86

2.86

( 0.30 )

0.51

3.

Revisions were made to the NaR Model in the latter half of 2022 to align with the changed rate environment. The timing of these revisions has resulted in the average exposures for the full year of 2022 presenting less income at risk than for 2021.

Value at Risk - IRRBB

The table below depicts VaR for IRRBB:

2022

2021

$m

As at

High

Low

Average

As at

High

Low

Average

Consolidated

64.5

81.0

53.7

66.4

63.7

224.3

59.7

127.8

As at 30 September 2022 the Value at Risk – IRRBB for the Parent Entity was $ 62 million (2021: $ 60 million).

Risk mitigation

IRRBB stems from the ordinary course of banking activities, including structural interest rate risk (the mismatch between the duration of assets and liabilities) and capital management.

The Group hedges its exposure to such interest rate risk using derivatives. Further details on the Group’s hedge accounting are discussed in Note 21.

The same controls used to monitor traded market risk allow management to continuously monitor and manage IRRBB.

WESTPAC GROUP 2022 ANNUAL REPORT 83

Notes to the financial statements

Note 22 Risk management, funding and liquidity risk and market risk (continued)

Structural FX risk

Structural FX risk results from the generation of foreign currency denominated earnings and from Westpac’s capital deployed in offshore branches and subsidiaries, where it is denominated in currencies other than Australian dollars. As exchange rates move, the Australian dollar equivalent of offshore earnings and capital is subject to change that could introduce significant variability to the Bank’s reported financial results and capital ratios.

Note 21 includes details of the Group’s ALM activities including details of the hedge accounting and economic hedges used to manage this risk.

22.4 Interest rate benchmark reform

Overview

In recent years, financial regulators have reviewed the use of Interbank Offered Rates (IBORs) and recommended either a reform of the benchmark rate to reference market observable transactions (e.g. EURIBOR) or a transition of certain IBORs to more observable, risk-free alternative reference rates (ARR).

On 5 March 2021, the UK regulator, the Financial Conduct Authority (FCA), confirmed the transition dates for LIBORs to ARR. The cessation date for most LIBORs and the non-representative date for both GBP LIBOR and JPY LIBOR for the 1-month, 3-month and 6-month settings was 31 December 2021. The Group ceased to enter into new contracts referencing these rates and the Group’s existing exposures have either matured or transitioned to an ARR with the exception of a small number of trades with immaterial balances. These remaining balances utilise synthetic rates, however no new trades will be entered into referencing these synthetic rates.

The cessation date for certain settings of USD LIBOR (i.e. overnight and 12-months) and for synthetic benchmarks which use USD LIBOR in their calculation process including SGD SOR is 30 June 2023. This is also the non- representative date for USB LIBOR 1-month, 3-month and 6-month settings. The Group’s exposure to new contracts referencing these rates is limited to transactions entered into for risk management purposes.

Risks

These IBOR reforms result in various risks to the Group including:

Operational risk: relating to any adverse impacts from the implementation of the IBOR reform on the business, compliance, customers and technology;

Market risk: including adverse impacts to the Group and its customers if the markets are disrupted by the IBOR reform; and

Accounting risk: A key assumption made when performing hedge accounting at the reporting date is that both the hedged item and instrument will be amended from existing LIBOR linked floating rates to new ARRs on the same date. Where actual differences between those dates arise, hedge ineffectiveness will be recorded in the income statement. Also, as current IBOR becomes less observable due to transition to ARR consideration will need to be given to the appropriate fair valuation hierarchy level used to classify impacted financial instruments.

The Group does not expect material changes to its business-as-usual risk management frameworks and controls due to IBOR.

Governance

The IBOR transition activities are now included as part of now part of business-as-usual functions. The Group’s systems have been enhanced to include transition and ARR capabilities and updated valuation models. The Group’s exposure to new contracts referencing these rates is limited to transactions entered into for risk management purposes and the Group has monitoring controls in place to assess USD LIBOR exposures on a regular basis including assessing customers and counterparties for readiness to transition or the inclusion of fallback provisions as well as compliance with an overall objective to transition away from USD LIBOR transactions.

84 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 22 Risk management, funding and liquidity risk and market risk (continued)

Financial instruments impacted by IBOR reform post transition date

Derivatives

The following table summarises the Group’s derivative financial instrument exposures that are impacted by IBOR reform that are yet to transition to ARR. While these exposures reference benchmark rates impacted by the IBOR reform as at 30 September 2022, almost all have bilateral adherence from our counterparties to the fallback clauses issued by the International Swaps and Derivatives Association (ISDA) in the ISDA 2020 IBOR Fallbacks Protocol which provides a standardised process to identify the appropriate ARR at the relevant benchmark transition date.

Consolidated and Parent Entity

Trading

Hedging

Asset

Liability

Asset

Liability

Benchmark

(Carrying

(Carrying

(Carrying

(Carrying

Notional

$m

amount)

amount)

amount)

amount)

amount

2022

USD LIBOR

14,009

13,416

321

3,643

38,037

Other

92

77

-

-

-

Total impacted by IBOR reform post transition date

14,101

13,493

321

3,643

38,037

2021

USD LIBOR 1

6,696

4,907

1,219

221

36,004

GBP LIBOR

315

527

37

-

2,099

Other

212

111

37

-

2,823

Total impacted by IBOR reform post transition date 2

7,223

5,545

1,293

221

40,926

1.

The Group’s primary exposure to USD LIBOR as of 30 September 2021 was to settings with a transition date of 30 June 2023. The Group had no material exposures to USD LIBOR that had a 31 December 2021 transition date (i.e. 1-week and 2-month settings).

2.

Included in the table above for 30 September 2021 are cross currency swaps with a total carrying amount of $ 321 million derivative assets and $ 325 million derivative liabilities for Consolidated and Parent Entity that had exposure to IBOR reform on both the currencies referenced in the swap arrangement. The carrying amount was included in the table based on the currency of the receive leg of the swap and was primarily comprised of USD/GBP LIBOR swaps with a carrying amount of $ 240 million derivative assets and $ 282 million derivative liabilities for Consolidated and Parent Entity. Other currency pairs had a carrying value of $ 81 million derivative assets and $ 43 million derivative liabilities for Consolidated and Parent Entity.

For hedging derivatives, the extent of the risk exposure also reflects the notional amounts of related hedging instruments.

WESTPAC GROUP 2022 ANNUAL REPORT 85

Notes to the financial statements

Note 22 Risk management, funding and liquidity risk and market risk (continued)

Non-derivatives

The following tables summarise the Group’s non-derivative financial instrument exposures that are impacted by IBOR reform that are yet to transition to ARR. The Group is engaging with its customers and counterparties to transition or include appropriate fallback provisions. Due to the nature of these contracts, these fallback provisions will be determined bilaterally with the customer or counterparty rather than the standardised basis provided by the ISDA protocols applicable to our derivative contracts.

Non-derivative exposures

Benchmark

Financial assets

Financial liabilities

Undrawn credit commitments 1

$m

(Carrying amount)

(Carrying amount)

(Notional contractual amount)

Consolidated

2022

USD LIBOR

3,029

1,551

819

Other

9

-

-

Total impacted by IBOR reform post transition date

3,038

1,551

819

2021

USD LIBOR 2

3,083

1,399

366

GBP LIBOR

267

-

182

Other

33

-

5

Total impacted by IBOR reform post transition date

3,383

1,399

553

Parent Entity

2022

USD LIBOR

2,884

1,500

813

Other

9

-

-

Total impacted by IBOR reform post transition date

2,893

1,500

813

2021

USD LIBOR 2

2,846

1,344

364

GBP LIBOR

254

-

181

Other

15

-

4

Total impacted by IBOR reform post transition date

3,115

1,344

549

1.

Where a multi-currency facility has been partially drawn down and references a benchmark rate impacted by the IBOR reform, the undrawn balance has been included in the table above for undrawn credit commitments impacted by IBOR reform based on the currency of the drawn portion. These balances do not include balances for multi-currency facilities which are yet to be drawn down and where it is not known whether a customer will choose to drawn down funds linked to an IBOR benchmark.

2.

The Group’s primary exposure to USD LIBOR as of 30 September 2021 was to settings with a transition date of 30 June 2023. The Group had no material exposures to USD LIBOR that had a 31 December 2021 transition date (i.e. 1-week and 2-month settings).

86 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 23. Fair values of financial assets and financial liabilities

Accounting policy

The fair value of a financial instrument is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date.

On initial recognition, the transaction price generally represents the fair value of the financial instrument unless there is observable information from an active market to the contrary. Where unobservable information is used, the difference between the transaction price and the fair value (day one profit or loss) is recognised in the income statement over the life of the instrument when the inputs become observable.

Critical accounting assumptions and estimates

The majority of valuation models used by the Group employ only observable market data as inputs. However, for certain financial instruments data may be employed which is not readily observable in current markets.

The availability of observable inputs is influenced by factors such as:

product type;

depth of market activity;

maturity of market models; and

complexity of the transaction.

Where unobservable market data is used, more judgement is required to determine fair value. The significance of these judgements depends on the significance of the unobservable input to the overall valuation. Unobservable inputs are generally derived from other relevant market data and adjusted against:

standard industry practice;

economic models; and

observed transaction prices.

In order to determine a reliable fair value for a financial instrument, management may apply adjustments to the techniques previously described. These adjustments reflect the Group’s assessment of factors that market participants would consider in setting the fair value.

These adjustments incorporate bid/offer spreads, credit valuation adjustments (CVA) and funding valuation adjustments (FVA).

Fair Valuation Control Framework

The Group uses a Fair Valuation Control Framework where the fair value is either determined or validated by a function independent of the transaction. This framework formalises the policies and procedures used to achieve compliance with relevant accounting, industry and regulatory standards. The framework includes specific controls relating to:

the revaluation of financial instruments;
independent price verification;
fair value adjustments; and
financial reporting.

A key element of the framework is the Revaluation Committee, comprising senior valuation specialists from within the Group. The Revaluation Committee reviews the application of the agreed policies and procedures to assess that a fair value measurement basis has been applied.

The method of determining fair value differs depending on the information available.

Fair value hierarchy

A financial instrument’s categorisation within the valuation hierarchy is based on the lowest level input that is significant to the fair value measurement.

The Group categorises all fair value instruments according to the hierarchy described below.

Valuation techniques

The Group applies market accepted valuation techniques in determining the fair valuation of over the counter (OTC) derivatives. This includes CVA and FVA, which incorporate credit risk and funding costs and benefits that arise in relation to uncollateralised derivative positions, respectively.

WESTPAC GROUP 2022 ANNUAL REPORT 87

Notes to the financial statements

Note 23. Fair values of financial assets and financial liabilities (continued)

The specific valuation techniques, the observability of the inputs used in valuation models and the subsequent classification for each significant product category are outlined as follows:

Level 1 instruments (Level 1)

The fair value of financial instruments traded in active markets is based on recent unadjusted quoted prices. These prices are based on actual arm’s length basis transactions.

The valuations of Level 1 instruments require little or no management judgement.

Instrument

Balance sheet category

Includes

Valuation

Exchange traded products

Derivatives

Exchange traded interest rate futures and options and commodity and carbon futures

FX products

Derivatives

FX spot and futures contracts

Equity products

Derivatives

Trading securities and financial assets measured at FVIS

Other financial liabilities

Listed equities and equity indices

All these instruments are traded in liquid, active markets where prices are readily observable. No modelling or assumptions are used in the valuation.

Debt instruments

Trading securities and financial assets measured at FVIS

Investment securities

Other financial liabilities

Australian Commonwealth and New Zealand government bonds

Life insurance assets

Life insurance assets included in assets held for sale

Listed equities, exchange traded derivatives and short sale of listed equities within controlled managed investment schemes

Level 2 instruments (Level 2)

The fair value for financial instruments that are not actively traded is determined using valuation techniques which maximise the use of observable market prices. Valuation techniques include:

the use of market standard discounting methodologies;
option pricing models; and
other valuation techniques widely used and accepted by market participants.

Instrument

Balance sheet category

Includes

Valuation

Interest rate products

Derivatives

Interest rate and inflation swaps, swaptions, caps, floors, collars and other non-vanilla interest rate derivatives

Industry standard valuation models are used to calculate the expected future value of payments by product, which is discounted back to a present value. The model’s interest rate inputs are benchmark and active quoted interest rates in the swap, bond and futures markets. Interest rate volatilities are sourced from brokers and consensus data providers. If consensus prices are not available, these are classified as Level 3 instruments.

FX products

Derivatives

FX swaps, FX forward contracts, FX options and other non-vanilla FX derivatives

Derived from market observable inputs or consensus pricing providers using industry standard models. If consensus prices are not available, these are classified as Level 3 instruments.

Other credit products

Derivatives

Single name and index credit default swaps (CDS)

Valued using an industry standard model that incorporates the credit spread as its principal input. Credit spreads are obtained from consensus data providers. If consensus prices are not available, these are classified as Level 3 instruments.

88 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 23. Fair values of financial assets and financial liabilities (continued)

Level 2 instruments (Level 2) (continued)

Instrument

Balance sheet category

Includes

Valuation

Commodity products

Derivatives

Commodity and carbon derivatives

Valued using industry standard models.

The models calculate the expected future value of deliveries and payments and discount them back to a present value. The model inputs include forward curves, volatilities implied from market observable inputs, discount curves and underlying spot and futures prices. The significant inputs are market observable or available through a consensus data service. If consensus prices are not available, these are classified as Level 3 instruments.

Equity products

Derivatives

Exchange traded equity options, OTC equity options and equity warrants

Due to low liquidity, exchange traded options are Level 2.

Valued using industry standard models based on observable parameters such as stock prices, dividends, volatilities and interest rates.

Asset backed debt instruments

Trading securities and financial assets measured at FVIS

Investment securities

Australian residential mortgage backed securities (RMBS) and other asset backed securities (ABS)

Valued using an industry approach to value floating rate debt with prepayment features. Australian RMBS are valued using prices sourced from a consensus data provider. If consensus prices are not available these are classified as Level 3 instruments.

Non-asset backed debt instruments

Trading securities and financial assets measured at FVIS

Investment securities

Other financial liabilities

State and other government bonds, corporate bonds and commercial paper

Repurchase agreements and reverse repurchase agreements over non-asset backed debt securities

Valued using observable market prices, which are sourced from independent pricing services, broker quotes or inter-dealer prices. If prices are not available from these sources, these are classified as Level 3 instruments.

Loans at fair value

Loans

Fixed rate bills and syndicated loans

Discounted cash flow approach, using a discount rate which reflects the terms of the instrument and the timing of cash flows, adjusted for creditworthiness, or expected sale amount.

Certificates of deposit

Deposits and other borrowings

Certificates of deposit

Discounted cash flow using market rates offered for deposits of similar remaining maturities.

Debt issues at fair value

Debt issues

Debt issues

Discounted cash flows, using a discount rate which reflects the terms of the instrument and the timing of cash flows adjusted for market observable changes in Westpac’s implied credit worthiness.

Life insurance assets and liabilities

Life insurance assets included in assets held for sale

Life insurance liabilities included in liabilities held for sale

Corporate bonds, OTC derivatives, units in unlisted unit trusts, life insurance contract liabilities, life investment contract liabilities and external liabilities of managed investment schemes controlled by statutory life funds

Valued using observable market prices or other widely used and accepted valuation techniques utilising observable market input.

WESTPAC GROUP 2022 ANNUAL REPORT 89

Notes to the financial statements

Note 23. Fair values of financial assets and financial liabilities (continued)

Level 3 instruments (Level 3)

Financial instruments valued where at least one input that could have a significant effect on the instrument’s valuation is not based on observable market data due to illiquidity or complexity of the product. These inputs are generally derived and extrapolated from other relevant market data and calibrated against current market trends and historical transactions.

These valuations are calculated using a high degree of management judgement.

Instrument

Balance sheet category

Includes

Valuation

Debt instruments

Trading securities and financial assets measured at FVIS

Investment securities

Certain debt securities with low observability, usually issued via private placement

These securities are evaluated by an independent pricing service or based on third party revaluations. Due to their illiquidity and/or complexity these are classified as Level 3 assets.

Equity instruments

Trading securities and financial assets measured at FVIS

Investment securities

Strategic equity investments

Valued using valuation techniques appropriate to the instrument, including the use of recent arm’s length transactions where available, discounted cash flow approach or reference to the net assets of the entity.

Due to their illiquidity, complexity and/or use of unobservable inputs into valuation models, they are classified as Level 3 assets.

90 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 23. Fair values of financial assets and financial liabilities (continued)

The following tables summarise the attribution of financial instruments measured at fair value to the fair value hierarchy.

2022

2021

$m

Level 1

Level 2

Level 3

Total

Level 1

Level 2

Level 3

Total

Consolidated

Financial assets measured at fair value on a recurring basis

Trading securities and financial assets measured at FVIS

2,039

22,275

18

24,332

6,221

14,875

5

21,101

Derivative financial instruments

68

41,202

13

41,283

22

19,305

26

19,353

Investment securities

12,634

62,263

387

75,284

19,282

62,923

277

82,482

Loans

-

45

27

72

-

74

36

110

Assets held for sale

-

-

-

-

1,309

1,663

-

2,972

Total financial assets measured at fair value on a recurring basis

14,741

125,785

445

140,971

26,834

98,840

344

126,018

Financial liabilities measured at fair value on a recurring basis

Deposits and other borrowings 1

-

46,331

-

46,331

-

46,665

-

46,665

Other financial liabilities 2

2,006

9,319

-

11,325

1,478

4,968

-

6,446

Derivative financial instruments

51

39,494

23

39,568

35

17,992

32

18,059

Debt issues 3

-

6,740

-

6,740

-

5,514

-

5,514

Liabilities held for sale

-

-

-

-

-

447

-

447

Total financial liabilities measured at fair value on a recurring basis

2,057

101,884

23

103,964

1,513

75,586

32

77,131

Parent Entity

Financial assets measured at fair value on a recurring basis

Trading securities and financial assets measured at FVIS

1,964

20,435

18

22,417

5,542

13,233

4

18,779

Derivative financial instruments

68

41,046

13

41,127

22

19,081

24

19,127

Investment securities

10,887

59,055

157

70,099

17,228

60,511

75

77,814

Loans

-

45

9

54

-

74

17

91

Due from subsidiaries

-

1,966

-

1,966

-

1,163

-

1,163

Total financial assets measured at fair value on a recurring basis

12,919

122,547

197

135,663

22,792

94,062

120

116,974

Financial liabilities measured at fair value on a recurring basis

Deposits and other borrowings 1

-

43,742

-

43,742

-

43,372

-

43,372

Other financial liabilities 2

2,006

9,319

-

11,325

1,478

4,415

-

5,893

Derivative financial instruments

51

39,384

23

39,458

35

17,822

32

17,889

Debt issues 3

-

1,905

-

1,905

-

2,664

-

2,664

Due to subsidiaries

-

1,906

-

1,906

-

867

-

867

Total financial liabilities measured at fair value on a recurring basis

2,057

96,256

23

98,336

1,513

69,140

32

70,685

1.

The contractual outstanding amount payable at maturity was $ 46,535 million (2021: $ 46,661 million) for the Group and $ 43,926 million (2021: $ 43,367 million) for the Parent Entity.

2.

The contractual outstanding amount payable at maturity for the Group is $ 11,330 million (2021: $ 6,446 million) and $ 11,330 million for the Parent Entity (2021: $ 5,893 million).

3.

The contractual outstanding amount payable at maturity was $ 7,193 million (2021: $ 5,357 million) for the Group and $ 2,302 million (2021: $ 2,507 million) for the Parent Entity. The cumulative change in the fair value of debt issues attributable to changes in Westpac’s own credit risk was $ 66 million decrease (2021: $ 14 million increase) for the Group and Parent Entity.

WESTPAC GROUP 2022 ANNUAL REPORT 91

Notes to the financial statements

Note 23. Fair values of financial assets and financial liabilities (continued)

Reconciliation of non-market observables

The following tables summarise the changes in financial instruments measured at fair value derived from non-market observable valuation techniques (Level 3).

Trading

securities and

financial assets

Total

Total

measured

Investment

Level 3

Level 3

$m

at FVIS

securities

Other 1

assets

Derivatives

liabilities

Consolidated

Balance as at 30 September 2020

221

153

25

399

13

13

Gains/(losses) on assets/(gains)/losses on liabilities recognised in:

Income statements

548

-

20

568

16

16

OCI

-

50

-

50

-

-

Acquisitions and issues

2

257

10

269

8

8

Disposals and settlements

( 665 )

( 7 )

( 15 )

( 687 )

( 4 )

( 4 )

Transfer into or out of non-market observables

( 101 )

( 176 )

22

( 255 )

( 1 )

( 1 )

Balance as at 30 September 2021

5

277

62

344

32

32

Gains/(losses) on assets/(gains)/losses on liabilities recognised in:

Income statements

-

-

( 12 )

( 12 )

( 5 )

( 5 )

OCI

-

99

-

99

-

-

Acquisitions and issues

16

65

6

87

2

2

Disposals and settlements

( 3 )

( 54 )

( 15 )

( 72 )

( 2 )

( 2 )

Transfer into or out of non-market observables

-

-

-

-

( 4 )

( 4 )

Foreign currency translation impacts

-

-

( 1 )

( 1 )

-

-

Balance as at 30 September 2022

18

387

40

445

23

23

Unrealised gains/(losses) recognised in the income statements for financial instruments held as at:

30 September 2021

3

-

25

28

( 24 )

( 24 )

30 September 2022

( 1 )

-

( 7 )

( 8 )

3

3

Parent Entity

Balance as at 30 September 2020

193

69

24

286

13

13

Gains/(losses) on assets/(gains)/losses on liabilities recognised in:

Income statements

3

-

20

23

16

16

OCI

-

( 2 )

-

( 2 )

-

-

Acquisitions and issues

1

183

8

192

8

8

Disposals and settlements

( 193 )

-

( 10 )

( 203 )

( 4 )

( 4 )

Transfer into or out of non-market observables

-

( 175 )

( 1 )

( 176 )

( 1 )

( 1 )

Balance as at 30 September 2021

4

75

41

120

32

32

Gains/(losses) on assets/(gains)/losses on liabilities recognised in:

Income statements

-

-

( 12 )

( 12 )

( 5 )

( 5 )

OCI

-

1

-

1

-

-

Acquisitions and issues

17

85

5

107

2

2

Disposals and settlements

( 3 )

( 4 )

( 12 )

( 19 )

( 2 )

( 2 )

Transfer into or out of non-market observables

-

-

-

-

( 4 )

( 4 )

Balance as at 30 September 2022

18

157

22

197

23

23

Unrealised gains/(losses) recognised in the income statements for financial instruments held as at:

30 September 2021

3

-

25

28

( 24 )

( 24 )

30 September 2022

( 1 )

-

( 7 )

( 8 )

3

3

1.

Other is comprised of derivative financial assets and certain loans.

92 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 23. Fair values of financial assets and financial liabilities (continued)

Transfers into and out of Level 3 have occurred due to changes in observability in the significant inputs into the valuation models used to determine the fair value of the related financial instruments. Transfers in and transfers out are reported using the end of year fair values.

Significant unobservable inputs

Sensitivities to reasonably possible changes in non-market observable valuation assumptions would not have a material impact on the Group’s reported results.

Day one profit or loss

The closing balance of unrecognised day one profit for both the Group and the Parent Entity for the year was $1 million (2021: $1 million).

Financial instruments not measured at fair value

For financial instruments not measured at fair value on a recurring basis, fair value has been derived as follows:

Instrument

Valuation

Loans

Where available, the fair value of loans is based on observable market transactions, otherwise fair value is estimated using discounted cash flow models. For variable rate loans, the discount rate used is the current effective interest rate. The discount rate applied for fixed rate loans reflects the market rate for the maturity of the loan and the credit worthiness of the borrower.

Investment securities

The carrying value approximates the fair value. The balance principally relates to government securities from illiquid markets. Fair value is monitored by reference to recent issuances.

Deposits and other borrowings

Fair values of deposit liabilities payable on demand (non-interest bearing, interest bearing and savings deposits) approximate their carrying value. Fair values for term deposits are estimated using discounted cash flows, applying market rates offered for deposits of similar remaining maturities.

Debt issues and loan capital

Fair values are calculated using a discounted cash flow model. The discount rates applied reflect the terms of the instruments, the timing of the estimated cash flows and are adjusted for any changes in Westpac’s credit spreads.

Assets and liabilities held for sale

Valuation reflects the expected sales price before transaction costs based on the terms of the sales contract.

All other financial assets and liabilities

For all other financial assets and liabilities, the carrying value approximates the fair value. These items are either short-term in nature, re-price frequently or are of a high credit rating.

WESTPAC GROUP 2022 ANNUAL REPORT 93

Notes to the financial statements

Note 23. Fair values of financial assets and financial liabilities (continued)

The following tables summarise the estimated fair value and fair value hierarchy of financial instruments not measured at fair value

Estimated fair value

Consolidated

Carrying

$m

amount

Level 1

Level 2

Level 3

Total

2022

Financial assets not measured at fair value

Cash and balances with central banks

105,257

105,257

-

-

105,257

Collateral paid

6,216

6,216

-

-

6,216

Investment securities

1,181

-

335

844

1,179

Loans

739,575

-

-

732,511

732,511

Other financial assets

5,626

-

5,626

-

5,626

Assets held for sale

20

-

20

-

20

Total financial assets not measured at fair value

857,875

111,473

5,981

733,355

850,809

Financial liabilities not measured at fair value

Collateral received

6,371

6,371

-

-

6,371

Deposits and other borrowings

612,798

-

608,397

4,737

613,134

Other financial liabilities

45,035

-

45,035

-

45,035

Debt issues 1

138,128

-

137,146

306

137,452

Loan capital 1

31,254

-

30,671

-

30,671

Liabilities held for sale

31

-

31

-

31

Total financial liabilities not measured at fair value

833,617

6,371

821,280

5,043

832,694

2021

Financial assets not measured at fair value

Cash and balances with central banks

71,353

71,353

-

-

71,353

Collateral paid

4,232

4,232

-

-

4,232

Investment securities

935

-

331

604

935

Loans

709,674

-

-

710,284

710,284

Other financial assets

6,394

-

6,394

-

6,394

Assets held for sale

1,041

7

19

1,015

1,041

Total financial assets not measured at fair value

793,629

75,592

6,744

711,903

794,239

Financial liabilities not measured at fair value

Collateral received

2,368

2,368

-

-

2,368

Deposits and other borrowings

580,290

-

576,293

3,819

580,112

Other financial liabilities

43,863

-

43,863

-

43,863

Debt issues 1

123,265

-

123,826

743

124,569

Loan capital 1

29,067

-

30,147

-

30,147

Liabilities held for sale

28

-

28

-

28

Total financial liabilities not measured at fair value

778,881

2,368

774,157

4,562

781,087

1. The estimated fair values of debt issues and loan capital include the impact of changes in Westpac’s credit spreads since origination.

94 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 23. Fair values of financial assets and financial liabilities (continued)

Estimated fair value

Parent Entity

Carrying

$m

amount

Level 1

Level 2

Level 3

Total

2022

Financial assets not measured at fair value

Cash and balances with central banks

95,182

95,182

-

-

95,182

Collateral paid

6,179

6,179

-

-

6,179

Investment securities

77

-

2

75

77

Loans

651,663

-

-

645,861

645,861

Due from subsidiaries 1

51,403

-

8,748

42,655

51,403

Other financial assets

5,228

-

5,228

-

5,228

Total financial assets not measured at fair value

809,732

101,361

13,978

688,591

803,930

Financial liabilities not measured at fair value

Collateral received

6,299

6,299

-

-

6,299

Deposits and other borrowings

543,003

-

541,916

1,435

543,351

Other financial liabilities

41,027

-

41,027

-

41,027

Debt issues 2

120,434

-

119,978

-

119,978

Due to subsidiaries

56,437

-

5,054

51,383

56,437

Loan capital 2

30,734

-

30,144

-

30,144

Total financial liabilities not measured at fair value

797,934

6,299

738,119

52,818

797,236

2021

Financial assets not measured at fair value

Cash and balances with central banks

62,754

62,754

-

-

62,754

Collateral paid

4,055

4,055

-

-

4,055

Investment securities

49

-

2

47

49

Loans

618,322

-

-

619,061

619,061

Due from subsidiaries 1,3

45,290

-

10,765

34,525

45,290

Other financial assets

5,486

-

5,486

-

5,486

Assets held for sale

1,015

-

-

1,015

1,015

Total financial assets not measured at fair value 3

736,971

66,809

16,253

654,648

737,710

Financial liabilities not measured at fair value

Collateral received

2,189

2,189

-

-

2,189

Deposits and other borrowings

506,815

-

505,367

1,241

506,608

Other financial liabilities

41,370

-

41,370

-

41,370

Debt issues 2

105,546

-

106,713

-

106,713

Due to subsidiaries 3

49,865

-

7,348

42,517

49,865

Loan capital 2

29,067

-

30,147

-

30,147

Liabilities held for sale

3

-

3

-

3

Total financial liabilities not measured at fair value 3

734,855

2,189

690,948

43,758

736,895

1.

Due from subsidiaries excluded $ 816 million (2021: $ 809 million) of long-term debt instruments with equity-like characteristics which are part of the total investment in subsidiaries .

2.

The estimated fair values of debt issues and loan capital include the impact of changes in Westpac's credit spreads since origination.

3.

Comparative has been restated due to a change in accounting policy. Refer to Note 1(a)(iii) for further details.

WESTPAC GROUP 2022 ANNUAL REPORT 95

Notes to the financial statements

Note 24. Offsetting financial assets and financial liabilities

Accounting policy

Financial assets and liabilities are presented net in the balance sheet when the Group has a legally enforceable right to offset them in all circumstances and there is an intention to settle the asset and liability on a net basis, or to realise the asset and settle the liability simultaneously. The gross assets and liabilities behind the net amounts reported in the balance sheet are disclosed in the following tables.

Some of the Group’s offsetting arrangements are not enforceable in all circumstances. The amounts in the tables below may not tie back to the balance sheet if there are balances which are not subject to offsetting or enforceable netting arrangements. The amounts presented in this note do not represent the credit risk exposure of the Group or Parent Entity. Refer to Note 12 for information on credit risk management. The offsetting and collateral arrangements and other credit risk mitigation strategies used by the Group are further explained in the ‘Management of risk mitigation’ section of Note 12.5.

Amounts subject to enforceable netting arrangements

Effects of offsetting

Amounts subject to enforceable

in the balance sheet

netting arrangements but not offset

Net amounts

Other

reported in

recognised

Financial

Consolidated

Gross

Amounts

the balance

financial

Cash

instrument

Net

$m

amounts

offset

sheet

instruments

collateral 1,2

collateral

amount

2022

Assets

Collateral paid 3

9,577

( 9,564 )

13

-

-

( 1 )

12

Derivative financial instruments 4

102,164

( 65,912 )

36,252

( 24,679 )

( 6,259 )

( 57 )

5,257

Reverse repurchase agreements 5

8,988

-

8,988

-

( 113 )

( 8,838 )

37

Loans 6

28,739

( 28,675 )

64

-

-

-

64

Total assets

149,468

( 104,151 )

45,317

( 24,679 )

( 6,372 )

( 8,896 )

5,370

Liabilities

Collateral received

6,096

( 5,737 )

359

-

-

-

359

Derivative financial instruments 4

104,644

( 69,739 )

34,905

( 24,671 )

( 5,998 )

( 2,572 )

1,664

Repurchase agreements 7

41,257

-

41,257

-

( 23 )

( 41,234 )

-

Deposits and other borrowings 6

55,332

( 28,675 )

26,657

-

-

-

26,657

Total liabilities

207,329

( 104,151 )

103,178

( 24,671 )

( 6,021 )

( 43,806 )

28,680

2021

Assets

Collateral paid 3

4,806

( 4,787 )

19

-

-

( 3 )

16

Derivative financial instruments 4

45,409

( 28,340 )

17,069

( 11,326 )

( 2,357 )

( 6 )

3,380

Reverse repurchase agreements 5

2,937

-

2,937

-

( 13 )

( 2,916 )

8

Loans 6

29,827

( 29,772 )

55

-

-

-

55

Total assets

82,979

( 62,899 )

20,080

( 11,326 )

( 2,370 )

( 2,925 )

3,459

Liabilities

Collateral received

2,763

( 2,757 )

6

-

-

-

6

Derivative financial instruments 4

46,742

( 30,370 )

16,372

( 11,328 )

( 3,895 )

( 1,149 )

-

Repurchase agreements 7

35,899

-

35,899

-

( 15 )

( 35,884 )

-

Deposits and other borrowings 6

51,236

( 29,772 )

21,464

-

-

-

21,464

Total liabilities

136,640

( 62,899 )

73,741

( 11,328 )

( 3,910 )

( 37,033 )

21,470

1.

$ 6,371 million (2021: $ 2,368 million) of cash collateral on derivative financial assets and reverse repurchase agreements, is disclosed as collateral received in the balance sheet. The remainder is included in term deposits recognised in deposits and other borrowings within Note 13 .

2.

$ 6,021 million (2021: $ 3,910 million) of cash collateral, subject to enforceable netting arrangements with derivative financial liabilities and repurchase agreements, forms part of collateral paid as disclosed in the balance sheet. The remainder of collateral paid, as disclosed in the balance sheet, consists of $ 1 million (2021: $ 3 million) in stock borrowing arrangements and $ 194 million (2021: $ 319 million) in futures margin that does not form part of this column .

3.

Gross amounts consist of variation margin held directly with central clearing counterparties and stock borrowing arrangements. Where variation margin is receivable it is reported as part of collateral paid. Where variation margin is payable it is reported as part of collateral received. Amounts offset relate to variation margin.

4.

$ 5,031 million (2021: $ 2,284 million) of derivative financial assets and $ 4,663 million (2021: $ 1,687 million) of derivative financial liabilities are not subject to enforceable netting arrangements.

5.

Reverse repurchase agreements form part of trading securities and financial assets measured at FVIS in Note 17.

6.

Gross amounts consist of debt and interest set-off accounts which meet the requirements for offsetting as described above. These accounts form part of business loans in Note 10 and part of deposits and other borrowings at amortised cost in Note 13.

7.

Repurchase agreements form part of other financial liabilities in Note 20.

96 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 24. Offsetting financial assets and financial liabilities (continued)

Amounts subject to enforceable netting arrangements

Effects of offsetting

Amounts subject to enforceable

in the balance sheet

netting arrangements but not offset

Net amounts

Other

reported in

recognised

Financial

Parent Entity

Gross

Amounts

the balance

financial

Cash

instrument

Net

$m

amounts

offset

sheet

instruments

collateral 1,2

collateral

amount

2022

Assets

Collateral paid 3

9,577

( 9,564 )

13

-

-

( 1 )

12

Derivative financial instruments 4

102,014

( 65,912 )

36,102

( 24,604 )

( 6,187 )

( 57 )

5,254

Reverse repurchase agreements 5

8,988

-

8,988

-

( 113 )

( 8,838 )

37

Loans 6

28,739

( 28,675 )

64

-

-

-

64

Total assets

149,318

( 104,151 )

45,167

( 24,604 )

( 6,300 )

( 8,896 )

5,367

Liabilities

Collateral received

6,096

( 5,737 )

359

-

-

-

359

Derivative financial instruments 4

104,540

( 69,739 )

34,801

( 24,604 )

( 5,961 )

( 2,572 )

1,664

Repurchase agreements 7

37,764

-

37,764

-

( 23 )

( 37,741 )

-

Deposits and other borrowings 6

55,332

( 28,675 )

26,657

-

-

-

26,657

Total liabilities

203,732

( 104,151 )

99,581

( 24,604 )

( 5,984 )

( 40,313 )

28,680

2021

Assets

Collateral paid 3

4,806

( 4,787 )

19

-

-

( 3 )

16

Derivative financial instruments 4

45,198

( 28,340 )

16,858

( 11,294 )

( 2,178 )

( 6 )

3,380

Reverse repurchase agreements 5

2,763

-

2,763

-

( 13 )

( 2,744 )

6

Loans 6

29,827

( 29,772 )

55

-

-

-

55

Total assets

82,594

( 62,899 )

19,695

( 11,294 )

( 2,191 )

( 2,753 )

3,457

Liabilities

Collateral received

2,763

( 2,757 )

6

-

-

-

6

Derivative financial instruments 4

46,572

( 30,370 )

16,202

( 11,294 )

( 3,718 )

( 1,190 )

-

Repurchase agreements 7

33,346

-

33,346

-

( 15 )

( 33,331 )

-

Deposits and other borrowings 6

51,236

( 29,772 )

21,464

-

-

-

21,464

Total liabilities

133,917

( 62,899 )

71,018

( 11,294 )

( 3,733 )

( 34,521 )

21,470

1.

$ 6,299 million (2021: $ 2,189 million) of cash collateral on derivative financial assets and reverse repurchase agreements, is disclosed as collateral received in the balance sheet. The remainder is included in term deposits recognised in deposits and other borrowings within Note 13.

2.

$ 5,984 million (2021: $ 3,733 million) of cash collateral, subject to enforceable netting arrangements with derivative financial liabilities and repurchase agreements, forms part of collateral paid as disclosed in the balance sheet. The remainder of collateral paid, as disclosed in the balance sheet, consists of $ 1 million (2021: $ 3 million) in stock borrowing arrangements and $ 194 million (2021: $ 319 million) on futures margin that does not form part of this column.

3.

Gross amounts consist of variation margin held directly with central clearing counterparties and stock borrowing arrangements. Where variation margin is receivable it is reported as part of collateral paid. Where variation margin is payable it is reported as part of collateral received. Amounts offset relate to variation margin.

4.

$ 5,025 million (2021: $ 2,269 million) of derivative financial assets and $ 4,657 million (2021: $ 1,687 million) of derivative financial liabilities are not subject to enforceable netting arrangements.

5.

Reverse repurchase agreements form part of trading securities and financial assets measured at FVIS in Note 17.

6.

Gross amounts consist of debt and interest set-off accounts which meet the requirements for offsetting as described above. These accounts form part of business loans in Note 10 and part of deposits and other borrowings at amortised cost in Note 13.

7.

Repurchase agreements form part of other financial liabilities in Note 20.

Other recognised financial instruments

These financial assets and liabilities are subject to master netting agreements which are not enforceable in all circumstances, so they are recognised gross in the balance sheet. The offsetting rights of the master netting arrangements can only be enforced if a predetermined event occurs in the future, such as a counterparty defaulting.

Cash collateral and financial instrument collateral

These amounts are received or pledged under master netting arrangements against the gross amounts of assets and liabilities. Financial instrument collateral typically comprises securities which can be readily liquidated in the event of counterparty default. The offsetting rights of the master netting arrangement can only be enforced if a predetermined event occurs in the future, such as a counterparty defaulting.

WESTPAC GROUP 2022 ANNUAL REPORT 97

Notes to the financial statements

INTANGIBLE ASSETS, PROVISIONS, COMMITMENTS AND CONTINGENCIES

Note 25. Intangible assets

Accounting policy

Indefinite life intangible assets

Goodwill

Goodwill acquired in a business combination is initially measured at cost, generally being the excess of:

(i) the consideration paid; over

(ii) the net fair value of the identifiable assets, liabilities and contingent liabilities acquired.

Subsequently, goodwill is not amortised but rather tested for impairment. Impairment is tested at least annually or whenever there is an indication of impairment. An impairment charge is recognised when a cash generating unit’s (CGU) carrying value exceeds its recoverable amount. Recoverable amount means the higher of the CGU’s fair value less costs to sell and its value-in-use.

The Group’s CGUs represent the smallest identifiable group of assets that generate cash inflows that are largely independent of the cash inflows from other assets or groups of assets. They reflect the level at which the Group monitors and manages its operations.

Brand names

Brand names acquired in a business combination including St.George, BT, BankSA and RAMS, are recognised at cost. Subsequently brand names are not amortised but tested for impairment at least annually or whenever there is an indication of impairment.

Finite life intangible assets

Finite life intangibles, such as computer software, are recognised initially at cost and subsequently at amortised cost less any impairment.

Intangible

Useful life

Depreciation method

Goodwill

Indefinite

Not applicable

Brand names

Indefinite

Not applicable

Computer software

3 to 10 years

Straight-line or the diminishing balance method (using the Sum of the Years Digits)

Critical accounting assumptions and estimates

Judgement is required in determining the fair value of assets and liabilities acquired in a business combination. A different assessment of fair values would have resulted in a different goodwill balance and different post-acquisition performance of the acquired entity.

When assessing impairment of intangible assets, significant judgement is needed to determine the appropriate cash flows and discount rates to be applied to the calculations. The significant assumptions applied to the value-in-use calculations are outlined below.

For assets other than goodwill, management also assess whether there is any indication that an impairment loss recognised in prior periods may no longer exist or may have decreased. If any such indication exists, the recoverable amount of the asset is estimated.

98 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 25. Intangible assets (continued)

Consolidated

Parent Entity

$m

2022

2021

2022

2021

Goodwill

Balance as at beginning of year

7,599

8,397

6,241

6,728

Additions 1

12

-

12

-

Disposals (refer to Note 36)

-

( 243 )

-

-

Impairment

( 122 )

( 571 )

-

( 487 )

Balances transferred to assets held for sale (refer to Note 38)

( 55 )

-

-

-

Other adjustments

( 41 )

16

-

-

Balance as at end of year

7,393

7,599

6,253

6,241

Computer software

Balance as at beginning of year

1,840

2,430

1,653

2,266

Additions

1,101

740

940

638

Impairment

( 110 )

( 485 )

( 99 )

( 475 )

Amortisation

( 545 )

( 755 )

( 502 )

( 696 )

Other adjustments

( 22 )

( 90 )

-

( 80 )

Balance as at end of year

2,264

1,840

1,992

1,653

Cost

8,068

7,770

6,945

6,681

Accumulated amortisation and impairment

( 5,804 )

( 5,930 )

( 4,953 )

( 5,028 )

Carrying amount

2,264

1,840

1,992

1,653

Brand names

670

670

636

636

Total intangible assets

10,327

10,109

8,881

8,530

Goodwill has been allocated to the following CGUs:

Consumer 2

4,829

3,359

4,484

3,144

Business 2

1,812

3,205

1,709

3,022

New Zealand

463

504

-

-

Specialist Businesses 3

289

531

60

75

Total goodwill

7,393

7,599

6,253

6,241

1.

Related to the acquisition of MoneyBrilliant Pty Ltd.

2.

Goodwill of $ 1,393 million ( $ 1,313 million for Parent Entity) has been reallocated from Business to Consumer. Mortgages that were previously included in the Business segment are now included in the mortgages line of business which forms part of the Consumer segment.

3.

The Specialist Businesses segment comprises individual CGUs (Superannuation, Platforms, Investments) to which goodwill has been allocated. The carrying amount of goodwill allocated to these individual CGUs is not significant compared to total Group goodwill.

In addition, brand names of $ 670 million for the Group have been allocated as $ 382 million to Consumer, $ 286 million to Business and $ 2 million to Specialist Businesses as at 30 September 2022 and 30 September 2021. Brand names of $ 636 million for the Parent Entity have been allocated as $ 350 million to Consumer and $ 286 million to Business as at 30 September 2022 and 30 September 2021.

WESTPAC GROUP 2022 ANNUAL REPORT 99

Notes to the financial statements

Note 25. Intangible assets (continued)

Impairment testing and results

Impairment testing is performed at least once a year, or whenever there is an indication of impairment, by comparing the recoverable amount of each CGU with the carrying amount. For assets other than goodwill management also assess whether there is any indication that an impairment loss recognised in prior periods may no longer exist or may have decreased. If any such indication exists, the recoverable amount of the asset is estimated. The primary test for recoverable amount is determined based on value-in-use which refers to the present value of expected cash flows under its current use. Fair value less costs to sell was also considered for those CGUs where value-in-use was lower than carrying value. In these cases, there was no change to the result of the impairment test.

During the year, a write-down of assets relating to the superannuation business was made in preparation for its exit. This included the write-off of all goodwill attributable to the business of $ 122 million as it was not expected to be recoverable. In addition, $ 55 million of goodwill attributable to Advance Asset Management Limited (Advance) has been reclassified to held for sale (refer to Note 38).

In the prior year, as a result of the annual impairment test in 2021, the Group recognised goodwill impairment of $ 487 million for the Group and the Parent Entity from the Westpac Institutional Bank (WIB) CGU. In addition, goodwill of $ 84 million ( nil for Parent Entity) allocated to the Lenders Mortgage Insurance CGU was written down as impaired on reclassification of the business to held for sale (refer to Note 38).

Significant assumptions used in recoverable amount calculations

The assumptions made for goodwill impairment testing for each relevant significant CGU are provided in the following table and are based on past experience and management’s expectations for the future. In the current year and given the present economic environment, the Group has reassessed these assumptions and revised them where necessary in order to provide a reasonable estimate of the value-in-use of the CGUs and Group.

Discount rate

Cash flows

Post-tax rate/Pre-tax rate

Forecast period/terminal growth rate

2022

2021

2022

2021

Westpac Institutional Bank

n/a / n/a

10.4 % / 13.8 %

n/a / n/a

5 years / 1.8 %

New Zealand

9 % / 11.5 % - 11.7 %

9 % / 12.2 %

3 years / 2 %

3 years / 2 %

All other significant CGUs

9 % / 11.6 % - 13 %

9 % / 12.5 %

3 years / 2 %

3 years / 2 %

The Group discounts the projected cash flows by its adjusted pre-tax equity rate.

The cash flows used are based on management approved forecasts. These forecasts utilise information about current and future economic conditions, observable historical information and management expectations of future business performance. The terminal growth rate represents the growth rate applied to extrapolate cash flows beyond the forecast period and reflects the lower end of the RBA’s target long-term inflation rate band. For all CGUs tested, the recoverability of goodwill is not reliant on any one particular assumption. There are no reasonably possible changes in assumptions for any significant CGU that would result in an indication of impairment or have a material impact on the Group’s reported results.

100 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 26. Provisions, contingent liabilities, contingent assets and credit commitments

Accounting policy

Provisions

Provisions are recognised for present obligations arising from past events where a payment (or other economic transfer) is likely to be necessary to settle the obligation and can be reliably estimated.

Employee benefits – long service leave provision

Long service leave is granted to certain employees in Australia and New Zealand. The provision is calculated based on the expected payments. When payments are expected to be more than one year in the future, the payments factor in expected employee service periods and average salary increases are then discounted.

Employee benefits – annual leave and other employee benefits provision

The provision for annual leave and other employee benefits (including wages and salaries, inclusive of non-monetary benefits, and any associated on-costs (e.g. payroll tax)) is calculated based on expected payments.

Provision for ECL on credit commitments

The Group is committed to provide facilities and guarantees as explained below. If it is probable that a facility will be drawn and the resulting asset will be less than the drawn amount then a provision for impairment is recognised. The provision for ECL is calculated using the methodology described in Note 11.

Compliance, Regulation and Remediation provisions

The compliance, regulation and remediation provisions relate to matters of potential misconduct in providing services to our customers identified both as a result of regulatory action and internal reviews. An assessment of the likely cost of these matters to the Group (including applicable customer refunds) is made on a case-by-case basis and specific provisions are made where appropriate.

Contingent liabilities

Contingent liabilities are possible obligations whose existence will be confirmed only by uncertain future events, and present obligations where the transfer of economic resources is not probable or cannot be reliably measured. Contingent liabilities are not recognised in the balance sheet but are disclosed unless the outflow of economic resources is remote.

Undrawn credit commitments

The Group enters into various arrangements with customers which are only recognised in the balance sheet when called upon. These arrangements include commitments to extend credit, bill endorsements, financial guarantees, standby letters of credit and underwriting facilities.

Contingent assets

Contingent assets are possible assets whose existence will be confirmed only by uncertain future events. Contingent assets are not recognised in the balance sheet but are disclosed if an inflow of economic benefits is probable.

Critical accounting assumptions and estimates

The financial reporting of provisions for litigation and non-lending losses and for compliance, regulation and remediation matters involves a significant degree of judgement in relation to identifying whether a present obligation exists and also in estimating the probability, timing, nature and quantum of the outflows that may arise from past events. These judgements are made based on the specific facts and circumstances relating to individual events.

Provisions carried for long service leave are supported by an independent actuarial report.

WESTPAC GROUP 2022 ANNUAL REPORT 101

Notes to the financial statements

Note 26. Provisions, contingent liabilities, contingent assets and credit commitments (continued)

Provisions

Annual

leave

Litigation

Provision for

Compliance,

Long

and other

and non-

ECL

Lease

Restructuring

regulation and

service

employee

lending

on credit

restoration

and other

remediation

$m

leave

benefits

losses

commitments

obligations

provisions

provisions

Total

Consolidated

Balance as at 30 September 2021

531

803

117

401

201

376

1,142

3,571

Additions

86

1,166

100

79

23

250

285

1,989

Utilisation

( 55 )

( 1,002 )

( 102 )

-

( 16 )

( 228 )

( 755 )

( 2,158 )

Reversal of unutilised provisions

( 111 )

( 45 )

( 32 )

( 61 )

-

( 43 )

( 159 )

( 451 )

Balances reclassified to liabilities held for sale (Note 38)

( 1 )

-

-

-

-

-

-

( 1 )

Balance as at 30 September 2022

450

922

83

419

208

355

513

2,950

Parent Entity

Balance as at 30 September 2021

508

739

114

352

172

373

996

3,254

Additions

101

1,116

91

79

23

228

208

1,846

Utilisation

( 59 )

( 965 )

( 92 )

-

( 16 )

( 236 )

( 641 )

( 2,009 )

Reversal of unutilised provisions

( 110 )

( 45 )

( 31 )

( 47 )

-

( 25 )

( 128 )

( 386 )

Balance as at 30 September 2022

440

845

82

384

179

340

435

2,705

Legislative liabilities

The Group had the following assessed liabilities as at 30 September 2022:

$ 23 million (2021: $ 22 million) based on an actuarial assessment as a self-insurer under the Workers’ Compensation Act 1987 and the Workplace Injury Management and Workers’ Compensation Act 1998 (New South Wales);
$ 7 million (2021: $ 7 million) based on actuarial assessment as a self-insurer under the Accident Compensation Act 1985 (Victoria);
$ 7 million (2021: $ 7 million) based on actuarial assessment as a self-insurer under the Workers’ Rehabilitation and Compensation Act 1986 (South Australia);
$ 1 million (2021: $ 1 million) based on an actuarial assessment as a self-insurer under the Workers’ Compensation and Rehabilitation Act 2003 (Queensland);
$ nil (2021 : $ nil ) based on an actuarial assessment as a self-insurer under the Workers’ Compensation A ct 1951 (Australian Capital Territory);
$ nil (2021: $ nil ) based on an actuarial assessment as a self-insurer under the Return to Work A ct 1986 (Northern Territory);
$ 1 m illion (2021: $ 1 million) based on an actuarial assessment as a self-insurer under the Workers’ Compensation and Injury Management Act 1981 ( Western Australia); and
$ 1 million (2021: $ 1 million) based on an actuarial assessment as a self-insurer under the Workers’ Rehabilitation and Compensation Act 1988 (Tasmania).

Appropriate provision has been made for these liabilities in the provision for annual leave and other employee benefits above.

102 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 26. Provisions, contingent liabilities, contingent assets and credit commitments (continued)

Provisions

Compliance, regulation and remediation provisions

Provisions for 2022 in respect of compliance, regulation and remediation include estimates of:

Customer refunds associated with matters of potential historical misconduct;
Costs of completing remediation programs; and
Potential non-lending losses and costs connected with certain litigation and regulatory investigations.

It is possible that the final outcome could be below or above the provision, if the actual outcome differs from the assumptions used in estimating the provision. Remediation processes may change over time as further facts emerge and such changes could result in a change to the final exposure.

Certain litigation

As at 30 September 2022, the Group held provisions in respect of potential non-lending losses and costs connected with certain litigation including:

A class action against BT Funds Management Limited (BTFM) and a former subsidiary, Westpac Life Insurance Services Limited (now known as TAL Life Insurance Services Limited) (WLIS) in the Federal Court of Australia in relation to aspects of BTFM’s BT Super for Life former cash investment option; and
A class action against Westpac Banking Corporation and two former subsidiaries, Westpac General Insurance Limited (now known as Allianz Australia General Insurance Limited) and WLIS in the Federal Court of Australia in relation to Westpac’s sale of consumer credit insurance (CCI) products to customers.

Subsequent to 30 September 2022 these two class actions were settled pending court approval. The settlement amounts agreed between the parties are included in the 30 September 2022 provisions.

As at the date of this report, the proposed settlements have not yet been approved by the Court. Consequently, there remains some uncertainty in respect of the settlements and the actual aggregate expense to Westpac associated with these matters.

Certain of the entities mentioned above are no longer part of the Group following the sale of those entities. Westpac has provided warranties and indemnities to the acquirers for certain pre-completion matters, conduct and risks.

Restructuring provisions

The Group carries restructuring provisions for committed business restructures and branch closures. The provisions held primarily relate to separation costs and redundancies. The increase in the current year mostly relates to business sales entered into or completed during the year. Refer to Note 38 for further details.

Lease restoration obligations

The lease restoration provision reflects an estimate of the cost of making good leasehold premises at the end of the Group’s property leases. The increase in the expected make-good cost has been treated as an addition to the right-of-use asset and is being depreciated over the remaining life of those assets.

Contingent liabilities

Contingent liabilities are possible obligations whose existence will be confirmed only by uncertain future events and present obligations where the transfer of economic resources is not probable or cannot be reliably measured. Contingent liabilities are not recognised on the balance sheet but are disclosed unless the outflow of economic resource is remote.

WESTPAC GROUP 2022 ANNUAL REPORT 103

Notes to the financial statements

Note 26. Provisions, contingent liabilities, contingent assets and credit commitments (continued)

Regulatory investigations, reviews and inquiries

Regulators, statutory authorities and other bodies routinely conduct investigations, reviews and inquiries involving the financial services sector, both in Australia and overseas. These actions may consider a range of subject matters, and in Australia, a number of investigations and reviews are currently considering potential misconduct in relation to credit and financial services. Matters the subject of such reviews are also assessed for their impact on customers, with customer remediation undertaken where appropriate in accordance with the Group’s Customer Remediation Policy.

Domestic regulators, statutory authorities and other bodies such as ASIC, APRA, AUSTRAC, BCCC, the OAIC, the ATO and the Fair Work Ombudsman, as well as certain international regulators such as the Reserve Bank of New Zealand, Financial Markets Authority and Commerce Commission in New Zealand, Monetary Authority of Singapore and Hong Kong Monetary Authority, from time to time conduct investigations, reviews or inquiries, covering a range of matters (including potential contraventions and non-compliance) involving the Group.

These currently include:

Investigations by the OAIC in relation to certain practices and systems for compliance with the Privacy Act 1988 (Cth);
The provision of superannuation, including insurance in superannuation; and
Other areas such as: risk governance; RBNZ liquidity policy and associated risk culture; prudential standards compliance; hardship and debt write-off processes; design and distribution processes; and anti-money laundering and counter-terrorism financing processes and procedures (including reporting).

It is uncertain what (if any) actions will result following the conclusion of these investigations or matters. No provisions have yet been made in relation to any financial liability that might arise in the event proceedings are pursued in relation to the matters outlined above, as any potential future liability of that kind cannot be reliably estimated at this time.

Such investigations, reviews or inquiries have previously resulted, and may in the future result in litigation (including class action proceedings and criminal proceedings), significant fines and penalties, infringement notices, enforceable undertakings, requirement to undertake a review, referral to the relevant Commonwealth or State Director of Public Prosecutions for consideration for criminal prosecution, imposition of capital or liquidity requirements, licence revocation or variation, customer remediation or other sanctions or action being taken by regulators or other parties. Given the size of Westpac, investigations have in some instances resulted, and could in the future result, in findings of a significant number of breaches of obligations. This in turn could lead to significant financial and other penalties. Prior penalties and contraventions by Westpac in relation to similar issues can also affect penalties that may be imposed.

Litigation

There are ongoing Court proceedings, claims and possible claims against the Group. Contingent liabilities exist in respect of actual and potential claims and proceedings, including those listed below. An assessment of the Group’s likely loss has been made on a case-by-case basis for the purpose of the financial statements but cannot always be reliably estimated, including in relation to those listed below. No provision has been recognised for potential losses that may arise in relation to the matters below.

Regulatory litigation

On 5 May 2021, ASIC filed civil proceedings against Westpac alleging that it had engaged in insider trading and unconscionable conduct and failed to comply with its Australian Financial Services Licence obligations. The allegations relate to interest rate hedging activity by Westpac during its involvement in the 2016 Ausgrid privatisation transaction. Westpac has filed its Response to ASIC’s Concise Statement. A hearing date for this matter has been set down for 18 March 2024.

Class actions

Westpac is defending a class action proceeding which was commenced in December 2019 in the Federal Court of Australia on behalf of certain investors who acquired an interest in Westpac securities between 16 December 2013 and 19 November 2019. The proceeding involves allegations relating to market disclosure issues connected to Westpac’s monitoring of financial crime over the relevant period, and matters which were the subject of the AUSTRAC civil proceedings. The damages sought on behalf of members of the class have not yet been specified. However, in the course of a procedural hearing, the applicant indicated that a preliminary estimate of the losses that may be alleged in respect of a subset of potential group members exceeded $ 1 billion. While it remains unclear how the applicant will ultimately formulate their estimate of alleged damages claimed on behalf of group members, it is possible that the claim may be higher (or lower) than the amount referred to above. Given the time period and the nature of the claims alleged to be in question, along with the reduction in our market capitalisation at the time of the commencement of the AUSTRAC civil proceedings, it is likely that any total alleged damages (when, and if, ultimately articulated by the applicant) will be significant. Westpac continues to deny both that its disclosure was inappropriate and, as such, that any group member has incurred damage.

104 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 26. Provisions, contingent liabilities, contingent assets and credit commitments (continued)

On 16 July 2020, a class action was commenced against Westpac Banking Corporation and St.George Finance Limited (SGF) in the Supreme Court of Victoria in relation to flex commissions paid to auto dealers from 1 March 2013 to 31 October 2018. This proceeding is one of two class actions commenced against a number of lenders in the auto finance industry. It is alleged Westpac and SGF are liable for the unfair conduct of dealers acting as credit representatives and engaged in misleading or deceptive conduct. The damages sought are unspecified. Westpac and SGF are defending the proceedings. Westpac has not paid flex commissions since 1 November 2018 following an industry-wide ban issued by ASIC.

Westpac is aware, including from media reports and other publicly available material, that at least one other class action (and possibly more) against Westpac entities is being investigated. For example, in July 2020 and again in October 2022, a law firm publicly stated that it is investigating a class action against Asgard and BTFM alleging Asgard and BTFM did not act in the best interests of members of certain superannuation funds when obtaining group insurance policies. Westpac has not been served with a claim in relation to this matter and has no further information about the scope of the proposed claim beyond the public statements issued by the law firm involved.

Internal reviews and remediation

As in prior periods, Westpac is continuing to undertake a number of reviews to identify and resolve issues that have the potential to impact our customers, employees, other stakeholders and reputation. These internal reviews continue to identify issues in respect of which we are taking steps or will take steps to put things right, including so that our customers and employees (as applicable) are not disadvantaged from certain past practices, including making compensation/remediation payments and providing refunds where appropriate. These issues include, among other things, compliance with lending obligations (including responsible lending); payroll processes, including as they relate to employee entitlements; regulatory reporting; sufficiency of training, policies and procedures; anti-money laundering and counter-terrorism financing processes and procedures (including international funds transfer instructions and other reporting); product disclosure; tax withholding processes for persons under 16; storage and use of tax file numbers and other personal information; and impacts from inadequate product governance, including the way some product terms and conditions are operationalised.

In addition, our New Zealand business is reviewing its processes for some products relating to the requirements of the New Zealand Credit Contracts and Consumer Finance Act 2003. The outcome of this complex review is uncertain and could result in customer remediation, regulatory action, litigation and reputational damage.

By undertaking these reviews, we can also improve our processes and controls. An assessment of the Group’s likely loss has been made on a case-by-case basis for the purpose of the financial statements but cannot always be reliably estimated. Even where Westpac has remediated or compensated customers, employees or issues, there can still be the risk of regulators challenging the basis, scope or pace of remediation, or imposing fines/penalties, enforceable undertakings (which may include contrition payments) or other sanctions, including civil or criminal prosecutions. Contingent liabilities may exist in respect of actual or potential claims or proceedings (which could be brought by customers, employees/unions, regulators or criminal prosecutors), compensation/remediation payments and/or refunds identified as part of these reviews.

Australian Financial Complaints Authority

Contingent liabilities also exist in relation to customer complaints brought before the Australian Financial Complaints Authority (AFCA). AFCA has the power to make determinations about complaints and can award compensation up to certain thresholds.

Financial Claims Scheme

Under the Financial Claims Scheme (FCS), the Australian Government provides depositors a free guarantee of deposits in eligible ADIs of up to and including $250,000, per account holder for protected accounts in an eligible ADI. The FCS applies to an eligible ADI if APRA has applied for the winding up of the ADI or a Banking Act statutory manager is in control of the ADI’s business, and the responsible Australian Government minister has declared that the FCS applies to the ADI .

The Financial Claims Scheme (ADIs) Lev y Act 2008 (Cth) provides for the imposition of a levy to fund the excess of certain APRA FCS costs connected to an ADI, including payments by APRA to deposit holders in a failed ADI. The levy would be imposed on liabilities of eligible ADIs to their depositors and cannot be more than 0.5% of the amount of those liabilities. A contingent liability may exist in respect of any levy imposed under the FCS.

Exposures to third parties relating to divested businesses

The Group has potential exposures relating to warranties, indemnities, and other commitments it has provided to third parties in connection with various divestments of businesses and assets. The warranties, indemnities and other commitments cover a range of matters, conduct and risks, including certain compliance, regulatory investigations and litigation matters outlined in this Note 26.

WESTPAC GROUP 2022 ANNUAL REPORT 105

Notes to the financial statements

Note 26. Provisions, contingent liabilities, contingent assets and credit commitments (continued)

Contingent tax risk

Tax and regulatory authorities in Australia and in other jurisdictions review, in the normal course of business, the direct and indirect taxation treatment of transactions (both historical and present-day transactions) undertaken by the Group. The Group also responds to various notices and requests for information it receives from tax and regulatory authorities.

These reviews, notices and requests may result in additional tax liabilities (including interest and penalties).

The Group has assessed these and other taxation matters arising in Australia and elsewhere, including seeking independent advice.

Settlement risk

The Group is subject to a credit risk exposure in the event that another counterparty fails to settle for its payments clearing activities (including foreign exchange). The Group seeks to minimise credit risk arising from settlement risk in the payments system by aligning our processing method with the legal certainty of settlement in the relevant clearing mechanism.

Parent entity guarantees and undertakings to subsidiaries

Consistent with 2021, Westpac Banking Corporation, as the parent entity of the Group, makes the following guarantees and undertakings to its subsidiaries:

Letters of comfort for certain subsidiaries which recognise that Westpac has a responsibility that those subsidiaries continue to meet their obligations; and
Guarantees to certain wholly owned subsidiaries which are Australian financial services or credit licensees to comply with legislative requirements. All but two guarantees are capped at $ 20 million per year (with an automatic reinstatement for another $ 20 million) and two specific guarantees are capped at $ 2 million (with an automatic reinstatement for another $ 2 million).

Contingent assets

The credit commitments shown in the following table also constitute contingent assets. These commitments would be classified as loans in the balance sheet on the contingent event occurring.

Undrawn credit commitments

The Group enters into various arrangements with customers which are only recognised in the balance sheet when called upon. These arrangements include commitments to extend credit, bill endorsements, financial guarantees, standby letters of credit and underwriting facilities.

They expose the Group to liquidity risk when called upon and also to credit risk if the customer fails to repay the amounts owed at the due date. The maximum exposure to credit loss is the contractual or notional amount of the instruments. Some of the arrangements can be cancelled by the Group at any time and a significant portion is expected to expire without being drawn. The actual liquidity and credit risk exposure varies in line with amounts drawn and may be less than the amounts disclosed.

The Group uses the same credit policies when entering into these arrangements as it does for on-balance sheet instruments. Refer to Notes 12 and 22 for further details of liquidity risk and credit risk management.

Undrawn credit commitments excluding derivatives are as follows:

Consolidated

Parent Entity

$m

2022

2021

2022

2021

Undrawn credit commitments

Letters of credit and guarantees 1

11,868

11,323

11,324

10,796

Commitments to extend credit 2

188,183

188,768

165,260

163,685

Other

48

-

48

-

Total undrawn credit commitments 3

200,099

200,091

176,632

174,481

1.

Standby letters of credit are undertakings to pay, against presentation documents, an obligation in the event of a default by a customer. Guarantees are unconditional undertakings given to support the obligations of a customer to third parties. The Group may hold cash as collateral for certain guarantees issued.

2.

Commitments to extend credit include all obligations on the part of the Group to provide credit facilities. As facilities may expire without being drawn upon, the notional amounts do not necessarily reflect future cash requirements. In addition to the commitments disclosed above, at 30 September 2022 the Group had offered $ 10.4 billion (2021 : $ 9.7 billion) of facilities to customers, which had not yet been accepted.

3.

There is nil (2021 : $ 0.8 billion) undrawn credit commitments related to facilities which are held for sale.

106 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

CAPITAL AND DIVIDENDS

Note 27. Shareholders’ equity

Accounting policy

Share capital

Ordinary shares are recognised at the amount paid up per ordinary share, net of directly attributable issue costs. Treasury shares are shares in the Parent Entity, purchased by the Parent Entity or other entities within the Group. These shares are adjusted against share capital as the net of the consideration paid to purchase the shares and, where applicable, any consideration received from the subsequent sale or reissue of these shares.

Non-controlling interests

Non-controlling interests represent the share in the net assets of subsidiaries attributable to equity interests that are not owned directly or indirectly by the Parent Entity.

Reserves

Foreign currency translation reserve

Exchange differences arising on translation of the Group’s foreign operations, and any offsetting gains or losses on hedging the net investment are reflected in the foreign currency translation reserve. A cumulative credit balance in this reserve would not normally be regarded as being available for payment of dividends until such gains are realised and recognised in the income statement on sale or disposal of the foreign operation.

Debt securities at FVOCI reserve

This reserve comprises the changes in fair value of debt securities measured at FVOCI (except for interest income, impairment charges and FX gains and losses which are recognised in the income statement), net of any related hedge accounting adjustments and tax. These changes are transferred to non-interest income in the income statement when the asset is disposed.

Equity securities at FVOCI reserve

This reserve comprises the changes in fair value of equity securities measured at FVOCI, net of tax. These changes are not transferred to the income statement when the asset is disposed.

Cash flow hedge reserve

This comprises the fair value gains and losses associated with the effective portion of designated cash flow hedging instruments, net of tax.

Share-based payment reserve

This comprises the fair value of equity-settled share-based payments recognised as an expense.

Other reserves

Other reserves for the Parent Entity relate to certain historic internal group restructurings performed at fair value. The reserve is eliminated on consolidation.

Other reserves for the Group consist of transactions relating to changes in the Parent Entity’s ownership of a subsidiary that do not result in a loss of control.

The amount recorded in other reserves reflects the difference between the amount by which NCI are adjusted and the fair value of any consideration paid or received.

WESTPAC GROUP 2022 ANNUAL REPORT 107

Notes to the financial statements

Note 27. Shareholders’ equity (continued)

Consolidated

Parent Entity

$m

2022

2021

2022

2021

Share capital

Ordinary share capital, fully paid

39,666

41,601

39,666

41,601

Treasury shares 1

( 655 )

( 606 )

( 713 )

( 664 )

Total share capital

39,011

40,995

38,953

40,937

NCI

57

57

-

-

1.

2022: 5,034,310 unvested RSP treasury shares held (2021: 4,363,329 ).

Ordinary shares

Westpac does not have authorised capital and the ordinary shares have no par value. Ordinary shares entitle the holder to participate in dividends and, in the event of Westpac winding up, to a share of the proceeds in proportion to the number of and amounts paid on the shares held.

Each ordinary share entitles the h older to one vote, either in person or by proxy, at a shareholder meeting.

Reconciliation of movement in number of ordinary shares

Consolidated and Parent Entity

(number)

2022

2021

Opening balance

3,668,591,808

3,611,684,870

Dividend reinvestment plan 2

-

20,213,205

Dividend reinvestment plan underwrite 3

-

36,693,733

Issued shares for the year

-

56,906,938

Off-market share buy-back 4

( 167,464,114 )

-

Closing balance

3,501,127,694

3,668,591,808

2.

The DRP for the 2022 interim dividend (as well as 2021 final dividend and 2021 interim dividend) had no impact on the number of ordinary shares on issue as Westpac arranged for the purchase of the necessary shares from the market and transfer to participants of 9,971,443 ordinary shares (2021 final dividend: 10,286,188 ordinary shares, 2021 interim dividend: 9,085,937 ordinary shares) at an average price of $ 23.96 (2021 final dividend: $ 22.34 , 2021 interim dividend: $ 25.98 ). The price per share for the issuance of shares in relation to the dividend reinvestment plan for the 2020 final dividend was $ 19.83 .

3.

The Group entered into an arrangement to fully underwrite the 2020 final dividend, referred to as a DRP underwrite. The arrangement ensured that the capital impact of the dividend was negated as new shares of equivalent value to the amount of dividend that was paid to shareholders in cash were purchased by the DRP underwriter. The price per share for the issuance of shares in relation to the 2020 DRP underwrite was $ 19.59 .

4.

On 14 February 2022, the Group announced the successful completion of its $ 3.5 billion off-market share buy-back of Westpac ordinary shares. 167,464,114 ordinary shares were bought back at $ 20.90 , and comprised a fully franked dividend component of $ 9.56 per share ( $ 1,601 million) and a capital component of $ 11.34 per share ( $ 1,902 million including transaction costs). The shares bought back were subsequently cancelled.

Ordinary shares purchased on-market

2022

Consolidated and Parent Entity

Number

Average Price ($)

For share-based payment arrangements:

Employee share plan (ESP)

1,236,092

22.83

RSP 5

2,325,190

21.35

Westpac Performance Plan (WPP) - share rights exercised

233,438

23.67

Westpac Long-Term Variable Reward Plan (LTVR) - share rights exercised

2,148

23.85

Total number of ordinary shares purchased on market

3,796,868

5.

Ordinary shares allocated to employees under the RSP are classified as treasury shares until the shares vest.

For details of the share-based payment arrangements refer to Note 32.

108 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 27. Shareholders’ equity (continued)

Reconciliation of movement in reserves

Consolidated

Parent Entity

$m

2022

2021

2022

2021

Debt securities at FVOCI reserve

Balance as at beginning of year

443

177

499

125

Net gains/(losses) from changes in fair value

( 329 )

578

( 47 )

730

Income tax effect

88

( 177 )

12

( 220 )

Transferred to income statements

( 254 )

( 195 )

( 254 )

( 195 )

Income tax effect

78

58

78

58

Loss allowance on debt securities measured at FVOCI

( 2 )

2

( 2 )

2

Other

38

-

27

( 1 )

Balance as at end of year

62

443

313

499

Equity securities at FVOCI reserve

Balance as at beginning of year

44

( 4 )

( 2 )

-

Net gains/(losses) from changes in fair value

92

50

7

( 2 )

Income tax effect

-

( 2 )

-

-

Balance as at end of year

136

44

5

( 2 )

Share-based payment reserve

Balance as at beginning of year

1,806

1,720

1,697

1,611

Share-based payment expense

87

86

87

86

Balance as at end of year

1,893

1,806

1,784

1,697

Cash flow hedge reserve

Balance as at beginning of year

196

( 42 )

135

20

Net gains/(losses) from changes in fair value

1,304

296

881

177

Income tax effect

( 383 )

( 86 )

( 265 )

( 53 )

Transferred to income statements

( 434 )

39

( 445 )

( 13 )

Income tax effect

130

( 11 )

134

4

Balance as at end of year

813

196

440

135

Foreign currency translation reserve

Balance as at beginning of year

( 241 )

( 292 )

( 222 )

( 221 )

Exchange differences on translation of foreign operations

( 500 )

249

12

40

Gains/(losses) on net investment hedges

236

( 198 )

15

( 41 )

Balance as at end of year

( 505 )

( 241 )

( 195 )

( 222 )

Other reserves

Balance as at beginning of year

( 21 )

( 15 )

41

41

Transactions with owners

-

( 6 )

-

-

Balance as at end of year

( 21 )

( 21 )

41

41

Total reserves

2,378

2,227

2,388

2,148

WESTPAC GROUP 2022 ANNUAL REPORT 109

Notes to the financial statements

Note 28. Capital adequacy

APRA measures an ADI’s regulatory capital using three measures:

Level of capital

Definition

Common Equity Tier 1 Capital (CET1)

Comprises the highest quality components of capital that consists of paid-up share capital, retained profits and certain reserves, less certain intangible assets, capitalised expenses and software, and investments and retained profits in insurance and funds management subsidiaries that are not consolidated for capital adequacy purposes.

Tier 1 Capital

The sum of CET1 and AT1 Capital. AT1 Capital comprises high quality components of capital that consists of certain securities not included in CET1, but which include loss absorbing characteristics.

Total Regulatory Capital

The sum of Tier 1 Capital and Tier 2 Capital. Tier 2 Capital includes subordinated instruments and other components of capital that, to varying degrees, do not meet the criteria for Tier 1 Capital, but nonetheless contribute to the overall strength of an ADI and its capacity to absorb losses.

Under APRA’s Prudential Standards, Australian ADIs, including Westpac, are required to maintain a minimum CET1 ratio of at least 4.5 % , Tier 1 Capital ratio of at least 6.0 % and Total Regulatory Capital ratio of at least 8.0 % . APRA may also require ADIs, including Westpac, to meet Prudential Capital Requirements (PCRs) above the industry PCRs. APRA does not allow the PCRs for individual ADIs to be disclosed.

APRA also requires ADIs to hold additional CET1 buffers comprising of:

a capital conservation buffer (CCB) of 3.5 % for ADIs designated by APRA as domestic systemically important banks (D-SIBs) unless otherwise determined by APRA, which includes a 1.0 % surcharge for D-SIBs. APRA has determined that Westpac is a D-SIB; and
a countercyclical capital buffer. The countercyclical buffer is set on a jurisdictional basis and APRA is responsible for setting the requirement in Australia. The countercyclical buffer requirement is currently set to zero for Australia and New Zealand.

APRA’s revised capital framework is effective from 1 January 2023, refer to Capital management strategy below.

Collectively, the above buffers are referred to as the “Capital Buffer” (CB). Should the CET1 capital ratio fall within the CB range restrictions on the distributions of earnings will apply. This includes restrictions on the amount of earnings that can be distributed through dividends, AT1 Capital distributions and discretionary staff bonuses.

Capital management strategy

Westpac evaluates its approach to capital management through an Internal Capital Adequacy Assessment Process (ICAAP), the key features of which include:

the development of a capital management strategy, including consideration of regulatory minimums, capital buffers and contingency plans. The current regulatory capital minimums together with the CCB are the Total CET1 Requirement. The Total CET1 Requirement for Westpac is at least 8.0 % , based on an industry minimum CET1 requirement of 4.5 % plus a capital buffer of at least 3.5 % applicable to D-SIBs 1,2;
consideration of regulatory capital requirements and the perspectives of external stakeholders including rating agencies as well as equity and debt investors; and
a stress testing framework that challenges the capital measures, coverage and requirements including the impact of adverse economic scenarios.

From 1 January 2023, APRA’s revised capital framework, including updated prudential standards for capital adequacy and credit risk capital, becomes effective. As part of the revised framework, APRA has set a Total CET1 Requirement for D-SIBs of 10.25 % . This requirement includes a CCB of 4.75 % applicable to D-SIBs and a base level for the countercyclical capital buffer of 1.0 % . APRA has also indicated that it expects that D-SIBs (including Westpac) will likely operate with CET1 capital ratio above 11 % in normal operating conditions under the new framework. Westpac will seek to operate with a CET1 capital ratio of between 11.0 % and 11.5 % (operating capital range) in normal operating conditions as measured under the new capital framework from 1 January 2023.

1.

Noting that APRA may apply higher CET1 requirements for an individual ADI.

2.

If an ADI's CET1 ratio falls below the Total CET1 Requirement (at least 8 % ), it faces restrictions on the distribution of earnings, such as dividends, distribution payments on AT1 capital instruments and discretionary staff bonuses.

110 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 29. Dividends

Consolidated

Parent Entity

$m

2022

2021

2020

2022

2021

Dividends not recognised at year end

Since year end the Directors have proposed the following dividends:

Final dividend 64 cents per share (2021: 60 cents, 2020: 31 cents) all fully franked at 30 %

2,241

2,201

1,120

2,241

2,201

Total dividends not recognised at year end

2,241

2,201

1,120

2,241

2,201

The Board has determined a final fully franked dividend of 64 cents per share, to be paid on 20 December 2022 to shareholders on the register at the record date of 18 November 2022.

Shareholders can choose to receive their dividends as cash or reinvest for an equivalent number of shares under the Dividend Reinvestment Plan (DRP).

The Board has determined to issue shares to satisfy the Dividend Reinvestment Plan (DRP) for the 2022 final ordinary dividend. The market price used to determine the number of shares issued under the DRP will be set over the 10 trading days commencing 23 November 2022, with no discount applied.

Details of dividends recognised during the year are provided in the statement of changes in equity.

Australian franking credits available to the Parent Entity for subsequent years are $ 3,298 million (2021: $ 3,857 million, 2020: $ 3,448 million). This is calculated as the year end franking credit balance, adjusted for the Australian current tax liability and the proposed 2022 final dividend.

New Zealand imputation credits

New Zealand imputation credits of NZ$ 0.08 (2021: NZ $ 0.07 , 2020: NZ $ 0.07 ) per share will be attached to the proposed 2022 final dividend. New Zealand imputation credits available to the Parent Entity for subsequent years are NZ$ 678 million ( 2021: NZ $ 820 million, 2020: NZ $ 980 million). This is calculated on the same basis as the Australian franking credits but using the New Zealand current tax liability .

GROUP STRUCTURE

Note 30. Investments in subsidiaries and associates

Accounting policy

Subsidiaries

Westpac’s subsidiaries are entities which it controls and consolidates as it is exposed to, or has rights to, variable returns from the entity, and can affect those returns through its power over the entity.

When the Group ceases to control a subsidiary, any retained interest in the entity is remeasured to fair value, with any resulting gain or loss recognised in the income statement.

Changes in the Group’s ownership interest in a subsidiary which do not result in a loss of control are accounted for as transactions with equity holders in their capacity as equity holders.

In the Parent Entity’s financial statements, investments in subsidiaries are initially recorded at cost and are subsequently held at the lower of cost and recoverable amount.

All transactions between Group entities are eliminated on consolidation.

Associates

Associates are entities in which the Group has significant influence, but not control, over the operating and financial policies. The Group accounts for associates using the equity method. The investments are initially recognised at cost (except where recognised at fair value due to a loss of control of a subsidiary), and increased (or decreased) each year by the Group’s share of the associate’s profit (or loss). Dividends received from the associate reduce the investment in associate.

Overseas companies predominantly carry on business in the country of incorporation. For unincorporated entities, ‘Country of incorporation’ refers to the country where business is carried on. The financial years of all controlled entities are the same as that of Westpac unless otherwise stated. From time to time, the Group consolidates a number of unit trusts where the Group has variable returns from its involvement with the trusts, and has the ability to affect those returns through its power over the trusts. These unit trusts are excluded from the table.

WESTPAC GROUP 2022 ANNUAL REPORT 111

Notes to the financial statements

Note 30. Investments in subsidiaries and associates (continued)

The following table includes the material controlled entities of the Group as at 30 September 2022.

Country of

Country of

Name

incorporation

Name

incorporation

Advance Asset Management Limited 1

Australia

Westpac Financial Services Limited

Australia

Asgard Capital Management Limited

Australia

Westpac Overseas Holdings No. 2 Pty Limited

Australia

BT Financial Group Pty Limited

Australia

Westpac Overseas Holdings Pty Limited

Australia

BT Funds Management Limited

Australia

Westpac Securitisation Holdings Pty Limited

Australia

BT Portfolio Services Limited

Australia

Westpac Group Investment-NZ-Limited

New Zealand

Capital Finance Australia Limited

Australia

Westpac New Zealand Group Limited

New Zealand

Crusade Trust No.2P of 2008

Australia

Westpac New Zealand Limited

New Zealand

Series 2008-1M WST Trust

Australia

Westpac NZ Covered Bond Limited 2

New Zealand

Westpac Covered Bond Trust

Australia

Westpac NZ Securitisation Limited 2

New Zealand

Westpac Equity Holdings Pty Limited

Australia

Westpac Securities NZ Limited

New Zealand

Westpac Financial Services Group Limited

Australia

Westpac Bank-PNG-Limited

Papua New Guinea

1. Refer to Note 38 for details of assets and liabilities held for sale.
2. The Group indirectly owns 19 % of Westpac NZ Covered Bond Limited (WNZCBL) and Westpac NZ Securitisation Limited (WNZSL), however, due to contractual and structural arrangements both WNZCBL and WNZSL are considered to be controlled entities within the Group.

The following controlled entities have been granted relief from compliance with the balance date synchronisation provisions in the Corporations Act 2001 : Westpac Cash PIE Fund; Westpac Notice Saver PIE Fund; and Westpac Term PIE Fund.

The following material controlled entities are not wholly owned:

Percentage Owned

2022

2021

Westpac Bank-PNG-Limited

89.9 %

89.9 %

Westpac NZ Covered Bond Limited

19.0 %

19.0 %

Westpac NZ Securitisation Limited

19.0 %

19.0 %

112 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 30. Investments in subsidiaries and associates (continued)

Non-controlling interests

Details of the balance of NCIs are set out in Note 27. There are no NCIs that are material to the Group.

Significant restrictions

There were no other significant restrictions on the ability to transfer cash or other assets, pay dividends or other capital distributions, provide or repay loans and advances between the entities within the Group. There were also no significant restrictions on Westpac’s ability to access or use the assets and settle the liabilities of the Group resulting from protective rights of NCIs.

Associates

There are no associates that are material to the Group.

Changes in ownership of subsidiaries

Businesses acquired during the year ending 30 September 2022

During 2022, Westpac acquired MoneyBrilliant Pty Ltd ( 100 % interest) on 13 December 2021.

Businesses disposed during the year ending 30 September 2022

Westpac sold its interest in the following business during the year:

Westpac Life-NZ- Limited (sold on 28 February 2022);
Westpac Motor Vehicle Dealer Finance and Novated Leasing business (sold on 24 March 2022); and
Westpac Life Insurance Services Limited (sold on 1 August 2022).

Refer to Notes 36 and 38 for further details of businesses disposed in 2022.

Businesses disposed during the year ending 30 September 2021

Westpac sold its interest in the following business during the year:

Westpac General Insurance Limited (sold on 1 July 2021);
Westpac General Insurance Services Limited (sold on 1 July 2021);
Westpac Vendor Finance business (sold on 31 July 2021); and
Westpac Lenders Mortgage Insurance Limited (sold on 31 August 2021).

Businesses disposed during the year ending 30 September 2020

No businesses were sold in 2020.

Note 31. Structured entities

Accounting policy

Structured entities are generally created to achieve a specific, defined objective and their operations are restricted such as only purchasing specific assets. Structured entities are commonly financed by debt or equity securities that are collateralised by and/or indexed to their underlying assets. The debt and equity securities issued by structured entities may include tranches with varying levels of subordination.

Structured entities are classified as subsidiaries and consolidated if they meet the definition in Note 30. If the Group does not control a structured entity then it will not be consolidated.

The Group engages in various transactions with both consolidated and unconsolidated structured entities that are mainly involved in securitisations, asset backed and other financing structures and managed funds.

Consolidated structured entities

Securitisation and covered bonds

The Group uses structured entities to securitise its financial assets, including two covered bond programs, to assign pools of residential mortgages to bankruptcy remote structured entities.

Refer to Note 16 for further details.

WESTPAC GROUP 2022 ANNUAL REPORT 113

Notes to the financial statements

Note 31. Structured entities (continued)

Group managed funds

The Group acts as the responsible entity and/or fund manager for various investment management funds. As fund manager, if the Group is deemed to be acting as a principal rather than an agent then it consolidates the fund. The principal versus agent decision requires judgement of whether the Group has sufficient exposure to variable returns.

Non-contractual financial support

The Group does not provide non-contractual financial support to these consolidated structured entities.

Unconsolidated structured entities

The Group has interests in various unconsolidated structured entities including debt or equity instruments, guarantees, liquidity and other credit support arrangements, lending, loan commitments, certain derivatives and investment management agreements.

Interests exclude non-complex derivatives (e.g. interest rate or currency swaps), instruments that create, rather than absorb, variability in the entity (e.g. credit protection under a credit default swap), and lending to a structured entity with recourse to a wider operating entity, not just the structured entity.

The Group’s main interests in unconsolidated structured entities, which arise in the normal course of business, are:

Trading securities

The Group actively trades interests in structured entities and normally has no other involvement with the structured entity. The Group earns interest income on these securities and also recognises fair value changes through trading income in non-interest income.

Investment securities

The Group holds mortgage-backed securities for liquidity purposes and the Group normally has no other involvement with the structured entity. These assets are highly-rated, investment grade and eligible for repurchase agreements with the RBA or another central bank. The Group earns interest income and net gains or losses on selling these assets are recognised in the income statements.

Loans and other credit commitments

The Group lends to unconsolidated structured entities, subject to the Group’s collateral and credit approval processes, in order to earn interest and fee income. The structured entities are mainly property trusts, securitisation entities and those associated with project and property financing transactions.

Investment management agreements

The Group manages funds that provide customers with investment opportunities. The Group also manages superannuation funds for its employees. The Group earns management and performance fee income which is recognised in non-interest income.

The Group may also retain units in these investment management funds. The Group earns fund distribution income and recognises fair value movements through non-interest income.

The following tables show the Group’s interests in unconsolidated structured entities and its maximum exposure to loss in relation to those interests. The maximum exposure does not take into account any collateral or hedges that will reduce the risk of loss.

For on-balance sheet instruments, including debt and equity instruments in and loans to unconsolidated structured entities, the maximum exposure to loss is the carrying value.
For off-balance sheet instruments, including liquidity facilities, loan and other credit commitments and guarantees, the maximum exposure to loss is the notional amounts.

114 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 31. Structured entities (continued)

Investment in

third party

mortgage and

Interest

other

Financing to

Group

in other

Consolidated

asset-backed

securitisation

managed

structured

$m

securities 1

vehicles

funds

entities

Total

2022

Assets

Trading securities and financial assets measured at FVIS

2,467

-

1

6

2,474

Investment securities

4,996

-

-

-

4,996

Loans

-

28,852

-

8,727

37,579

Other financial assets

1

-

67

-

68

Assets held for sale

-

-

20

-

20

Total on-balance sheet exposures

7,464

28,852

88

8,733

45,137

Total notional amounts of off-balance sheet exposures

-

7,051

14

4,189

11,254

Maximum exposure to loss

7,464

35,903

102

12,922

56,391

Size of structured entities 2

69,883

35,903

65,602

28,178

199,566

2021

Assets

Trading securities and financial assets measured at FVIS

2,694

-

-

40

2,734

Investment securities

5,352

-

-

-

5,352

Loans

-

23,028

-

18,415

41,443

Other financial assets

-

-

55

-

55

Assets held for sale

-

-

232

695

927

Total on-balance sheet exposures

8,046

23,028

287

19,150

50,511

Total notional amounts of off-balance sheet exposures

-

6,609

15

8,553

15,177

Maximum exposure to loss

8,046

29,637

302

27,703

65,688

Size of structured entities 2

74,925

29,637

77,036

48,309

229,907

1.

The Group’s interests in third-party mortgages and other asset-backed securities are senior tranches of notes and are investment grade rated.

2.

Represents either the total assets or market capitalisation of the entity, or if not available, the Group’s total committed exposure (for lending arrangements and external debt and equity holdings), funds under management (for Group managed funds) or the total value of notes on issue (for investments in third-party asset-backed securities).

Non-contractual financial support

The Group does not provide non-contractual financial support to these unconsolidated structured entities.

WESTPAC GROUP 2022 ANNUAL REPORT 115

Notes to the financial statements

OTHER

Note 32. Share- based payments

Accounting policy

The Group enters into various share-based payment arrangements with its employees as a component of overall compensation for services provided. Share-based payment arrangements comprise rights to receive shares for free (share rights) and restricted shares (issued at no cost). Share-based payment arrangements typically require a specified period of continuing employment (the service period or vesting period) and may include performance targets (vesting conditions). Specific details of each arrangement are provided below.

Share-based payments must be classified as either cash-settled or equity-settled arrangements. The Group’s significant arrangements are equity-settled, as the Group is not obliged to settle in cash.

Share rights

Share rights are equity-settled arrangements. The fair value is measured at grant date and is recognised as an expense over the service period, with a corresponding increase in the share-based payment reserve in equity.

The fair values of share rights are estimated at grant date using a binomial/Monte Carlo simulation pricing model which incorporates the vesting and market-related performance targets of the grants. The fair value of share rights excludes non-market vesting conditions such as employees’ continuing employment by the Group. The non-market vesting conditions are instead incorporated in estimating the number of share rights that are expected to vest and are therefore recognised as an expense. At each reporting date the non-market vesting assumptions are revised and the expense recognised each year takes into account the most recent estimates. The market-related assumptions are not revised each year as the fair value is not re-estimated after the grant date.

Restricted share plan (RSP)

The RSP is accounted for as an equity-settled arrangement. The fair value of shares allocated to employees for nil consideration is recognised as an expense over the vesting period with a corresponding increase in the share-based payments reserve in equity. The fair value of ordinary shares issued to satisfy the obligation to employees is measured at grant date and is recognised as a separate component of equity.

Employee share plan (ESP)

The value of shares expected to be allocated to employees for nil consideration is recognised as an expense over the financial year and provided for as other employee benefits. The fair value of any ordinary shares issued to satisfy the obligation to employees is recognised in equity. Alternatively, shares may be purchased on-market to satisfy the obligation to employees.

Scheme name

Westpac Long Term Variable
Reward Plan (LTVR)

Westpac Performance Plan (WPP)

Restricted Share Plan
(RSP)

Employee Share Plan
(ESP)

Type of share-based payment

Share rights (allocated at no cost).

Share rights (allocated at no cost).

Westpac ordinary shares (allocated at no cost).

Westpac ordinary shares (allocated at no cost) of up to $ 1,000 per employee per year.

How it is used

Aligns executive remuneration and accountability with shareholder interests over the long term.

Primarily used for mandatory deferral of a portion of short-term variable reward for New Zealand employees and key employees based outside Australia.

Primarily used to reward key employees and for mandatory deferral of a portion of short-term variable reward for Australian employees and some other offshore jurisdictions.

To reward eligible Australian employees (unless they have already been provided instruments under another scheme for the previous year).

Exercise price

Nil

Nil

n/a

n/a

Performance hurdles

Awards from 2020 onwards: relative Total Shareholder Return (TSR) over a four-year performance period.

None

None

None

For the 2019 awards: TSR over a four-year performance period and average cash Return on Equity (cash ROE) over a three-year performance period plus one-year holding lock, each applying to half of the award.

116 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 32. Share-based payments (continued)

Scheme name

Westpac Long Term Variable
Reward Plan (LTVR)

Westpac Performance Plan (WPP)

Restricted Share Plan
(RSP)

Employee Share Plan
(ESP)

Service conditions

Continued employment throughout the vesting period or as determined by the Board.

Continued employment throughout the vesting period or as determined by the Board.

Continued employment throughout the restriction period or as determined by the Board.

Shares must normally remain within the ESP for three years from granting unless the employee leaves Westpac.

Vesting period (period over which expenses are recognised)

4 years 1

Defined period set out at time of grant 1 .

Defined period set out at time of grant.

1 year

Treatment at end of term

Automatically exercised at the end of the term.

Automatically exercised at the end of the term.

Vested shares are released from the RSP at the end of the vesting period.

Shares are released at the end of the restriction period or when the employee leaves Westpac.

Does the employee receive dividends and voting rights during the vesting period?

No

No

Yes

Yes

1. Vested share rights granted after July 2015 may be exercised up to a maximum of 15 years from their commencement date.

Each share-based payment scheme is quantified below.

(i)    Westpac Long-Term Variable Reward Plan (LTVR)

Outstanding

Outstanding

as at beginning

Granted during

Exercised

Lapsed during

Outstanding as at

and exercisable

of year

the year

during the year

the year

end of year

as at end of year

2022

Share rights

3,659,830

958,012

2,148

838,515

3,777,179

-

Weighted average remaining contractual life

12.7 years

12.7 years

2021

Share rights

3,066,326

1,383,986

1,571

788,911

3,659,830

2,148

The weighted average fair value at grant date of LTVR share rights issued during the year was $ 5.98 (2021 : $ 6.56 ).

(ii)    Westpac Performance Plan (WPP)

Outstanding

Outstanding

as at beginning

Granted during

Exercised

Lapsed during

Outstanding as at

and exercisable

of year

the year

during the year

the year

end of year

as at end of year

2022

Share rights

One-year vesting period

120,141

81,982

71,153

22,839

108,131

36,684

Two-year vesting period

201,770

84,763

102,873

30,510

153,150

48,893

Three-year vesting period

56,320

10,207

16,917

4,360

45,250

8,791

Four-year vesting period

488,340

87,842

42,495

51,424

482,263

10,916

Total share rights

866,571

264,794

233,438

109,133

788,794

105,284

Weighted average remaining contractual life

12.6 years

12.2 years

2021

Share rights

957,135

241,520

240,197

91,887

866,571

171,561

The weighted average fair value at grant date of WPP share rights issued during the year was $ 19.12 (2021 : $ 18.27 ).

WESTPAC GROUP 2022 ANNUAL REPORT 117

Notes to the financial statements

Note 32. Share-based payments (continued)

(iii)  Restricted Share Plan (RSP)

Outstanding

Outstanding

as at beginning

Granted during

Forfeited

as at end

Allocation date

of year

the year

Released

during the year

of year

2022

4,315,075

2,515,846

1,588,240

206,335

5,036,346

2021

4,389,161

2,165,046

2,012,519

226,613

4,315,075

The weighted average fair value at grant date of RSP shares issued during the year was $ 21.27 (2021 : $ 20.63 ).

(iv) Employee Share Plan (ESP)

Average

number

of shares

Total number

Allocation

Number of

allocated per

of shares

Market

Total

date

participants

participant

allocated

price per share 1

fair value

2022

19 November 2021

28,093

44

1,236,092

$

22.59

$

27,923,318

2021

20 November 2020

27,078

52

1,408,056

$

19.20

$

27,034,675

1. The market price per share for the allocation is based on the five day volume-weighted average price up to the grant date.

The 2021 ESP award was satisfied through the purchase of shares on-market.

The liability accrued for the ESP at 30 September 2022 was $ 28 million (2 021: $ 28 million) and was provided for as other employee benefits.

(v)   Other plans

Westpac also provides plans for small, specialised parts of the Group. The benefits under these plans are directly linked to growth and performance of the relevant part of the business. The plans, individually and in aggregate, are not material to the Group in terms of expenses and dilution of earnings.

The names of all persons who hold share options and/or rights currently on issue are entered in Westpac’s register of option holders which may be inspected at Link Market Services, Level 12, 680 George Street, Sydney, New South Wales.

(vi)  Fair value assumptions

The fair values of share rights have been independently calculated at their respective grant dates.

The fair value of share rights with performance targets based on relative TSR takes into account the average TSR outcome determined using a Monte Carlo simulation pricing model.

The fair values of share rights without TSR based performance targets (i.e. share rights with cash ROE performance targets and unhurdled share rights) have been determined with reference to the share price at grant date and a discount rate reflecting the expected dividend yield over their vesting periods.

Other significant assumptions include:

risk-free rates of return, applied to TSR-hurdled grants, range from 1.7 % to 2.6 % ;
a dividend yield on Westpac shares of 5.0 %, applied to TSR and ROE-hurdled grants;
volatility in Westpac’s TSR of 25 %, applied to TSR-hurdled grants; and
volatilities of, and correlation factors between, TSR of the comparator group and Westpac for TSR-hurdled grants .

118 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 33. Superannuation commitments

Accounting policy

The Group recognises an asset or a liability for its defined benefit schemes, being the net of the defined benefit obligations and the fair value of the schemes’ assets. The defined benefit obligation is calculated as the present value of the estimated future cash flows, discounted using high-quality long dated corporate bond rates.

The superannuation expense is recognised in operating expenses and remeasurements are recognised through OCI.

Critical accounting assumptions and estimates

The actuarial valuation of plan obligations is dependent upon a series of assumptions, principally price inflation, salary growth, mortality, morbidity, discount rate and investment returns. Different assumptions could significantly alter the valuation of the plan assets and obligations and the resulting remeasurement recognised in OCI and the superannuation expense recognised in the income statement.

Westpac had the following defined benefit plans at 30 September 2022:

Date of last actuarial assessment of

Name of plan

Type

Form of benefit

the funding status

Westpac Group Plan (WGP)

Defined benefit and accumulation

Indexed pension and lump sum

30 June 2021

Westpac New Zealand Superannuation Scheme (WNZS)

Defined benefit and accumulation

Indexed pension and lump sum

30 June 2020

Westpac Banking Corporation UK

Defined benefit

Indexed pension and lump sum

5 April 2021

Staff Superannuation Scheme (UKSS)

Westpac UK Medical Benefits Scheme

Defined benefit

Medical benefits

n/a

The defined benefit sections of the schemes are closed to new members. The Group has no obligation beyond the annual contributions for the accumulation or defined contribution sections of the schemes.

The WGP is the Group’s principal defined benefit plan and is managed and administered in accordance with the terms of its trust deed and relevant legislation in Australia. Its defined benefit liabilities are based on salary and length of membership for active members and inflation in the case of pensioners.

The defined benefit schemes expose the Group to the following risks:

discount rate – reductions in the discount rate would increase the present value of the future payments;
inflation rate – increases in the inflation rate would increase the payments to pensioners;
investment risk – lower investment returns would increase the contributions needed to offset the shortfall;
mortality risk – members may live longer than expected extending the cash flows payable by the Group;
behavioural risk - higher proportion of members taking some of their benefits as a pension rather than a lump sum would increase the cash flows payable by the Group; and
legislative risk – legislative changes could be made which increase the cost of providing defined benefits.

Investment risk is managed by setting benchmarks for the allocation of plan assets between asset classes. The long-term investment strategy will often adopt relatively high levels of equity investment in order to:

secure attractive long-term investment returns; and
provide an opportunity for capital appreciation and dividend growth, which gives some protection against inflation.

Funding recommendations for the WGP, WNZS and the UKSS are made based on triennial actuarial valuations. The funding valuations of the defined benefit plans are based on different assumptions to the calculation of the defined benefit surplus/deficit for accounting purposes. Based on the most recent valuations, the defined benefit plan assets are adequate to cover the present value of the accrued benefits of all members with a combined surplus of $ 53 million (2021: $ 143 million). Current contribution rates are as follows:

WGP – contributions are made to the WGP at the rate of 19.5 % of members’ salaries;
WNZS – contributions are made to the WNZS at the rate of 17 % of members’ salaries; and
UKSS – not required to make contributions under the 2021 actuarial assessment.

WESTPAC GROUP 2022 ANNUAL REPORT 119

Notes to the financial statements

Note 33. Superannuation commitments (continued)

Contributions

Consolidated

Parent Entity

$m

2022

2021

2022

2021

Employer contributions

63

33

63

31

Member contributions

9

10

9

10

Expected employer contributions for the year ended 30 September 2023 are $ 65 million.

Expense recognised

Consolidated

Parent Entity

$m

2022

2021

2020

2022

2021

Current service cost

40

45

44

40

44

Net interest cost on net benefit liability

11

12

8

11

12

Total defined benefit expense

51

57

52

51

56

Defined benefit balances recognised

Consolidated

Parent Entity

$m

2022

2021

2022

2021

Benefit obligation as at end of year

1,938

2,953

1,883

2,877

Fair value of plan assets as at end of year

2,212

2,582

2,167

2,524

Net surplus/(deficit)

274

( 371 )

284

( 353 )

Defined benefit surplus included in other assets

289

64

289

64

Defined benefit deficit included in other liabilities

( 15 )

( 435 )

( 5 )

( 417 )

Net surplus/(deficit)

274

( 371 )

284

( 353 )

The average duration of the defined benefit obligation is 12 years (2021: 15 years ).

Significant assumptions

2022

2021

Australian

Overseas

Australian

Overseas

Consolidated and Parent Entity

funds

funds

funds

funds

Discount rate

5.8 %

4.3 % - 5.2 %

3.1 %

2.1 % - 2.2 %

Salary increases

3.2 %

3.0 % - 4.3 %

3.2 %

3.0 % - 5.2 %

Inflation rate (pensioners received inflationary increase)

2.2 %

2.0 % - 3.5 %

2.2 %

2.0 % - 3.6 %

Life expectancy of a 60-year-old male

31.5

27.4 - 28.2

31.4

28.1 - 28.4

Life expectancy of a 60-year-old female

34.1

29.5 - 29.9

34.3

29.6 - 29.7

Sensitivity to changes in significant assumptions

The following table shows the impact of changes in assumptions on the defined benefit obligation for the WGP. No reasonably possible changes in the assumptions of the Group’s other defined benefit plans would have a material impact on the defined benefit obligation.

Increase in obligation

$m

2022

2021

0.5 % decrease in discount rate

121

235

0.5 % increase in annual salary increases

2

12

0.5 % increase in inflation rate (pensioners receive inflationary increase)

112

215

1 year increase in life expectancy

39

71

120 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 33. Superannuation commitments (continued)

Asset allocation

The table below provides a breakdown of the schemes’ investments by asset class.

2022

2021

Australian

Overseas

Australian

Overseas

$m

funds

funds

funds

funds

Cash

5 %

3 %

5 %

2 %

Equity instruments

42 %

8 %

47 %

7 %

Debt instruments

29 %

7 %

25 %

5 %

Property

11 %

1 %

8 %

2 %

Other assets

13 %

81 %

15 %

84 %

Total

100 %

100 %

100 %

100 %

Equity and debt instruments are mainly quoted assets while property and other assets are mainly unquoted. Other assets include infrastructure funds and private equity funds.

Note 34. Auditor’s remuneration

The fees payable to the auditor, PricewaterhouseCoopers (PwC), and overseas firms belonging to the PwC network of firms were:

Consolidated

Parent Entity

$'000

2022

2021

2022

2021

Audit and audit-related fees

Audit fees

PwC Australia

28,442

29,306

28,366

29,148

Overseas PwC network firms

5,670

4,310

459

536

Total audit fees

34,112

33,616

28,825

29,684

Audit-related fees

PwC Australia

1,490

1,456

1,490

1,456

Overseas PwC network firms

54

221

-

-

Total audit-related fees

1,544

1,677

1,490

1,456

Total audit and audit-related fees

35,656

35,293

30,315

31,140

Tax fees

PwC Australia

36

35

36

35

Total tax fees

36

35

36

35

Total audit and non-audit fees

35,692

35,328

30,351

31,175

Fees payable to the auditor have been categorised as follows:

Audit

The year end audit, half-year review and comfort letters associated with debt issues and capital raisings.

Audit-related

Consultations regarding accounting standards and reporting requirements, regulatory compliance reviews and assurance related to debt and capital offerings.

Tax

Tax compliance and tax advisory services.

It is Westpac’s policy to engage PwC on assignments additional to its statutory audit duties only if its independence is not impaired or seen to be impaired and where its expertise and experience with Westpac is important. All services were approved by the Board Audit Committee in accordance with Westpac’s Pre-Approval of Engagement of PricewaterhouseCoopers for Audit or Non-Audit Services Policy.

PwC also received fees of $ 9.3 mi llion (2021: $ 9.6 million) for various entities which are related to Westpac but not consolidated. These non-consolidated entities include entities sponsored by the Group, trusts of which a Westpac Group entity is trustee, manager or responsible entity, superannuation funds and pension funds.

WESTPAC GROUP 2022 ANNUAL REPORT 121

Notes to the financial statements

Note 35. Related party disclosures

Related parties

Westpac’s related parties are those it controls or can exert significant influence over. Examples include subsidiaries, associates, joint ventures and superannuation plans as well as key management personnel and their related parties.

Key management personnel (KMP)

Key management personnel are those who, directly or indirectly, have authority and responsibility for planning, directing and controlling the activities of Westpac. This includes all Executives (other than the Group General Counsel and Chief Transformation Officer) and Non-Executive Directors.

Parent Entity

Westpac Banking Corporation is the ultimate parent company of the Group.

Subsidiaries - Note 30

The Parent Entity has the following related party transactions and balances with subsidiaries:

Type of transaction/balance

Details disclosed in

Balances due to/from subsidiaries

Balance Sheet

Dividend income/Transactions with subsidiaries

Note 4

Interest income and Interest expense

Note 3

Tax consolidated group transactions and undertakings

Note 7

Guarantees and undertakings

Note 26

The balances due to/from subsidiaries include a wide range of banking and other financial facilities.

The terms and conditions of related party transactions between the Parent Entity and subsidiaries are sometimes different to commercial terms and conditions. Related party transactions between the Parent Entity and subsidiaries eliminate on consolidation.

Associates - Note 30

The Group provides a wide range of banking and other financial facilities and funds management activities to its associates on commercial terms and conditions.

Superannuation plans

The Group contributed $ 482 million (2021: $ 418 million) to defined contribution plans and $ 63 million (2021: $ 33 million) to defined benefit plans. Refer to Note 33.

Remuneration of KMP

Total remuneration 1 of the KMP was:

Post

Other long-

Short-term

employment

term

Termination

Share-based

$

benefits

benefits

benefits

benefits

payments

Total

Consolidated

2022

24,200,581

653,948

124,524

2,243,696

12,115,309

39,338,058

2021

28,469,165

738,907

( 29,003 )

3,101,006

10,845,158

43,125,233

Parent Entity

2022

23,079,280

545,877

124,524

2,243,696

11,891,992

37,885,369

2021

27,108,174

607,503

( 29,003 )

2,421,267

9,631,777

39,739,718

1. Comparative amounts have been revised to include one KMP’s amortisation of 2021 STVR awards ($ 12,574 ), which relate to a service period prior to commencement of the KMP period. This is reflected under share-based payments. Superannuation for 2021 has increased by $ 8,207 to include superannuation relating to the 2021 cash STVR. This is reflected under post employment benefits.

122 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 35. Related party disclosures (continued)

Other transactions with KMP

KMP receive personal banking and financial investment services from the Group in the ordinary course of business. The terms and conditions, for example interest rates and collateral, and the risks to Westpac are comparable to transactions with other employees and did not involve more than the normal risk of repayment or present other unfavourable features.

Details of loans provided and the related interest charged to KMP and their related parties are as follows:

Interest

Number of

payable for

Closing loan

KMP with

$

the year

balance

loans

2022

546,866

21,219,759

10

2021

403,893

28,920,829

12

Share rights holdings

For compliance with SEC disclosure requirements, the following table sets out certain details of the performance share rights and unhurdled share rights held at 30 September 2022 by the CEO and other key management personnel (including their related parties):

Number of

Latest Date of Exercise

Share Rights

Managing Director and Chief Executive Officer

Peter King

Ranges from 1 October 2033 to 1 October 2036

507,969

Group Executives 1

Scott Collary

Ranges from 1 October 2035 to 1 October 2036

208,814

Chris De Bruin

Ranges from 1 October 2035 to 1 October 2036

194,756

Carolyn McCann

Ranges from 1 October 2033 to 1 October 2036

213,994

Catherine McGrath

1 October 2036

56,266

Anthony Miller

Ranges from 1 October 2035 to 1 October 2036

204,772

Christine Parker

Ranges from 1 October 2033 to 1 October 2036

278,248

Michael Rowland

Ranges from 1 October 2035 to 1 October 2036

167,623

Jason Yetton

Ranges from 2 April 2035 to 1 October 2036

264,481

Ryan Zanin

1 October 2036

40,934

Former Group Executive

Simon Power

Ranges from 1 October 2033 to 1 October 2036

38,072

David Stephen

Ranges from 1 October 2033 to 1 October 2036

426,734

Les Vance

Ranges from 2 April 2035 to 1 October 2036

151,557

1. References to Group Executives are only to those who are KMP.

The Group has not issued any options during the year and there are no outstanding options as at 30 September 2022.

WESTPAC GROUP 2022 ANNUAL REPORT 123

Notes to the financial statements

Note 36. Notes to the cash flow statements

Accounting policy

Cash and balances with central banks include cash held at branches and in ATMs, balances with overseas banks in their local currency and balances with central banks including accounts with the RBA and accounts with overseas central banks.

Reconciliation of net cash provided by/(used in) operating activities to net profit for the year is set out below.

Consolidated

Parent Entity

$m

2022

2021

2020

2022

2021

Net profit for the year

5,699

5,463

2,292

12,178

4,613

Adjustments:

Depreciation, amortisation and impairment

1,581

3,054

2,473

1,304

2,775

Impairment charges

524

( 348 )

3,371

629

( 222 )

Net decrease/(increase) in current and deferred tax

427

350

( 1,112 )

139

( 195 )

(Increase)/decrease in accrued interest receivable

( 544 )

183

239

( 499 )

173

(Decrease)/increase in accrued interest payable

794

( 423 )

( 1,260 )

645

( 340 )

(Decrease)/increase in provisions

( 621 )

( 1,716 )

1,925

( 549 )

( 1,722 )

Other non-cash items

1,869

( 253 )

( 693 )

( 4,416 )

1,067

Cash flows from operating activities before changes in operating assets and liabilities

9,729

6,310

7,235

9,431

6,149

Net (increase)/decrease in:

Collateral paid

( 1,524 )

305

348

( 1,658 )

339

Trading securities and financial assets measured at FVIS

( 3,750 )

19,316

( 8,756 )

( 3,890 )

18,625

Derivative financial instruments

2,451

( 2,420 )

1,851

380

( 1,874 )

Loans

( 36,345 )

( 15,098 )

18,272

( 32,696 )

( 11,228 )

Other financial assets

279

( 274 )

273

( 186 )

258

Life insurance assets and life insurance liabilities

266

( 593 )

( 277 )

-

-

Other assets

20

6

70

37

( 23 )

Net increase/(decrease) in:

Collateral received

3,643

93

( 1,096 )

3,744

312

Deposits and other borrowings

35,054

33,737

28,910

33,586

28,696

Other financial liabilities

7,120

9,036

11,817

5,939

6,500

Other liabilities

11

( 8 )

4

41

( 4 )

Net cash provided by/(used in) operating activities

16,954

50,410

58,651

14,728

47,750

124 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 36. Notes to the cash flow statements (continued)

Details of the assets and liabilities over which control ceased

Details of the entities over which control ceased are provided in Note 38.

Consolidated

Parent Entity

$m

2022

2021

2020

2022

2021

Assets

Cash and balances with central banks

169

50

-

-

-

Trading securities and financial assets measured at FVIS

-

409

-

-

-

Loans

965

369

-

965

-

Other financial assets

66

688

-

-

-

Life insurance assets

2,366

-

-

-

-

Property and equipment

-

29

-

-

-

Deferred tax assets

39

4

-

-

-

Intangible assets

-

243

-

-

-

Other assets

168

226

-

-

-

Total assets

3,773

2,018

-

965

-

Liabilities

Other financial liabilities

34

110

-

-

-

Current tax liabilities

2

-

-

-

-

Life insurance liabilities

185

-

-

-

-

Provisions

52

9

-

4

-

Deferred tax liabilities

34

-

-

-

-

Other liabilities

213

720

-

-

-

Total liabilities

520

839

-

4

-

Total equity attributable to owners of WBC

3,253

1,179

-

961

-

Cash proceeds received (net of transaction costs)

2,284

1,322

-

1,013

-

Expected receivable (completion settlement)/deferred consideration

146

45

-

118

-

Total consideration

2,430

1,367

-

1,131

-

Gain/(loss) on disposal

( 823 )

188

-

170

-

Reconciliation of cash proceeds from disposal:

Cash proceeds received (net of transaction costs)

2,284

1,322

-

1,013

-

Less: Cash deconsolidated

( 169 )

( 50 )

-

-

-

Cash consideration (paid)/received (net of transaction costs and cash held)

2,115

1,272

-

1,013

-

Non-cash investing activities

On 16 June 2022 Westpac Overseas Holdings No.2 Proprietary Limited (WOH2PL), paid a dividend of $ 5,040 million to the Parent Entity which was reinvested into additional WOH2PL ordinary shares. These transactions were settled on a net basis and as a result no cash was transferred. As WOH2PL is a wholly owned subsidiary of the Parent Entity these transactions eliminate on consolidation.

Non-cash financing activities

Consolidated

Parent Entity

$m

2022

2021

2020

2022

2021

Shares issued under the dividend reinvestment plan

-

401

273

-

401

Increase in lease liabilities

244

199

177

226

114

On 20 July 2022, $ 689 million of WCN2 were transferred to the WCN2 nominated party for $ 100 each pursuant to the WCN9 reinvestment offer. Those WCN2 were subsequently redeemed and cancelled by Westpac. On 23 September 2022, Westpac redeemed the remaining outstanding WCN2.

WESTPAC GROUP 2022 ANNUAL REPORT 125

Notes to the financial statements

Note 36. Notes to the cash flow statements (continued)

Cash and balances with central banks

The following table provides the breakdown of cash and cash balances with central banks.

Consolidated

Parent Entity

$m

2022

2021

2022

2021

Cash and cash at bank

14,711

16,504

14,226

16,156

Exchange settlement accounts

90,243

54,587

80,767

46,412

Regulatory deposits with central banks

303

262

189

186

Total cash and balances with central banks

105,257

71,353

95,182

62,754

Restricted cash

Certain of our foreign operations are required to maintain reserves or minimum balances with central banks in their respective countries of operation, totalling $ 303 million (2021: $ 445 million) for the Group and $ 189 million (2021: $ 369 million) for the Parent Entity which are included in cash and balances with central banks.

Note 37. Subsequent events

Since 30 September 2022, the Board has determined to pay a fully franked final dividend of 64 cents per fully paid ordinary share. The dividend is expected to be $ 2,241 million. The dividend is not recognised as a liability at 30 September 2022. The proposed payment date of the dividend is 20 December 2022.

The Board has determined to issue shares to satisfy the Dividend Reinvestment Plan (DRP) for the 2022 final ordinary dividend. The market price used to determine the number of shares issued under the DRP will be set over the 10 trading days commencing 23 November 2022, with no discount applied.

No other matters have arisen since the year ended 30 September 2022 which are not otherwise dealt with in this report, that have significantly affected or may significantly affect the operations of the Group, the results of its operations or the state of affairs of the Group in subsequent periods.

Note 38. Assets and liabilities held for sale

Accounting policy

Assets and liabilities held for sale

Non-current assets or disposal groups are classified as held for sale if they will be recovered primarily through sale rather than through continuing use and a sale is considered highly probable. Non-current assets or disposal groups held for sale are measured at the lower of their existing carrying amount and fair value less costs to sell, except for liabilities and certain assets such as deferred tax assets, financial assets and contractual rights under insurance contracts, which are specifically exempt from this requirement and continue to be recognised at their existing carrying value.

An impairment loss is recognised for any initial or subsequent write-down of the asset (or disposal group) to fair value less costs to sell. A gain is recognised for any subsequent increases in fair value less costs to sell of an asset (or disposal group), but not in excess of any cumulative impairment loss previously recognised. A gain or loss not previously recognised by the date of the sale of the non-current asset (or disposal group) is recognised at the date of derecognition.

Non-current assets are not depreciated or amortised while they are classified as held for sale. Non-current assets classified as held for sale and the assets of a disposal group classified as held for sale are presented separately from the other assets in the balance sheet. The liabilities of a disposal group classified as held for sale are presented separately from other liabilities in the balance sheet.

During the year ending 30 September 2022, the assets and liabilities of certain businesses were classified as held for sale. As these businesses do not constitute a major line of business for the Group, they have not been classified as discontinued operations.

Details of the businesses which were classified as held for sale during the financial year are as follows:

Businesses held for sale as at 30 September 2022

Advance Asset Management Limited and BT Superannuation Funds

On 26 May 2022, the Group announced that it had entered an agreement to sell Advance Asset Management Limited (Advance) to Mercer Australia. Westpac concurrently entered into a Heads of Agreement to merge, through a successor fund transfer (SFT), BT’s personal and corporate superannuation funds with Mercer Super Trust. The merger of the BT personal and corporate superannuation funds and the sale of Advance remain subject to certain conditions and regulatory approvals and are expected to be completed in 2023.

126 WESTPAC GROUP 2022 ANNUAL REPORT

Notes to the financial statements

Note 38 Assets and liabilities held for sale (continued)

The SFT will result in a small loss as a result of transaction and separation costs and the sale of Advance will result in a gain. A total after-tax gain of approximately $ 305 million is expected to be recognised on completion in 2023. In the current year, software assets and goodwill relating to the superannuation business were impaired and separation and transactions costs of approximately $ 106 million were expensed.

The business is included in Specialist Businesses.

Transactions completed during 2022

Westpac Motor Vehicle Dealer Finance and Novated Leasing business

On 28 June 2021, the Group announced that it had entered into an agreement to sell its motor vehicle dealer finance and novated leasing business to Angle Auto Finance Pty Ltd, L.P. As part of the sale, Westpac would transfer:

Auto dealer and introducer agreements together with wholesale dealer loans of approximately $ 1 billion;
Strategic alliance agreements with vehicle manufacturers; and
Novated lease origination capability and related agreements.

Completion of the transaction occurred over several stages in 2022, with wholesale dealer loans of approximately $ 1 billion transferred on 20 December 2021, and final completion occurring on 24 March 2022. A pre-tax gain on sale of $ 170 million was recognised during the year in non-interest income.

Westpac has retained auto loans of around $ 9 billion. The loans will run down over the life of those loans. Westpac has also ceased new retail auto loan originations through dealerships. Customers continue to be able to use the Group’s personal lending products to finance the purchase of motor vehicles.

The business was included in Specialist Businesses.

Westpac New Zealand Life Insurance business

On 6 July 2021, the Group announced that it had entered into an agreement to sell Westpac Life-NZ-Limited to Fidelity Life Assurance Company Limited and enter into an exclusive 15 -year agreement for the distribution of life insurance products to Westpac’s New Zealand customers.

The sale was completed on 28 February 2022 for a consideration of NZ $ 417 million resulting in pre-tax gain on sale of A $ 119 million recognised in non-interest income. Ongoing payments to Westpac will be received in accordance with the distribution agreement.

The entity was included in Westpac New Zealand.

Westpac Australian Life Insurance business

On 9 August 2021, the Group announced that it had entered an agreement to sell Westpac Life Insurance Services Limited to TAL Dai-ichi Life Australia Pty Limited (TAL) and enter into an exclusive 20 -year strategic alliance for the provision of life insurance products to Westpac’s Australian customers.

Completion of the sale occurred on 1 August 2022 at a sale price of $ 900 million resulting in a pre-tax loss of $ 1,112 million being recognised in non-interest income this year. This outcome includes an estimate of the completion payment to be received by Westpac. As the completion accounts process is yet to be finalised the actual completion payment may differ from this estimate. An additional loss of $ 224 million was previously recognised in operating expenses in 2021 reflecting expected separation and transaction costs. The transaction also includes ongoing payments to Westpac in accordance with the distribution agreement.

Westpac retained responsibility for certain pre-completion matters and provided protection to TAL through a combination of provisions, warranties and indemnities.

This entity was included in Specialist Businesses.

WESTPAC GROUP 2022 ANNUAL REPORT 127

Notes to the financial statements

Note 38 Assets and liabilities held for sale (continued)

Balance sheet presentation

Details of the assets and liabilities held for sale are as follows:

Consolidated

Parent Entity

$m

2022

2021

2022

2021

Assets held for sale

Cash and balances with central banks

-

7

-

-

Loans

-

1,015

-

1,015

Other financial assets

20

19

-

-

Life insurance assets

-

2,972

-

-

Deferred tax assets

-

8

-

-

Intangible assets

55

-

-

-

Other assets

-

167

-

-

Total assets held for sale

75

4,188

-

1,015

Liabilities held for sale

Other financial liabilities

31

28

-

3

Current tax liabilities

-

14

-

-

Life insurance liabilities

-

447

-

-

Provisions

1

35

-

7

Deferred tax liabilities

-

44

-

-

Other liabilities

-

269

-

-

Total liabilities held for sale

32

837

-

10

128

WESTPAC GROUP 2021 ANNUAL REPORT

Statutory statements

Directors’ declaration

In the Directors' opinion:

(a) the financial statements and notes set out in 'Section 3 - Financial report for the year ended 30 September 2022 are in accordance with the Corporations Act 2001, including:

(i)

complying with Australian Accounting Standards, the Corporations Regulations 2001 (Cth) and other mandatory professional reporting requirements; and

(ii)

giving a true and fair view of Westpac Banking Corporation (Westpac) and the Group's financial position as at 30 September 2022 and of their performance for the financial year ended on that date; and

(b) there are reasonable grounds to believe that Westpac will be able to pay its debts as and when they become due and payable.

Note 1(a) includes a statement that the financial report also complies with International Financial Reporting Standards as issued by the International Accounting Standards Board.

The Directors have been given the declaration by the Chief Executive Officer and the Chief Financial Officer required by section 295A of the Corporations Act 2001.

This declaration is made in accordance with a resolution of the Directors.

For and on behalf of the Board.

Graphic

John McFarlane
Chairman

Sydney

6 November 2022

Graphic

Peter King

Managing Director and Chief Executive Officer

WESTPAC GROUP 2022 ANNUAL REPORT

129

Statutory statements

Management's report on internal control over financial reporting

The following report is required by rules of the US Securities and Exchange Commission.

The management of Westpac is responsible for establishing and maintaining adequate internal control over financial reporting for Westpac as defined in Rule 13a - 15(f) under the Securities Exchange Act of 1934, as amended. Westpac's internal control system is designed to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with applicable accounting standards.

Westpac's internal control over financial reporting includes policies and procedures that: pertain to the maintenance of records that in reasonable detail accurately reflect the transactions and dispositions of the assets of Westpac and its consolidated entities; provide reasonable assurance that transactions are recorded as necessary to permit preparation of financial statements in accordance with applicable accounting standards, and that receipts and expenditures of Westpac are being made only in accordance with authorizations of management and directors of Westpac and its consolidated entities; and provide reasonable assurance regarding prevention or timely detection of unauthorized acquisition, use or disposition of the assets of Westpac and its consolidated entities that could have a material effect on the financial statements.

Because of its inherent limitations, internal control over financial reporting may not prevent or detect misstatements. Also, projections of any evaluation of effectiveness to future periods are subject to the risk that controls may become inadequate because of changes in conditions, or that the degree of compliance with the policies or procedures may deteriorate.

Westpac management, with the participation of the CEO and CFO, assessed the effectiveness of Westpac's internal control over financial reporting as of 30 September 2022 based on the criteria set forth by the Committee of Sponsoring Organizations of the Treadway Commission (COSO) in its 2013 Internal Control-Integrated Framework. Based on this assessment, management has concluded that Westpac's internal control over financial reporting as of 30 September 2022 was effective.

The effectiveness of Westpac's internal control over financial reporting as of 30 September 2022 has been audited by PricewaterhouseCoopers, an independent registered public accounting firm, as stated in its report which is included herein.

130 WESTPAC GROUP 2022 ANNUAL REPORT

Statutory statements

Graphic

Report of Independent Registered Public Accounting Firm

To the Board of Directors and Shareholders of Westpac Banking Corporation

Opinions on the Financial Statements and Internal Control over Financial Reporting

We have audited the accompanying consolidated balance sheets of Westpac Banking Corporation and its subsidiaries (the “Company”) as of September 30, 2022 and 2021, and the related consolidated income statements, statements of comprehensive income, statements of changes in equity and cash flow statements for each of the three years in the period ended September 30, 2022, including the related notes (collectively referred to as the “consolidated financial statements”). We also have audited the Company's internal control over financial reporting as of September 30, 2022, based on criteria established in Internal Control - Integrated Framework (2013) issued by the Committee of Sponsoring Organizations of the Treadway Commission (COSO).

In our opinion, the consolidated financial statements referred to above present fairly, in all material respects, the financial position of the Company as of September 30, 2022 and 2021 , and the results of its operations and its cash flows for each of the three years in the period ended September 30, 2022 in conformity with Australian Accounting Standards as issued by the Australian Accounting Standards Board and International Financial Reporting Standards as issued by the International Accounting Standards Board. Also in our opinion, the Company maintained, in all material respects, effective internal control over financial reporting as of September 30, 2022, based on criteria established in Internal Control - Integrated Framework (2013) issued by the COSO.

Basis for Opinions

The Company's management is responsible for these consolidated financial statements, for maintaining effective internal control over financial reporting, and for its assessment of the effectiveness of internal control over financial reporting, included in Management’s Report on Internal Control Over Financial Reporting appearing on page 129 of the 2022 Annual Report. Our responsibility is to express opinions on the Company’s consolidated financial statements and on the Company's internal control over financial reporting based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (PCAOB) and are required to be independent with respect to the Company in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

We conducted our audits in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audits to obtain reasonable assurance about whether the consolidated financial statements are free of material misstatement, whether due to error or fraud, and whether effective internal control over financial reporting was maintained in all material respects.

Our audits of the consolidated financial statements included performing procedures to assess the risks of material misstatement of the consolidated financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the consolidated financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the consolidated financial statements. Our audit of internal control over financial reporting included obtaining an understanding of internal control over financial reporting, assessing the risk that a material weakness exists, and testing and evaluating the design and

PricewaterhouseCoopers, ABN 52 780 433 757

One International Towers Sydney, Watermans Quay, Barangaroo NSW 2000,

GPO BOX 2650 Sydney NSW 2001

T: 1300 799 615, F: 1300 799 618, www.pwc.com.au

WESTPAC GROUP 2022 ANNUAL REPORT

131

Statutory statements

Graphic

operating effectiveness of internal control based on the assessed risk. Our audits also included performing such other procedures as we considered necessary in the circumstances. We believe that our audits provide a reasonable basis for our opinions.

Supplemental Information

The parent entity only information on the face of the consolidated financial statements and other parent entity only disclosures in the notes to the financial statements have been subjected to audit procedures performed in conjunction with the audit of the Company’s consolidated financial statements. The supplemental information is the responsibility of the Company’s management. Our audit procedures included determining whether the supplemental information reconciles to the consolidated financial statements or the underlying accounting and other records, as applicable, and performing procedures to test the completeness and accuracy of the information presented in the supplemental information. The supplemental information, which is presented for purposes of additional analysis, is presented on a basis that differs from the consolidated financial statements and is not a required part of the consolidated financial statements presented in accordance with Australian Accounting Standards as issued by the Australian Accounting Standards Board and International Financial Reporting Standards as issued by the International Accounting Standards Board. In our opinion, the parent entity only information on the face of the consolidated financial statements and other parent entity only disclosures in the notes to the financial statements are fairly stated, in all material respects, in relation to the consolidated financial statements as a whole.

Definition and Limitations of Internal Control over Financial Reporting

A company’s internal control over financial reporting is a process designed to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles. A company’s internal control over financial reporting includes those policies and procedures that (i) pertain to the maintenance of records that, in reasonable detail, accurately and fairly reflect the transactions and dispositions of the assets of the company; (ii) provide reasonable assurance that transactions are recorded as necessary to permit preparation of financial statements in accordance with generally accepted accounting principles, and that receipts and expenditures of the company are being made only in accordance with authorizations of management and directors of the company; and (iii) provide reasonable assurance regarding prevention or timely detection of unauthorized acquisition, use, or disposition of the company’s assets that could have a material effect on the financial statements.

Because of its inherent limitations, internal control over financial reporting may not prevent or detect misstatements. Also, projections of any evaluation of effectiveness to future periods are subject to the risk that controls may become inadequate because of changes in conditions, or that the degree of compliance with the policies or procedures may deteriorate.

Critical Audit Matters

The critical audit matters communicated below are matters arising from the current period audit of the consolidated financial statements that were communicated or required to be communicated to the audit committee and that (i) relate to accounts or disclosures that are material to the consolidated financial statements and (ii) involved our especially challenging, subjective, or complex judgments. The communication of critical audit matters does not alter in any way our opinion on the consolidated financial

132 WESTPAC GROUP 2022 ANNUAL REPORT

Statutory statements

Graphic

statements, taken as a whole, and we are not, by communicating the critical audit matters below, providing separate opinions on the critical audit matters or on the accounts or disclosures to which they relate.

Provisions for expected credit losses on loans and credit commitments

As described in Note 11 to the consolidated financial statements, the provision for expected credit losses on loans and credit commitments (ECL) was $4,625 million at September 30, 2022. ECL is a probability-weighted estimate of the cash shortfalls expected to result from defaults over the relevant timeframe determined by evaluating a range of possible outcomes and taking into account the time value of money, past events, current conditions and forecasts of future economic conditions. Management's model to determine the ECL includes significant judgment in assumptions used to determine when a significant increase in credit risk (SICR) has occurred, estimating forward looking macroeconomic scenarios (MES), applying a probability weighting to different scenarios and identifying and calculating adjustments to model output (overlays).

The principal considerations for our determination that performing procedures relating to the ECL is a critical audit matter were (i) there was significant judgment and effort in evaluating audit evidence related to the ECL model and assumptions used to determine the ECL; (ii) there was significant judgement and effort in evaluating audit evidence related to the identification and calculation of overlays to the ECL due to the impacts of current conditions and forecasts of future economic conditions; (iii) there was a high degree of auditor effort required to test critical data elements used in the model; (iv) there was a high degree of auditor effort required to test relevant IT controls used in determining the ECL; and (v) the nature and extent of audit effort required to test the models, assumptions and judgements required specialized skill or knowledge.

Addressing the matter involved performing procedures and evaluating audit evidence in connection with forming our overall opinion on the consolidated financial statements. These procedures included testing the effectiveness of controls relating to the Company's ECL estimation process, which included controls over the data, model and assumptions used in determining the ECL as well as relevant IT controls. These procedures also included, among others, (i) the involvement of professionals with specialized skill and knowledge to assist in testing management's process for determining the ECL by evaluating the appropriateness of the models and the reasonableness of the assumptions; (ii) testing the accuracy and completeness of selected critical data elements that are inputs used in the ECL model; and (iii) testing the reasonableness of overlays to the ECL.

Provisions and contingent liabilities

As described in Note 26 to the consolidated financial statements, the Company recorded compliance, regulation and remediation provisions of $513 million and litigation and non-lending loss provisions of $83 million at September 30, 2022 (collectively referred to as “the provisions”). The provisions relate to matters of potential misconduct in providing services to customers identified as a result of regulatory action and internal reviews. An assessment of the likely cost to the Company of these matters (including applicable customer refunds) is made on a case-by-case basis and specific provisions or disclosures are made where management considers appropriate. Disclosures are also made in Note 26 for contingent liabilities for possible obligations whose existence will be confirmed only by uncertain future events, and present obligations where the transfer of economic resources is not probable or cannot be reliably estimated.

WESTPAC GROUP 2022 ANNUAL REPORT

133

Statutory statements

Graphic

The principal considerations for our determination that performing procedures relating to the provisions and contingent liabilities is a critical audit matter were (i) there was significant judgment by management to identify contingent liabilities and quantify the provisions, which included assumptions related to the probability of loss and the timing, nature and quantum of related cash outflows, and (ii) there was a high degree of auditor subjectivity and effort in performing procedures and in evaluating audit evidence related to the provisions and key assumptions, and in evaluating the appropriateness of the related disclosures.

Addressing the matter involved performing procedures and evaluating audit evidence in connection with forming our overall opinion on the consolidated financial statements. These procedures included testing the effectiveness of controls relating to management's evaluation of provisions to determine whether a present obligation with a probable cash outflow exists, and can be reliably estimated. For contingent liabilities, these procedures also included testing the effectiveness of controls relating to management's evaluation, including controls over determining whether or not it is possible that a loss has occurred or whether there is a probable outflow from a present obligation. These procedures also included, among others, (i) evaluating the evidence of management's quantification of provisions and the assumptions applied and (ii) assessing the appropriateness of disclosures.

Disposal of controlled entities and other businesses

As described in Notes 4 and 38 to the consolidated financial statements, the Company completed the disposal of certain controlled entities and other businesses during the year ended September 30, 2022, resulting in a net loss of $823 million. These controlled entities and other businesses were previously classified as held for sale.

The principal considerations for our determination that performing procedures relating to the disposal of controlled entities and other businesses is a critical audit matter were (i) there was a high degree of auditor judgement and effort in performing procedures and evaluating management's determination of the timing and accuracy of gains and losses to be recognized from the completion of sales of controlled entities and other businesses which were previously classified as held for sale, and (ii) the audit effort involved the use of professionals with specialized skill and knowledge.

Addressing the matter involved performing procedures and evaluating audit evidence in connection with forming our overall opinion on the consolidated financial statements. These procedures included testing the effectiveness of controls relating to management's evaluation and key judgements in determining the classification and measurement of the gains and losses recognised from the disposal of controlled entities and other businesses. These procedures also included, among others, (i) reading the relevant sale contracts to obtain an understanding of the terms and conditions, (ii) assessing the criteria for the controlled entities and other businesses to be classified as held for sale and the timing of the recognition of gains or losses associated with their sales, (iii) testing management's calculation of the gain or loss on sale of each controlled entity and other business, and (iv) the involvement of professionals with specialized skill and knowledge to assist in assessing the appropriate accounting treatment.

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PricewaterhouseCoopers

Sydney, Australia

November 6, 2022

We have served as the Company’s auditor since 1968 .

134 WESTPAC GROUP 2022 ANNUAL REPORT

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WESTPAC GROUP 2022 ANNUAL REPORT

135

Item 19. Exhibits Index

1.

Constitution (as amended) incorporated by reference to our Form 6-K filed on 15 December 2021.

4(c).2

Form of Access and Indemnity Deed between Westpac Banking Corporation and Director, incorporated by reference to our Annual Report on Form 20-F for the year ended 30 September 2008.

4(c).3

Indemnity Deed Poll dated 10 September 2009, of Westpac Banking Corporation, incorporated by reference to our Annual Report on Form 20-F for the year ended 30 September 2009.

8.

List of controlled entities – refer to Note 30 to the financial statements in this Annual Report.

12.

Certifications pursuant to Rule 13a-14(a)/15d-14(a) of the Securities Exchange Act of 1934.

13.

Certifications pursuant to 18 U.S.C. Section 1350.

15.1

Auditor consent dated 8 November 2022

15.2

Westpac Group 2022 Annual Report on Form 20-F

101.INS

Inline XBRL Instance Document – The instance document does not appear in the interactive data file because its XBRL tags are embedded within the Inline XBRL document.

101.SCH

Inline XBRL Taxonomy Extension Schema Document

101.CAL

Inline XBRL Taxonomy Extension Calculation Linkbase Document

101.DEF

Inline XBRL Taxonomy Extension Definition Linkbase Document

101.LAB

Inline XBRL Taxonomy Extension Label Linkbase Document

101.PRE

Inline XBRL Taxonomy Extension Presentation Linkbase Document

104

Cover Page Interactive Data File (formatted as inline XBRL and contained in Exhibit 101)

Copies of any instrument relating to the long-term debt of Westpac Banking Corporation that is not being attached as an exhibit to this Annual Report on Form 20-F and which does not exceed 10% of the total consolidated assets of Westpac Banking Corporation will be furnished to the SEC upon request.

136 WESTPAC GROUP 2022 ANNUAL REPORT

Signatures

The registrant hereby certifies that it meets all of the requirements for filing on Form 20-F and that it has duly caused and authorised the undersigned to sign this Annual Report on its behalf.

WESTPAC BANKING CORPORATION

By: /s/ Michael Clayton

Michael Clayton

General Counsel – Corporate, Treasury and Technology

Dated November 8, 2022

TABLE OF CONTENTS
Part I (continued)Item 10. Additional InformationItem 11. Quantitative and Qualitative Disclosures About Market Risk81-83Item 12. Description Of Securities Other Than Equity SecuritiesPart IIItem 13. Defaults, Dividend Arrearages and Delinquenciesnot ApplicableItem 14. Material Modifications To The Rights Of Security Holders and Use Of Proceedsnot ApplicableItem 15. Controls and Procedures129, 323Item 16A. Audit Committee Financial Expert198Item 16B. Code Of Ethics201-202Item 16C. Principal Accountant Fees and Services, Pcaob Id: 1379120, 207-208Item 16D. Exemptions From The Listing Standards For Audit Committeesnot ApplicableItem 16E. Purchases Of Equity Securities By Westpac and Affiliated Purchasers106-108, 322Item 16F. Changes in Westpac S Certifying Accountantnot ApplicableItem 16G. Corporate Governance188Item 16H. Mine Safety Disclosurenot ApplicableItem 16idisclosure Regarding Foreign Jurisdictions That Prevent Inspectionsnot ApplicablePart IIIItem 19. Exhibits135Item 1402: Distribution Of Assets, Liabilities and Stockholders Equity; Interest Rates and Interest DifferentialItem 1403: Investments in Debt Securities T II Investment PortfolioItem 1404: Loan PortfolioItem 1405: Allowances For Credit LossesItem 1406: DepositsNote 1 Financial Statements Preparationintangible Assets, Provisions, Commitments and ContingenciesNote 2 Segment ReportingNote 3 Net Interest Income Capital and DividendsNote 4 Non-interest Income Note 27 Shareholders EquityNote 5 Operating Expenses Note 28 Captial AdequacyNote 6 Impairment Charges Note 29 DividendsNote 7 Income TaxNote 8 Earnings Per Share Group StructureNote 9 Average Balance Sheet and Interest Rates Note 30 Investments in Subsidiaries and AssociatesNote 10 Loans Note 32 Share-based PaymentsNote 11 Provisions For Expected Credit Losses Note 33 Superannuation CommitmentsNote 12 Credit Risk Management Note 34 Auditor S RemunerationNote 13 Deposits and Other Borrowings Note 37 Subsequent EventsNote 14 Debt Issues Note 38 Assets and Liabilities Held For SaleNote 15 Loan CapitalNote 16 Securitisation, Covered Bonds and Other Transferred AssetsNote 18 Investment Securities Report Of Independent Registered Public Accounting FirmNote 19 Other Financial AssetsNote 20 Other Financial LiabilitiesNote 21 Derivative Financial InstrumentsNote 1. Financial Statements PreparationNote 1. Financial Statements Preparation (continued)Note 11 Provisions For Expected Credit Losses (ecl)Note 23 Fair Values Of Financial Assets and Financial LiabilitiesNote 25 Intangible AssetsNote 26 Provisions, Contingent Liabilities, Contingent Assets and Credit CommitmentsNote 33 Superannuation CommitmentsNote 2. Segment ReportingNote 2. SegmentNote 2. Segment Reporting (continued)Note 3. Net Interest IncomeNote 4. Non-interest IncomeNote 4. Non-Note 4. Non-interest Income (continued)Note 4. Non-interest Income1 (continued)Note 5. Operating Expenses1Note 6. Impairment ChargesNote 7. Income TaxNote 7. Income Tax (continued)Note 8. Earnings Per ShareNote 9. Average Balance Sheet and Interest RatesNote 9. Average Balance Sheet and Interest Rates (continued)Note 10. LoansNote 10. Loans (continued)Note 11. Provisions For Expected Credit LossesNote 6 Provides Details Of Impairment ChargesNote 11. Provisions For Expected Credit Losses (continued)Note 12. Credit Risk ManagementNote 12. Credit Risk Management (continued)Note 13. Deposits and Other Borrowings1Note 13. Deposits and Other Borrowings (continued)Note 14. Debt IssuesNote 14. Debt Issues (continued)Note 15. Loan CapitalNote 15. Loan Capital (continued)Note 16. Securitisation, Covered Bonds and Other Transferred AssetsNote 16. Securitisation, Covered Bonds and Other Transferred Assets (continued)Note 17. Trading Securities and Financial Assets Measured At FvisNote 18. Investment SecuritiesNote 18 Investment Securities (continued)Note 19. Other Financial AssetsNote 20. Other Financial LiabilitiesNote 20. OtherNote 21. Derivative Financial InstrumentsNote 21. DerivativeNote 21. Derivative Financial Instruments (continued)Note 22. Risk Management, Funding and Liquidity Risk and Market RiskNote 22 Risk Management, Funding and Liquidity Risk and Market Risk (continued)Note 23. Fair Values Of Financial Assets and Financial LiabilitiesNote 23. Fair Values Of Financial Assets and Financial Liabilities (continued)Note 24. Offsetting Financial Assets and Financial LiabilitiesNote 24. OffsettingNote 24. Offsetting Financial Assets and Financial Liabilities (continued)Note 25. Intangible AssetsNote 25. Intangible Assets (continued)Note 26. Provisions, Contingent Liabilities, Contingent Assets and Credit CommitmentsNote 26. Provisions, Contingent Liabilities, Contingent Assets and Credit Commitments (continued)Note 27. Shareholders EquityNote 27. Shareholders Equity (continued)Note 28. Capital AdequacyNote 29. DividendsNote 30. Investments in Subsidiaries and AssociatesNote 30. Investments in Subsidiaries and Associates (continued)Note 31. Structured EntitiesNote 31. Structured Entities (continued)Note 32. Share-based PaymentsNote 32. Share-Note 32. Share-based Payments (continued)Note 33. Superannuation CommitmentsNote 33. Superannuation Commitments (continued)Note 34. Auditor S RemunerationNote 35. Related Party DisclosuresNote 35. Related PartyNote 35. Related Party Disclosures (continued)Note 36. Notes To The Cash Flow StatementsNote 36. Notes To The Cash Flow Statements (continued)Note 37. Subsequent EventsNote 37. SubsequentNote 38. Assets and Liabilities Held For SaleNote 38 Assets and Liabilities Held For Sale (continued)Item 19. Exhibits Index

Exhibits

1. Constitution (as amended) incorporated by reference to our Form 6-K filed on 15 December 2021. 4(c).2 Form of Access and Indemnity Deed between Westpac Banking Corporation and Director, incorporated by reference to our Annual Report on Form 20-F for the year ended 30 September 2008. 4(c).3 Indemnity Deed Poll dated 10 September 2009, of Westpac Banking Corporation, incorporated by reference to our Annual Report on Form 20-F for the year ended 30 September 2009. 12. Certifications pursuant to Rule 13a-14(a)/15d-14(a) of the Securities Exchange Act of 1934. 13. Certifications pursuant to 18 U.S.C. Section 1350. 15.1 Auditor consent dated 8 November 2022 15.2 Westpac Group 2022 Annual Report on Form 20-F