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Provisions for legal proceedings, judicial deposits and contingent liabilities (Tables)
6 Months Ended
Jun. 30, 2025
Notes and other explanatory information [abstract]  
Schedule of provisions for legal proceedings
   
Non-current liabilities 06.30.2025 12.31.2024
Labor claims 752 636
Tax claims 454 400
Civil claims 1,465 1,605
Environmental claims 219 192
Total 2,890 2,833
Schedule of reconciliation of provisions for legal proceedings
   
  Jan-Jun/2025 Jan-Jun/2024
Opening Balance 2,833 3,305
Additions, net of reversals 137 257
Use of provision (634) (263)
Revaluation of existing proceedings and interest charges 199 270
Others (8) 8
Translation adjustment 363 (452)
Closing Balance 2,890 3,125
Schedule of non-current assets
   
Non-current assets 06.30.2025 12.31.2024
Tax 9,828 8,187
Labor 849 777
Civil 3,512 2,694
Environmental and others 110 90
Total 14,299 11,748
Schedule of reconciliation of judicial deposits with legal proceedings
   
  Jan-Jun/2025 Jan-Jun/2024
Opening Balance 11,748 14,746
Additions 438 670
Use (1) (71) (1,338)
Accruals and charges 552 298
Others 9
Translation adjustment 1,632 (1,906)
Closing Balance 14,299 12,479
(1) In the six-month period ended June 30, 2024, the Company used credits arising from the enrollment to the tax settlement program proposed in the Transaction Notice PGFN-RFB 6/2024, which ended legal disputes over relevant litigation related to the incidence of taxes on remittances abroad.
Schedule of estimated contingent liabilities for which the possibility of loss is classified as possible
   
Nature 06.30.2025 12.31.2024
Tax 23,882 21,307
Labor 1,873 6,465
Civil 13,810 10,910
Environmental and others 1,506 1,298
Total 41,071 39,980