Bil Senarai Manual
1 MPSAS 1 – Presentation of Financial Statements – versi BI
2 MPSAS 2 – Cash Flow Statements – versi BI
3 MPSAS 3 – Accounting Policies, Changes in Accounting Estimates and Errors – versi BI
4 MPSAS 4 – The Effects of Changes in Foreign Exchange Rates – versi BI
5 MPSAS 5 – Borrowing Cost – versi BI
6 MPSAS 6 – Consolidated and Separate Financial Statements – versi BI
7 MPSAS 7 – Investment in Associates – versi BI
8 MPSAS 8 – Interest in Joint Venture – versi BI
9 MPSAS 9 – Revenue From Exchange Transactions – versi BI
10 MPSAS 12 – Inventories – versi BI
11 MPSAS 13 – Leases – versi BI
12 MPSAS 14 – Events After The Reporting Date – versi BI
13 MPSAS 16 – Investment Property – versi BI
14 MPSAS 17 – Property, Plant, and Equipment – versi BI
15 MPSAS 19 – Provisions, Contingent Liabilities and Contingent Assets – versi BI
16 MPSAS 20 – Related Party Disclosure – versi BI
17 MPSAS 21 -Impairment of Non-Cash-Generating Assets – versi BI
18 MPSAS 23 – Revenue From Non-Exchange Transactions (Taxes And Transfers) – versi BI
19 MPSAS 24 – Presentation of Budget Information In Financial Statements – versi BI
20 MPSAS 25 – Employee Benefits – versi BI
21 MPSAS 26 – Impairment of Cash-Generating Assets – versi BI
22 MPSAS 27 – Agriculture – versi BI
23 MPSAS 28 – Financial Instrument_Presentation – versi BI
24 MPSAS 29 – Financial Instruments_recognition and Measurement – versi BI
25 MPSAS 31 – Intangible Assets – versi BI
26 MPSAS 32 – Service Concession Arrangements-Grantor – versi BI
27 MPSAS 33 – First-time Adoption of Accrual Basis MPSASs – versi BI
28 MPSAS 34 – Separate Financial Statements – versi BI
29 MPSAS 35 – Consolidated Financial Statements – versi BI
30 MPSAS 36 – Investments in Associates and Joint Ventures – versi BI
31 MPSAS 37 – Joint Arrangements – versi BI
32 MPSAS 38 – Disclosure of Interests in Other Entities – versi BI