v3.25.1
OTHER FINANCIAL ASSETS
3 Months Ended
Mar. 31, 2025
Disclosure of other financial assets [abstract]  
OTHER FINANCIAL ASSETS
NOTE 5. OTHER FINANCIAL ASSETS
As of period closing, the balances of Other Financial Assets correspond to:
Item03.31.2512.31.24
Receivables from Spot Sales of Foreign Currency Pending Settlement904,445,13847,075,011
Receivables from Spot Sales of Government Securities Pending Settlement985,251,7861,279,672,017
Sundry Debtors135,293,157164,259,476
Mutual Funds250,468,146340,756,853
Premiums for Financial Collateral Contracts9,188,7869,782,991
Interest Accrued Receivable19,352,75723,288,463
Fiduciary Participation Certificates20,270,95721,246,908
Balances from Claims Pending Recovery267,07461,985
Others626,069617,735
Minus: Allowance for Loan Losses(1,308,599)(1,589,042)
Total2,323,855,2711,885,172,397
Related party information is disclosed in Note 35.
Changes in Allowance for Loan Losses for other financial assets are disclosed in Schedule R.