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OTHER LIABILITIES
12 Months Ended
Dec. 31, 2024
OTHER LIABILITIES  
OTHER LIABILITIES

NOTE 18 – OTHER LIABILITIES

As of December 31, 

Current

    

2024

    

2023

Deferred revenues on prepaid credit

21,765

17,325

Deferred revenues on connection fees and international capacity leases

4,465

3,754

Debt for acquisition of Subsidiaries

643

1,235

Related parties (Note 27.b)

3,011

5,135

Funds to be paid to customers

8,738

15,720

Other

1,777

1,385

40,399

44,554

Non-current

Deferred revenues on connection fees and international capacity leases

3,371

3,323

Pension benefits

8,565

4,897

Related parties (Note 27.b)

2,756

9,001

Debt for acquisition of Subsidiaries

601

2,234

Other

24

236

15,317

19,691

Total Other liabilities

55,716

64,245

Movements in the pension benefits are as follows:

Years ended

December 31, 

    

2024

    

2023

At the beginning of the year

4,897

5,963

Service cost (*)

256

329

Interest cost (**)

6,736

4,042

Actuarial results (***)

28

915

RECPAM

(3,352)

(6,352)

At the end of the year

8,565

4,897

(*)

Included in Employee benefit expenses and severance payments.

(**)

Included in Other Financial result, net.

(***)

Included in Other comprehensive income (loss).