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ACCOUNTING STANDARDS AND BASIS OF PREPARATION - Reconciliation Of Statement of Financial Position and Statement of Cash Flow (Details) - ARS ($)
$ in Thousands
Dec. 31, 2020
Dec. 31, 2019
Dec. 31, 2018
Cash and due from Banks      
Cash and due from banks $ 36,674,869 $ 35,945,335 $ 70,551,283
As per the Statement of Cash Flows 36,674,869 35,945,335 70,551,283
Debt securities at fair value through profit or loss      
As per Statement of Financial Position 9,871,903 773,961 31,649,050
Securities not considered as cash equivalents (8,003,299)   (5,191,041)
As per the Statement of Cash Flows 1,868,604 773,961 26,458,009
Money Market Funds      
As per Statement of Financial Position - Other financial assets 4,285,221 2,854,686 3,556,206
Other financial assets not considered as cash equivalents (3,362,168) (1,541,089) (2,183,275)
As per the Statement of Cash Flow $ 923,053 $ 1,313,597 $ 1,372,931