v3.25.1
Related Party Disclosures - Schedule of Other Assets and Liabilities with Related Parties (Details) - CLP ($)
$ in Millions
Dec. 31, 2024
Dec. 31, 2023
Parent Entity [Member]    
ASSETS    
Derivative Financial Instruments
Debt financial instruments
Other financial instruments
Non-trading financial assets mandatorily measured at fair value through profit or loss
Financial assets designated as at fair value through profit or loss
Financial assets at fair value through other comprehensive income
Derivative Financial Instruments for hedging purposes
Financial assets at amortized cost:    
Rights by resale agreements and securities lending
Debt financial instruments
Commercial loans
Residential mortgage loans
Consumer Loans
Allowances established – Loans
Other assets 16 10
Contingent loans
LIABILITIES    
Derivative Financial Instruments
Financial liabilities designated as at fair value through profit or loss
Derivative Financial Instruments for hedging purposes
Financial liabilities at amortized cost:    
Current accounts and other demand deposits 170 336
Saving accounts and time deposits 151,595 85,904
Obligations by repurchase agreements and securities lending
Borrowings from financial institutions
Debt financial instruments issued
Other financial obligations
Lease liabilities
Other liabilities
Other Legal Entity [Member]    
ASSETS    
Derivative Financial Instruments 273,492 212,147
Debt financial instruments
Other financial instruments 1,410
Non-trading financial assets mandatorily measured at fair value through profit or loss
Financial assets designated as at fair value through profit or loss
Financial assets at fair value through other comprehensive income 5,388 6,328
Derivative Financial Instruments for hedging purposes
Financial assets at amortized cost:    
Rights by resale agreements and securities lending
Debt financial instruments
Commercial loans 266,912 199,564
Residential mortgage loans
Consumer Loans 5
Allowances established – Loans (1,291) (1,709)
Other assets 132,549 159,805
Contingent loans 159,749 119,510
LIABILITIES    
Derivative Financial Instruments 300,756 242,098
Financial liabilities designated as at fair value through profit or loss
Derivative Financial Instruments for hedging purposes 3,137 5,674
Financial liabilities at amortized cost:    
Current accounts and other demand deposits 141,497 200,019
Saving accounts and time deposits 78,618 160,760
Obligations by repurchase agreements and securities lending 2,003
Borrowings from financial institutions 3,175 86,642
Debt financial instruments issued
Other financial obligations
Lease liabilities 9,200 10,845
Other liabilities 140,479 152,457
Key Personnel of the Consolidated Bank [Member]    
ASSETS    
Derivative Financial Instruments
Debt financial instruments
Other financial instruments
Non-trading financial assets mandatorily measured at fair value through profit or loss
Financial assets designated as at fair value through profit or loss
Financial assets at fair value through other comprehensive income
Derivative Financial Instruments for hedging purposes
Financial assets at amortized cost:    
Rights by resale agreements and securities lending
Debt financial instruments
Commercial loans 1,291 1,028
Residential mortgage loans 14,694 17,975
Consumer Loans 1,656 1,969
Allowances established – Loans (30) (19)
Other assets 38 13
Contingent loans 3,822 4,058
LIABILITIES    
Derivative Financial Instruments
Financial liabilities designated as at fair value through profit or loss
Derivative Financial Instruments for hedging purposes
Financial liabilities at amortized cost:    
Current accounts and other demand deposits 2,860 2,161
Saving accounts and time deposits 3,093 4,392
Obligations by repurchase agreements and securities lending
Borrowings from financial institutions
Debt financial instruments issued
Other financial obligations
Lease liabilities
Other liabilities 532 493
Other Related Party [Member]    
ASSETS    
Derivative Financial Instruments
Debt financial instruments
Other financial instruments
Non-trading financial assets mandatorily measured at fair value through profit or loss
Financial assets designated as at fair value through profit or loss
Financial assets at fair value through other comprehensive income
Derivative Financial Instruments for hedging purposes
Financial assets at amortized cost:    
Rights by resale agreements and securities lending
Debt financial instruments
Commercial loans 9,967 11,340
Residential mortgage loans 59,861 60,153
Consumer Loans 11,482 11,739
Allowances established – Loans (326) (312)
Other assets 7 16
Contingent loans 17,761 17,714
LIABILITIES    
Derivative Financial Instruments
Financial liabilities designated as at fair value through profit or loss
Derivative Financial Instruments for hedging purposes
Financial liabilities at amortized cost:    
Current accounts and other demand deposits 6,844 7,652
Saving accounts and time deposits 19,082 24,265
Obligations by repurchase agreements and securities lending
Borrowings from financial institutions
Debt financial instruments issued
Other financial obligations
Lease liabilities
Other liabilities 5 53
Total [Member]    
ASSETS    
Derivative Financial Instruments 273,492 212,147
Debt financial instruments
Other financial instruments 1,410
Non-trading financial assets mandatorily measured at fair value through profit or loss
Financial assets designated as at fair value through profit or loss
Financial assets at fair value through other comprehensive income 5,388 6,328
Derivative Financial Instruments for hedging purposes
Financial assets at amortized cost:    
Rights by resale agreements and securities lending
Debt financial instruments
Commercial loans 278,170 211,932
Residential mortgage loans 74,555 78,128
Consumer Loans 13,138 13,713
Allowances established – Loans (1,647) (2,040)
Other assets 132,610 159,844
Contingent loans 181,332 141,282
LIABILITIES    
Derivative Financial Instruments 300,756 242,098
Financial liabilities designated as at fair value through profit or loss
Derivative Financial Instruments for hedging purposes 3,137 5,674
Financial liabilities at amortized cost:    
Current accounts and other demand deposits 151,371 210,168
Saving accounts and time deposits 252,388 275,321
Obligations by repurchase agreements and securities lending 2,003
Borrowings from financial institutions 3,175 86,642
Debt financial instruments issued
Other financial obligations
Lease liabilities 9,200 10,845
Other liabilities $ 141,016 $ 153,003