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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, 2024
Dec. 31, 2023
Dec. 31, 2022
Cash and due from Banks      
Cash and due from banks $ 652,975,869 $ 498,892,707 $ 328,212,563
As per the Statement of Cash Flows 652,975,869 498,892,707 328,212,563
Debt securities at fair value through profit or loss      
As per Statement of Financial Position 263,332,202 101,076,778 151,797,787
Securities not considered as cash equivalents (153,968,429) (56,221,698) (113,751,099)
As per the Statement of Cash Flows 109,363,773 44,855,080 38,046,688
Money Market Funds      
As per Statement of Financial Position - Other financial assets 28,633,163 101,259,616 54,977,021
Other financial assets not considered a cash equivalents (28,234,750) (94,681,934) (52,326,471)
As per the Statement of Cash Flow $ 398,413 $ 6,577,682 $ 2,650,550