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Deposits (Tables)
12 Months Ended
Dec. 31, 2022
Interbank Deposits And Securities Purchased Under Agreements To Resell  
Summary of Breakdown of Deposits
             
  12/31/2022   12/31/2021
  Current Non-current Total   Current Non-current Total
Interest-bearing deposits 376,238 372,635 748,873   334,808 356,620 691,428
Savings deposits 179,764 - 179,764   190,601 - 190,601
Interbank deposits 4,821 73 4,894   3,490 286 3,776
Time deposits 191,653 372,562 564,215   140,717 356,334 497,051
Non-interest bearing deposits 122,565 - 122,565   158,944 - 158,944
Demand deposits 117,587 - 117,587   158,116 - 158,116
Other deposits 4,978 - 4,978   828 - 828
Total 498,803 372,635 871,438   493,752 356,620 850,372